ST GEORGE’S CHURCH OVENDEN
ANNUAL REPORT AND FINANCIAL STATEMENTS OF THE PAROCHIAL CHURCH COUNCIL (Registered Charity 1132332)
FOR THE YEAR ENDING 31 DECEMBER 2021
PRIEST IN CHARGE
REV. ALAN MAXWELL THE VICARAGE BRACEWELL DRIVE LEE MOUNT HALIFAX HX3 5HY
BANKS YORKSHIRE BANK PLC THE CBF CHURCH OF ENGLAND FUNDS
INDEPENDENT EXAMINER
JOHN R HUDSON
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ST GEORGE’S CHURCH – APCM 2021 – ANNUAL REPORT
ADMINISTRATIVE INFORMATION (including structure, governance and management aims and objectives
Priest in Charge report
2021 was another unusual and challenging year for everyone and continued to affect our worship and mission as a church. At the start of the year, we continued over weekly service video which was posted on social media and a paper copy of the service text was delivered to members who don’t have access to the internet.
Our weekly Sunday worship started back up again in the second half of the year. The morning service resumed in September and the evening service in October. The Scouts have been joining us for the family service on the first Sunday of each month since the beginning of October. Service videos were posted online in a scaled down form during September and ended at the start of October. Many thanks to all who led the worship on our service videos, and to all who contribute to our worship in church each week.
Messy Church began again in November and it was great to welcome families back to worshipping together in songs, story, crafts and food! Low numbers of volunteers to help due to COVID isolation and people beginning to go away again as restrictions were eased.
When schools returned to normal after the summer, I began leading assemblies in Lee Mount Primary once or twice a term and members of our congregation have been going in to school to hear children read and help out in other ways. Glenn Roper and I are both governors at the school.
The Mission Team began meeting again in November and overseeing the dispersal of our parish giving to other organisations, local, national and international.
Churches Together in North Halifax and the local Clergy Chapter had been meeting on Zoom during lockdown and began meeting in person again during 2021.
Pastoral visit began again in the autumn and the list of members receiving communion at home is being extended each month.
I would like to thank all of you for your patience and flexibility during this challenging time and your willingness to participate in worship and mission in new and unusual ways. We look forward with hope to the opportunities and challenges we will face in the months to come.
Rev. Alan Maxwell Priest in Charge
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CHURCH ANNUAL REPORT 2021-2022
The Parochial Church Council (as constituted at the Annual Parochial Church Meeting on 23[rd] November 2020) consists of 2 annually elected Church Wardens, 3 Deanery Synod Representatives and 9 annually elected Council members each with link responsibility within the team structures as outlined below. The Standing Committee exists legally and has met on a couple of occasions through 2021. (it has the power to transact business of the PCC between its meetings, subject to any directions given by the PCC). The Standing Committee are Vicar, two Wardens and Treasurer with the addition of Stuart Rushforth and Judith Robertshaw for 2021-2022.
Priest in Charge Rev. Alan Maxwell Asst. Priest with PTO Rev. Glenn Roper Reader: with PTO Jennifer Sutcliffe Reader: Darrell Bishop Church Warden (and PCC): Charles Gear Church Warden (and PCC): Philip Ashworth Electoral Roll: Derek Woodfield Representatives (and PCC) Deanery Synod: Sharon Gear Deanery Synod: Judith Robertshaw Deanery Synod: Vacancy Pastoral Minister Gail Muff Pastoral Minister Philip Ashworth
PCC - Elected Members
Gerda Normington (Church Treasurer) Brenda Thomas (6.30pm Team) Judith Robertshaw (Representative for Mission) Christine Hupalo (SGCT Rep) Jill Coffey (Messy Church) Stuart Rushforth (Music Leader) Tahlia Francis
TEAMS
The Team structure have members of the PCC linked to other teams in church who would meet regularly to consider the various areas of Church life but this has not happened during 2021.
SERVICE WARDENS
The service wardens fulfilled their role again once church services restarted in September 2021.
CHURCH ATTENDANCE
As you can appreciate with the Pandemic (Covid19) church attendance has not been as usual and you can see, the average Sunday morning attendance counted during October 2021 was 38 adults and 6 children and the evening attendance was 15 adults.
ELECTORAL ROLL
There are currently 70 on the electoral roll. 28 resident and 42 non-resident. All church attendees are encouraged to register on the Electoral Roll and stand for election to the PCC.
PCC SECRETARY REPORT
The PCC have met every two months, returning to face to face meetings in St. George’s House in September 2021.
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In regards to Rev Alan’s work, his potential appointment as Priest in Charge at Mount Pellon (Christchurch) was first discussed in November 2021. In March 2022, The Right Reverend Jonathan Gibbs, Bishop of Huddersfield and Rev Bill Braviner, The Archdeacon of Halifax, attended PCC, as did members of The Clergy and Readers Team in regards to this matter. A fair and honest discussion was had and currently we await developments as to how this will work out for all concerned.
The new lease for the renting of St. George’s House by St. George’s Community Trust (SGCT) has been completed. PCC agreed to pay The Parish Share in 2021 in full in November, this has been done.
The Mission Team were allocated £4500 of monies to give away in 2021. Full details can be found under the Financial Report.
PCC voted for the church hall to be redecorated June 21 meeting) which happened.
The situation with The Commonwealth War Graves Commission Plaque is still ongoing. Philip and Gail attended the leaving service at The Minster, for Archdeacon Rev Anne Dawtry, who retired in October.
PCC agreed to bring forward the start times for meetings to 7.00pm beginning in March 2022.
Philip Ashworth PCC Minutes Secretary
Major Business Items
Church Finances: Please note the Treasurer’s Report.
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Upkeep and use of Church buildings : Please note the Buildings Report.
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A crèche/small children’s play area will be created by taking out three pews to the north facing side of the church. We have the Faculty. However, the PCC decided to use the Baptistry as a creche until it is decided whether to go ahead with the removal of pews etc.
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Community Garden Project
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The PCC appreciate that the grass is regularly cut and the church grounds are kept tidy by David Sutcliffe and Tom Mitchell. Volunteers help with the gardening but more help is needed. Please pray and think whether a team can be put together on a regular basis to take the task on.
Updates on Safeguarding:
The safeguarding of all children and vulnerable adults is vital to life within the Diocese and as both Bishop Nick (Leeds) and Bishop Jonathan (Huddersfield) have variously said this must ensure that church becomes a safer space for children and vulnerable adults with an improvement in the church’s response to caring for them (after past failings).
During present times safeguarding training is available ‘on-line only’ to anyone who has an interest in our children and all vulnerable adults , and so please do ask Rev Alan Maxwell if you need help to access this.
Important Decisions/ Activities:
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Acceptance of general and mission budgets
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Liaising with the Pre-School and other Hall users
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Team reports (including Building Team)
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Charles Gear – Churchwarden
Summary Building Report of repairs and maintenance tasks during 2021
All up to date certificates and licences are kept in Saint Georges House.
We are grateful for the number of volunteers (some of whom are not church members), who have undertaken practical maintenance tasks, gardening, grass cutting, leaf clearing and D.I.Y. This is essential as part of church members’ contribution to maintaining and improving our buildings and grounds.
It is a struggle in practical terms to maintain our 3 large buildings and extensive grounds.
CHURCH
The 5-year Quinquennial Inspection of the church building took place in 2012 and again in 2018. These Reports highlighted essential work on the church roof especially at high level. Several slates are missing, ridge tiles require re-pointing and the high gutters need clearing.
We continue to check and take action to avoid slippery paving at the entrance gates under the trees.
The church boiler was last serviced in 2020 and will require servicing in 2022. The church clock had its annual service in 2021. The timer for the clock face lighting has been repaired.
Lighting inside church is checked regularly along with the emergency lighting system Following relaxation of COVID-19 restrictions regular weekly cleaning resumed at the end of 2021 by a small team.
Internal decoration is looking very tired.
CHURCH HALL
The kitchen hot water gas boiler was last serviced in 2019 and is now beyond its life expectancy.
One of the main room heaters is faulty and the gas has been isolated. This heater requires replacing
One of the two main room heaters, near the toilets, was replaced with new in 2019. Annual checks and servicing of all the gas appliances should be undertaken.
We need to ensure hall users do not hang decorations or other flammable items above the 2 room heaters
The main room, kitchen and toilets were redecorated during the summer of 2021
ST GEORGE’S HOUSE and HOUSE GROUNDS
Essential repairs to the Parkinson Room porch/emergency exit were undertaken and included a re-roof and plasterwork to the ceiling.
A wasp next was removed from the chimney which proved difficult to find. Wasps dropped in the porch area.
Roof work is required at high levels – some clearing of valley gutters has taken place and gutters/fall pipes facing the park need replacing. Lack of maintenance is now causing
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ingress of water into the attic rooms with flaking plaster and will get worse without remedial action to the roof and valley gutters
Vandalism damage occurred to Parkinson Room double glazed windows and these have been repaired
The CCTV to the house is not operational and is no longer viable with its out-of-date cameras and technology system.
2 Central Heating boilers, 1 hot water boiler, 4 gas fires and the cooker were fully serviced in 2019. In 2021 both central heating boilers failed and needed quite substantial repairs. Annual checks and servicing of all gas appliances should be undertaken.
All the trees in the grounds around the house are protected by a Tree Preservation Order (TPO) and should not be pruned or removed without the planning consent of Calderdale Council.
ALL THREE BUILDINGS
An Electrical Safety check together with provision of safety certificates for all three buildings was completed in 2013 by Dowslands Electrical. These included the testing of 2 lightning conductors on the church and the house. A full electrical safety check is again due in the near future according to Diocesan advice.
Annual checks and servicing have taken place for –
Fire Fighting equipment (4 Fire Blankets and 23 extinguishers) – annual service completed December2021 / Jan 2022,
Intruder Alarms fully serviced in December 2021 / January 2022, Emergency Lighting tested in all three buildings, December 2021.
St George’s House Fire Alarm control panel and system were annual serviced in January 2021 and February 2022
All the above items are compliant with current legislation.
All up to date certificates and licences are kept in St George’s House
Intruder Alarm activations are programmed to call out Charles Gear, Stuart Rushforth and Alan Maxwell. Alan has agreed to replace David Sutcliffe on the call out list, many thanks to David for attending numerous alarm calls over the years.
Several false alarms were activated during the year and generally these could be avoided with a little more care.
Smart Water – all items of value have previously been marked and the log book updated along with an up-to-date CD.
GRAVEYARD
Leaf clearing is a major task each autumn. Grass has been cut regularly throughout summer and gardening tasks are ongoing throughout the year
The condition of graves requires regular checks for safety of visitors and those carrying out gardening/ground works.
Boundary walls are extensive around all church properties. See report by Architect. There are safety concerns mainly caused by trees planted too near the back of the walls.
A 20-yard section of wall outside the church entrance gate collapsed in February 2021 and has since been repaired.
Other walls of concern……………
1. Lilac Street from the House to the rear church entrance gate some of which retains the graveyard.
2. The high wall on the park side of St Georges house is leaning, again being affected by the big trees behind it
3 A section of wall between the House and the Hall has already collapsed and action is required to remove or repair.
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4. The condition of the wall from the graveyard towards the end of St George’s Road is deteriorating.
Report produced by David Barker Architect on condition of church boundary walls
I briefly inspected the boundary walls around the church yesterday and comment as follows:
South Boundary Wall
This is built in stone with a stone capping. It steps down the side of the grave yard and bounds residential properties to the south side.
The wall is in a reasonable condition with some undulation although not apparently of significance at this time.
West Boundary Wall
This low stone built wall bounds the side of the pavement on St Georges Road. It follows the curve in the pavement and is constructed of what appears to be two coursed stone leaves and capped with a similar stone capping.
There are two positions on the southern section of this wall where there are semi-mature trees on the graveyard side very close to the wall. These trees are clearly causing some outward movement of the wall and slight leaning outwards towards the pavement. At present there is no indication of an imminent collapse, but due to the relatively weak construction of the wall, further deterioration and outward movement leading to collapse in the future should be anticipated. Consideration for repairs or rebuilding in the next 5 to 10 years will be required.
This southern section of the wall abuts the repaired section adjacent to the gate into the church yard. This repaired section does appear to have joints which require further filling with mortar which should be a lime-based mortar. This work should be attended to by the contractor who rebuilt the wall section.
The section of wall to the northern side of the gate again follows the curve of the pavement and although there are shrubs and trees on the graveyard side, this section of wall appears to be in a reasonably stable condition at this time.
North Boundary Wall
This wall is of similar two leaf construction with similar large stone capping to the other walls. It bounds between the graveyard and St George’s House yard area.
The western section is stable until it abuts a tree on the yard side. This is pushing the wall out of line and this will progress in time to cause the wall to collapse. Repairs should be considered in the next 5 to 10 years.
There is then a gateway and beyond that a central section. The eastern end of this central section has collapsed due to higher ground, trees and shrubs having pushed the wall over. Again, the wall construction of two leaves of stone and large stone cappings is considered to
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be relatively weak construction with very little lateral strength. This section of wall requires reconstruction now with a appropriate foundation and cutting back of the trees and shrubs.
The eastern section of this wall is reasonably stable although there are missing and dislodged stones which will destabilise the wall over time. Some repairs are recommended to be undertaken in the next 5 to 10 years.
East Boundary Wall
This is effectively a retaining wall supporting the build up of the graveyard and runs alongside the pavement of Lilac Street.
The wall construction could not be verified but appears to be similar to the other walls. If this is the case, then the construction is considered to be inadequate as a retaining wall construction. Having said that, the wall appears to have been in place and performing as a retaining wall for a considerable length of time.
At this time the coursed stone wall appears to be reasonably plumb although the stonework joints are severely eroded in places.
Substantial repointing in a lime-based mortar to virtually the whole wall area is recommended along with repositioning dislodged stones. It is suggested that this work is considered to be done and completed within the next 3 to 5 years.
I trust that the above assists.
Kind regards
David Barker Associate Director
AHR Norwich Union House, High Street, Huddersfield, West Yorkshire HD1 2LR T +44 (0) 1484 537 411 M +44 7734070955
We pray for God’s continuing guidance in all we do to maintain our buildings in good repair and thank Him for all the help from volunteers received during the past year. We also pray for the safety of all the users of our buildings as well as wise decisions on ways forward on the maintenance and use of our premises and the safety of the public using our premises and pedestrians alongside our walls along Lilac Street and St George’s Road.
Church Wardens (Charles Gear and Philip Ashworth) April 2022
FINANCIAL REVIEW
Our Common Fund for 2021 was £31,327. We began paying £1300 in January 2021 a reduced amount due to monthly funds not being their usual standard, this was increased in August 2021 to £2000. This was further reviewed at the last PCC meeting before the year
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end and it was agreed that funds were much better and the outstanding balance of £14,227 was paid.
This could not have been achieved without our church members changing from envelope giving to standing order. I would like to give thanks to all, as this made sure we received monies to be able to pay our monthly commitments. A thankyou letter was received from Bishop Jonathan.
We did not contribute to any additional amount that the Diocese requests to help other churches who struggle to pay their share.
Our missionary giving is as described below. Page 13 of the report gives full details of all income received in 2021 and all expenditure on page 14. This includes £7,652.40 from recoverable income tax thanks to Gift Aid donations from the congregation and Glen Knight for all his time in submitting the claim on our behalf. We were able to make an additional claim for non-gift aid in previous years for (2019-2020) and a further £3054.18 was received making the total we received £10,706.58. Glen advised that this can also continue in the future which will help boost church finances from HMRC (1st April – 31st March). The church year runs from 1st January – 31st December.
GIFT AID DONATIONS
Gift Aid (Tax Refund) – donations continue to be given for the Building Fund. No Gift Aid (Tax Refund) was received for the Ladies Weekend due to the weekend being cancelled (this relates to 2020 as tax is claimed the year after).
NON GIFT DONATIONS
Monthly donations continue to be received to the Church Organ fund. These gifts are very much appreciated to carry out any work required.
For those that pay tax please bear in mind that should you no longer pay tax that you need to contact Glen Knight and let him know, especially when the tax levels change in July 2022. Any oversight lies with the giver and not the church to pay back to HMRC.
DONATIONS
We receive donations twice a year from a ‘Family Settlement Fund’ which is allocated to the Restricted Fund account.
Page 14 outlines our expenditure.
MISSION
The budget from general income during 2021 amounted to £4500.
Mission money has been allocated as follows; £1000 - CMS (Andy and Kati Walsh) in Brazil.
£1000 - Mara
£1375 - Patrick Ngigi (Uniform project) in Kenya
£675 - Christians Against Poverty
£350 - C.I.C.S.
£100 - Royal British Legion – Ovenden Branch
MISSION/SPECIAL APPEALS
We were able to send contributions of £832.21 following special appeals in church, as outlined below:
£171.39 - Jars of Grace Appeal – UNICEF - A Right to Education for children. £210.82 - The Children’s Society ( 2021) Christingle Service)
£125.00 - Happy Days Ministries (help the Homeless). Given by John Hudson (IE) re his fees.
£125.00 - Christians Together Calderdale. Given by John Hudson (IE) re his fees. £200.00 - Christians Together Calderdale (Harvest service)
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PREMISES
As always, our thanks go to David Sutcliffe and Tom Mitchell for their commitment in organising both major, minor and D.I.Y. repairs and the ongoing maintenance of our buildings and grounds, also for their vigilance in relation to health and safety. Contributions in time and expertise can save a substantial amount of financial outlay, and this has proved to be invaluable over the last year. Our thanks go to them for a job well done.
LEGACIES
No legacies were received in 2021.
RESERVES
Our maintenance investment through the Church Board of Finance (CBF) is £6,000. These funds are required to support any major structural repairs on the church building. This is all we have in reserve in case of any emergencies.
COMMITMENTS IN 2022
Our overall commitments for 2022 amounts to around £67787. These include; Common Fund (£31,672), Mission (£5555), Insurance (£7013) church/hall utilities (£8000), fire protection/alarm/pat testing (£920), clock maintenance £620 (3yr contract 2021-2023), Music Licence (£700) along with the upkeep of three buildings and admin expenses. These figures are taken from actual expenses 2021 Budget Sheet and are approximate for 2022. We will probably see these figures rise substantially in respect of utility charges rising in the coming months.
Our main anticipated income is approximately £59448 (based on 2021 income). This is made from church giving, and also includes £3000 Community Trust Rent, £6000 Playgroup Rent and approx Tax Refund of £10,954.
which means that we are looking at a deficit of £8339. We will have no major funds for desirable improvements, other expenses or building repairs other than that which has already been allocated or to be paid from the Restricted Fund account in respect of buildings.
There has been a deficit for the past few years but we have always managed to pay our way and I am sure the Lord will provide.
Finally, I would just like to say thankyou to all who have helped in anyway by being on the counting rota after services (still looking for more help with this), covering for me when not at one of the services and to Sylvia who helps with the banking. These all help with keeping the church finances in good order.
Gerda Normington Church Treasurer
Approved by the PCC on ………………….. 2022 and signed by Rev. Alan Maxwell (Priest in Charge)
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STATENf OF FINAPLIAL AcrnirnES FOR TrE YEAR tECEb8ER ZRI Tolal Totsl 55x6.69 2(137.ctJ O.CO 57EIJ3.68 45827.82 97.52 2c )1.3) 924.f8 5&11 IonE frcffl chJch liMb"e5 2d 11621.(Mi O.CO 11621.ctj 2e 75.75 o.c(J 75.75 2634.32 TufAL I( RESE5 Chwch actiiib'es - rrissic . rriristy Ltyeep_ . a*riristi3ti 81.21 49213.45 ICIX17.70 914.97 O.CO XQl.21 O.LK) frfJ121.15 914.97 IL19 TiyfAL RESCKRCES EXPEIUD hEf RESOLThCES Lthe cts goirs a1 loss GAITr6 & LOSSES IWEsTNrS UnrealisoJ- Lloyd5 SFkir l8.r2 14. Trdrsfa5 21876. O.CO 2187&C4 44342.47 -8787.32 18.T2 35573.87 BALAPKES BI FWDAS AT OLOL21 18592.20 91. 2231.55 51515.63 2.C BALAPKES CI FWDAS AT 3LIZ21 11
IBALAPKE STrEEf As AT FOR THE YEAR ENNG DECEMBER 2021 REFEREFKE frKI. FIXED ASSErs 494.37 TGfAL FIXEDASSErs 142791.37 14a)T2 cuUNf ASSErs 814.CXJ 83127.75 Cash at ljank arxl in For(I" 81.75 LIABILMES Chanty Acccvtsnts fee OttEr (Watir cc6ts Utility trMIIs .10 333.63 .55 414.(M 1793. CURR ASSEtS 82141.89 55865.50 T(yfAL hEfAssEf5 PARISH FUPL UnrCt Restiicted 62934.67 151282.23 219M.56 454LP3.6 21.27 2245.91, 12
PAROCHIAL CHURCH COUNCIL OF OVENDEN ST. GEORGES NOTES FOR THE FINANCIAL STATEMENTS FOR THE YEAR ENDING 31ST DECEMBER 2021
ACCOUNTING POLICIES
The financial Statements of the PCC have been prepared under the Church Accounting Regulations 2006 in accordance with applicable accounting standards and the current Statement of Recommended Practice Accounting and Reporting by Charities (SORP 2015) using the Accruals basis. These have been prepared under the historical cost convention except for the valuation of investment assets, which are shown at market value. The financial statements include all transactions, assets and liabilities for which the PCC is responsible in law. They do not include the accounts of church groups that owe their main affiliation to another body, nor those that are informal gatherings of church members.
FUND ACCOUNTING
Endowment funds are funds, the capital of which must be retained either permanently or at the PCC’s discretion; the income derived arising from the endowment is to be used either as restricted or unrestricted funds depending on the purpose for which the endowment was established in the first place. Res tricted Funds comprise (a) income from endowments which is to be expended only on the restricted purposes intended by the donor and (b) revenue donations or grants for a specific PCC activity intended by the donor. Where these funds have unspent balances, interest on their pooled investment is apportioned to the individual funds on an average balance basis. Unrestricted Funds are income funds which are to be spent for the PCC general purposes. Designated Funds are general funds set aside by the PCC for use in the future. Project funds are designated for particular projects for administration purposes only. Funds designated as invested in fixed assets for the PCC’s own use abated in line with assets’ annual depreciation charges in the SOFA. Designated funds remain unrestricted and the PCC will move any surplus to other general funds.
INCOMING RESOURCES
Planned giving, collections and similar donations are recognised when received. Tax refunds are recognised when the incoming resource to which they relate is received. Grants and legacies are accounted for when the PCC is entitled to use the resources, their ultimate receipt is considered reasonably certain and the amounts due are reliably quantifiable. Dividends are accounted for when declared receivable, interest as and when accrued by the payer. All incoming resources are accounted for gross.
RESOURCES EXPENDED
Grants and donations are accounted for when paid over, or when awarded, if that award creates a binding or constructive obligation on the PCC. The diocesan parish share expected to be paid over is accounted for when due.
All other expenditure is generally recognised when it is incurred and is accounted for gross.
Consecrated and benefice property is not included in the accounts in accordance with s.10(2)(a) and (c) of the Charities Act 2011.
Movable church furnishings held by the vicar and churchwardens on special trust for the PCC and which require a faculty for disposal are inalienable property, listed in the church’s inventory, which can be inspected (at any reasonable time). For anything acquired prior to 2000 there is insufficient cost information available and therefore such assets are not valued in the financial statements. Subsequently no individual item has cost more than £1,000 so all such expenditure has been written off when incurred. St George’s House and the Church Hall are shown at cost.
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Equipment used within the church premises is depreciated on a straight line basis over four years. Individual items of equipment with a purchase price of £1000 or less are written off when the asset is acquired.
Investments are valued at market value at 31[st] December 2021.
Current assets are represented by cash at bank and in hand at the Yorkshire Bank Plc (known as Virgin Money) and the Central Board of Finance of the Church of England.
Priest in Charge – Alan Maxwell PCC Chair – Charles Gear Church Treasurer - Gerda Normington
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hiJfES FOR F1fr14KIAL STATEfvENr (ccNr.) 3 RES(XIiCES EXPETrIED FwKIs FwK15 t FuM15 ) CIMarh acli%qlies Missicn4ry & ChatitatAe Gill OKe5eas.' Missionary S(Kidi& - liS Rdief & tk%ét¥Kivt HcrfrE MissiorG S£rular Charits'e5 1775.(K) 7LL).IX) 616.21 1775.(yJ 7QK).LKJ 616.21 ICAJ. 892.10 Mr45ty arKI ilknp Parish Sha Cleygy Fes arKI Exwses cr[h Exwse5 Vicardp Exwses Ots atuj fvreBI exw6es Clxjtrh Mairtetwte Hall Ex6 Hall Ma1ntawe St Ge(X Fbx5e extHs st Ge(xge¥ HoLEe MairteTharKe Clearmry tssks- & Hall Elert We@Ken(È (La We*eMD Ekfft Wed(wKÈ (No l Alcl OutJpach Adninistration Cc6ts Bank CCYTerb' 31327.(K) 42.76 7256.3) O.(K1 31327.IXJ 42.76 14283. 19537.C(I 7027.70 7x4.73 762.1 i. 762. i. f4)7.14 o.(KI 4fyW.62 4558. O.(K) .(K) 243.E4 14&9.81 2027.67 1570.12 li.3) O.(K) ).(1 14E8.81 1570.12 0. 2W). 820.29 866. 93.48 93.48 Accountant P(kAici 143.88 TiJfAL RESCKIiCES EXPEhfED 16
st GeorYJes House Church Hall 92(W.00 92LX)O.LK) Y)3(M).00 50300.(K) Val Val K.PKKt£r. Fid IrtsEst Securithes FUKI 453 Sha5 475.65 Ax"n Llos<& SharES 39 SharES 14 (XherdebtDrs LIABIL kcruals laccountsntfeel QErab"rvJ E>penses ceraC071a1S (lities) CharityColleLton5 414.04 985.82 333.63 344.82 From No l RF IBLG ..IToRFfrDmNo I From Nol trj A Dennisc To RF ADennison From Nol trj RF BI ToRFfrDmNol From No l trj RF RedecorftJThY To R.F. IBlgl- wnxKJ sts RF.q FrDm No I tD R.F. Blg |ToRFBlg FrDm No l trj R.F. Bl ]ToR.F.Blg From No I tD R.F. BI To R.F. Blg FrDm No I tD R.F. GaSen fvrKJ To R.F.GaenfrDrn No I FrDm NotD R.F. 1C ToR.F.1cFn)mNol From No I ID R.F.Ohead To R.F.Othead frDm No I Frr¥n No I to R.F. Blg To R.F.Blg FrrJn No I to R.F. P tknrMs( To R.F. P tnrNSL FtEffi No I to R.F. P triS( To R.F. P Denrisc 40. -2215. 2215.lJ) 40.) 18553 -175.72 469.26 17
Ofthe inKesknEnts lisled in 5b. K Prc£tyis a 51ce)I4TrErt. The cash assets are d*iled trdow. UntriCTed 'ICheques Ots 17183.41 L88L5.40 985.82 223.20 Building Fund Reslric DiscretionaryFurKI Restricted Healing Team Restricted Ladies Weekend IRestricÈd Parish Away Restritsd Oryan FurKI Reslric1ed MlC Re5lridd Redecoratson FLJnd IReslric 0rhead Ss6Èm IRes1ri( Garden PrDject Res1ri( WDBF Grant Restricr chUh Signs Restricted olaCh |RestriclEd M Rshforth Restritsd S(Kial FurKI Reslric1ed P Denni50n Reslridpd Mi5cellanious ReslriclEd J Wilkn"n50n |Reslri( G Sknbb5 |Reslric ADennison FanNIy SdeMentFurj 77.10 19530.81 357.89 357.89 26.16 142757 J)30.57 215.72 1611.74 11.74 -57.7 36.01 388.89 Tr18.36 ILK). ILK). 753.43 753.43 349.CA) 26.16 RestrictÉd 12340.C K. prtEr Bitles M3irtsnance MlC Gra58[[1 Ph54i5 SttA(er IreyBriggs J & E Dennison Okethead ProjeclDr I Charmck R Pickat End)%srert RtriCted En(>ert 224.01 203 84 183. 0.18 70.53 Reslric |Reslric |LegacyforPCC |Restritsd |Designated tyPCC Designated byPCC o.(W) 469.26 L•J lunrd Restricf End)%srert 1619759 1859220 4970722 3734429 224.19 449.66 18
SUNDAY CLUB REPORT 2021- 2022
Sunday Club now usually runs every Sunday, excepting family service on the first Sunday of the month.
We have a strong team: Jill, Sylvia, Sharon, and Christine are the 4 leaders who prepare the session; and Linda, Shirley, Tahlia and Sue are the 4 helpers.
After the Lockdown in March 2020, Sunday Club did not take place until September 2021. But we have worked hard to keep Sunday Club going. Some children who attended before the Lockdown only returned briefly. We now have a core of regular attenders, two of the Rev Alan's children and two who have been in Sunday Club for a long time.The group have jelled well together. Occasionally we get extra children.
In September we looked at Bible passages and stories from the New Testament concerned with new starts and making friends; which seemed appropriate after the pandemic and, for Alan's children, moving to a new home and School. From January 2022 we looked at stories of creation and Jacob from the Old Testament. We aim to present to them different stories from the Bible making them relevant to their lives, and to develop their faith, through activities they enjoy doing.
In December Christine presented a lovely costume Nativity with children from Sunday Club.
We use the Bubbles and Splash Compendiums from Scripture Union. We have also purchased the X Stream Compendium so we can provide for the different ages of children. We find this material very good and photocopy from the Compendium. The children seem to enjoy the various games and quizzes.
There is also a creche at the back of Church for children, which Christine oversees, now back in the vestry. We have a colouring table too.
Jill does the rotas and registers, and Sylvia orders the files, and is in charge of the money. We appreciate all the hard work that the team does to nurture the children who come to St. George's with their families. We all feel this is important work that needs to continue, even if some weeks we do not have many children.
Jill Coffey
On behalf of the Sunday Club Team
10am Service Report (2021)
Another year has flown by - Not an easy year for many people.
To say "Thank you" to the Clergy Team and all who have brought the Sunday Services to us – is heartwarming – at this difficult time.
To Tom and Christine - in their role as Service Wardens - and all who make the coffee after the service – we give thanks.
Slowly, the Church is growing again - a real answer to prayer - and we look forward to the new challenges this will bring.
Gail Muff
10.00am Service Team
Music Report (2021)
What a strange, unprecedented time it was, not being able to worship in church for so long. Even stranger, it seemed, was having to set time aside in the week, sometimes two or three hours, to put together and record the online worship. Not just for myself, but for all the team involved in leading, preaching, reading and leading prayers.
19
Thankfully, that is all behind us now as try to get back to some kind of normality on Sundays. It wasn’t all bad, as it has been a time for adapting and learning for us all, and definitely a lesson in not to take anything for granted. That is, except for the love of God! During lockdown I experimented with backing tracks on some worship songs, which hopefully added to the worship, and which we have subsequently introduced into our Sunday worship. We sincerely hope this enhances the worship in church particularly as it enables us to sing the more traditional hymns. Your feedback is always welcome.
As with everything that doesn’t happen for a long time, it takes a bit of getting back into, and so it has been with the worship group! It seemed a little strange at first, but hopefully now can lead again with God’s help confidently.
I would just like to thank Dean for the online worship on the occasions I wasn’t available, and to Joan who has recently stood in leading for me whilst I have been away. Thankyou both, much appreciated! Indeed thank you to all the group who give their time and talents week in and week out to lead our worship, your dedication is second to none. On a final note, welcome to Aggie to the worship team, you will be a great asset to us, and hope you enjoy your time with us.
Stuart Rushforth Music Leader
Pastoral Team
Our work still goes on behind the scenes - as we try to encourage and support our Congregation – with phone calls – letters – and prayers.
We look forward to the time when we are able to do "home visits" again - but in the meantime - we can continue to encourage – and listen to one another – in these ”different” times.
meantime - we can continue to encourage - and listen to one another - in these
Gail Muff Pastoral Team
Messy Church Report 2021-2022
Messy Church started up again in October 2021. So far we have had 4 sessions. One session had to be cancelled because of COVID, and another because of the snow. However, the sessions that have gone ahead have been very encouraging. Some families have returned, but mostly we have had new families. And one new Mother has become a helper.
Messy Church is run jointly with the Baptist Church, and Pam is our leader from there. The sessions are on the third Saturday afternoon of the month.
We have a good team from St. George's: Reverend Alan, Aggie, Jill, Carole, Tahlia, Shirley, occasionally Gerda, and Sue. Alan's children are good helpers too.
We do however need more helpers because not everyone is available for every session. We hope to get some helpers from the Baptist Church as their people feel less vulnerable. We particularly need help in the kitchen. We are grateful to Kezia and ladies from the Baptist Church for baking cakes.
Each session consists of a story or video, a song, activities, sometimes games, and a meal. Alan has usually taken the story/ video session which has been very helpful and successful. Activities have worked well and the children have enjoyed them. Feedback has been good. The team leaders have met to plan the sessions which were: Harvest, Christmas, Saints and Superheroes, and Adam and Eve and saying sorry.
20
We are very pleased with the success of Messy Church and the outreach into the community. If anyone else would like to be involved please see one of the team leaders. An extra pair of hands would be very welcome.
Jill Coffey
On behalf of the Messy Church Team
21
PAROCHIAL CHURCH COUNCIL OF OVENDEN ST. GEORGES
STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDING DECEMBER 2021
| Incoming Resources Voluntary income Activities for generating funds Income from investments Income from church activities Other Income TOTAL INCOMING RESOURCES Resources Expended Church activities - mission - ministry and upkeep - administration TOTAL RESOURCES EXPENDED other recognized gains and losses GAINS & LOSSES ON INVESTMENTS Unrealised - Lloyds Shares Transfers NET MOVEMENT IN FUNDS BALANCES B/ FWD AS AT 01.01.21 BALANCES C/ FWD AS AT 31.12.21 NET INCOMING RESOURCESbefore |
Note UnrestrictedRestricted Endowment Reference Funds Funds Funds |
|---|---|
| 2a 55506.68 2097.00 0.00 2b 66.33 0.00 0.00 2c 901.30 23.38 0.00 2d 11621.00 0.00 0.00 2e 7590.75 0.00 0.00 |
|
| 75686.06 2120.38 0.00 |
|
| 3a 3091.21 0.00 0.00 49213.45 10907.70 0.00 914.97 0.00 0.00 |
|
| 53219.63 10907.70 0.00 |
|
| 22466.43 -8787.32 0.00 |
|
| 5b 0.00 0.00 18.72 8 21876.04 0.00 0.00 44342.47 -8787.32 18.72 18592.20 30691.88 2231.55 |
|
| 62934.67 21904.56 2250.27 |
7
PAROCHIAL CHURCH COUNCIL OF OVENDEN ST. GEORGES
| Total | Total |
|---|---|
| Funds | Funds |
| 2021 | 2020 |
| 57603.68 | 45827.82 |
| 66.33 | 97.52 |
| 924.68 | 55.11 |
| 11621.00 | 8256.56 |
| 7590.75 | 2634.32 |
| 77806.44 | 56871.33 |
| 3091.21 | 992.10 |
| 60121.15 | 36211.19 |
| 914.97 | 866.96 |
| 64127.33 | 38070.25 |
| 13679.11 | 18801.08 |
| 18.72 | 14.36 |
| 21876.04 | 0.00 |
| 35573.87 | 18815.44 |
| 51515.63 | 180122.06 |
| **87089.50 ** | 198937.50 |
7
PAROCHIAL CHURCH COUNCIL OF OVENDEN ST GEORGES
| BALANCE SHEET AS AT FOR THE YEAR ENDING DECEMBER 2021 |
|
|---|---|
| NOTE REFERENCE NO. |
2021 2020 £ £ |
| FIXED ASSETS Tangible - property 5a Investments 5b TOTAL FIXED ASSETS |
142300 142300 494.37 772 |
| 142794.37 143072 |
|
| CURRENT ASSETS Debtors Cash at bank and in hand LIABILITIES Charity Collections 5c Accountants fee Other operating costs Utility bills NET CURRENT ASSETS |
814.00 444 83127.75 56386.15 |
| 83941.75 56830.05 |
|
| 985.82 344.82 0 0 400.00 286.10 414.04 333.63 |
|
| 1799.86 964.55 |
|
| 82141.89 55865.50 |
|
| TOTAL NET ASSETS | |
| 224936.26 198937.50 |
|
| PARISH FUNDS Unrestricted Restricted Endowment |
62934.67 151282.23 21904.56 45409.6 2250.27 2245.91 |
| 87089.50 198937.5 |
8
PAROCHIAL CHURCH COUNCIL OF OVENDENT ST.GEORGES
PAROCHIAL CHURCH COUNCIL OF OVENDEN ST. GEORGES
NOTES FOR THE FINANCIAL STATEMENT (CONT.) FOR THE YEAR ENDING DECEMBER 2021
| 2 INCOMING RESOURCES |
2021 Unrestricted Funds Restricted Funds Endowment Funds |
|---|---|
| 2(a) Voluntary Income Planned Giving:- Gift Aid Donations 27871.00 280.00 0.00 28151.00 Tax Recoverable 10706.58 0.00 0.00 10706.58 Other Planned Giving 13166.50 0.00 0.00 13166.50 Collections (open plate) 1585.39 0.00 0.00 1585.39 Grant Buildings 0.00 0.00 0.00 0.00 Donations, appeals, etc 2177.21 1040.00 0.00 3217.21 Legacies 0.00 0.00 0.00 0.00 Event Weekends 0.00 777.00 0.00 777.00 55506.68 2097.00 0.00 57603.68 2(b) Activities for genetating funds Cofee 66.33 0.00 0.00 66.33 Fair Trade 0.00 0.00 0.00 0.00 66.33 0.00 0.00 66.33 2(c) Income from Investments Dividends 0.26 0.00 0.00 0.26 Interest 0.00 0.00 0.00 0.00 Interest CBF 0.00 23.38 0.00 23.38 Other tax recoverable 901.04 0.00 0.00 901.04 901.30 23.38 0.00 924.68 2(d) Income from church activities Lettings 6977.00 0.00 0.00 6977.00 Rent to St. Georges House 3000.00 0.00 0.00 3000.00 Fees 1644.00 0.00 0.00 1644.00 11621.00 0.00 0.00 11621.00 Other Income 2(e)Insurance Claims 5600.00 0 0 0 Payments uncollected 0.00 0 0 0.00 Received in error 93.48 St George’s Water 217.00 Refunds Restricted 1680.27 0.00 0.00 1680.27 7590.75 0.00 0.00 7590.75 |
27871.00 280.00 0.00 28151.00 10706.58 0.00 0.00 10706.58 13166.50 0.00 0.00 13166.50 1585.39 0.00 0.00 1585.39 0.00 0.00 0.00 0.00 2177.21 1040.00 0.00 3217.21 0.00 0.00 0.00 0.00 0.00 777.00 0.00 777.00 |
| 55506.68 2097.00 0.00 57603.68 |
|
| 66.33 0.00 0.00 66.33 |
|
| 0.26 0.00 0.00 0.26 0.00 0.00 0.00 0.00 0.00 23.38 0.00 23.38 901.04 0.00 0.00 901.04 |
|
| 901.30 23.38 0.00 924.68 |
|
| 6977.00 0.00 0.00 6977.00 3000.00 0.00 0.00 3000.00 1644.00 0.00 0.00 1644.00 |
|
| 11621.00 0.00 0.00 11621.00 |
|
| 5600.00 0 0 0 0.00 0 0 0.00 93.48 217.00 1680.27 0.00 0.00 1680.27 |
|
| 7590.75 0.00 0.00 7590.75 |
|
| TOTAL INCOMING RESOURCES | 75686.06 2120.38 0.00 77806.44 |
11
PAROCHIAL CHURCH COUNCIL OF OVENDENT ST.GEORGES
2020
25557.00 7683.15 7189.00 1622.85 0.00 2690.82 360.00 725.00 45827.82
97.52 0.00 97.52
0.00 0.00 55.11 0.00 55.11
5597.00 1500.00 1159.56 8256.56
0.00 2454.07
180.25 2634.32
56871.33
11
PAROCHIAL CHURCH COUNCIL OF OVENDEN ST. GEORGES
PAROCHIAL CHURCH COUNCIL OF OVENDEN ST. GEORGES
NOTES FOR THE FINANCIAL STATEMENT (CONT.) FOR THE YEAR ENDING DECEMBER 2021
| 3 RESOURCES EXPENDED |
Unrestricted Funds Restricted Funds Endowment Funds |
|---|---|
| 3(a) Church activities Missionary & Charitable Giving:- Overseas: Missionary Societies - links Relief & Development Home Missions Secular Charities Ministry and Upkeep Parish Share Clergy Fees and Expenses Church Expenses Vicarage Expenses Other wedding and funeral expenses Church Maintenance Hall Expenses Hall Maintenance St. Georges House expenses St. George's House Maintenance Cleaning tasks - House & Hall Event Weekends (Ladies Weekend) Event Weekends (No 1 A/c) Outreach Administration Costs Bank correction Error refunded Accountant Publicity/Website |
0.00 0.00 0.00 0.00 0.00 0.00 0.00 1775.00 0.00 0.00 700.00 0.00 0.00 616.21 0.00 0.00 |
| 3091.21 0.00 0.00 |
|
| 31327.00 0.00 0.00 642.76 0.00 0.00 7256.20 7027.70 0.00 0.00 0.00 0.00 762.00 0.00 0.00 1541.94 0.00 0.00 4644.62 0.00 0.00 0.00 1500.00 0.00 1468.81 0.00 0.00 1570.12 0.00 0.00 0.00 0.00 0.00 0.00 2380.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 820.29 0.00 0.00 1.20 0.00 0.00 93.48 0.00 0.00 0.00 0.00 0.00 0.00 0.00 |
|
| 50128.42 10907.70 0.00 |
|
| TOTAL RESOURCES EXPENDED | 53219.63 10907.70 0.00 |
12
PAROCHIAL CHURCH COUNCIL OF OVENDEN ST. GEORGES
| 2021 | 2020 |
|---|---|
| 0.00 | 0.00 |
| 0.00 | 0.00 |
| 0.00 | 0.00 |
| 1775.00 | 0.00 |
| 700.00 | 100.00 |
| 616.21 | 892.10 |
| 3091.21 | 992.10 |
| 31327.00 | 19537.00 |
|---|---|
| 642.76 | 236.05 |
| 14283.90 | 7304.73 |
| 0.00 | 112.00 |
| 762.00 | 332.56 |
| 1541.94 | 607.14 |
| 4644.62 | 4558.32 |
| 1500.00 | 243.64 |
| 1468.81 | 2027.67 |
| 1570.12 | 1108.20 |
| 0.00 | 0.00 |
| 2380.00 | 0.00 |
| 0.00 | 0.00 |
| 0.00 | 0.00 |
| 820.29 | 866.96 |
| 1.20 | 0.00 |
| 93.48 | 0.00 |
| 0.00 | 0.00 |
| 0.00 | 143.88 |
| 61036.12 | 37078.15 |
| 64127.33 | 38070.25 |
12
| Charity Collections Extra gifts not on Mission sheet as at Cheque NoItem 12/31/2021 3100 Christingle 3099 Unicef 3085 Happy Days 3087 Christians Together Year-End IE Fee as at Cheque NoItem Operating Expenses as at Cheque NoItem 12/31/2021 pd online C M Garlick Utilities as at Cheque NoItem 12/31/2021 DD SSE – Elec DD Crown Total Accruals Debtors 12/31/2021 Preschool – Nov |
Amount Notes 210.82 cheq sent 3/12/2021 -cashed 11 Jan 2022 100.00 cheq sent 20/12/2021, cashed 10 Jan 2022 125.00 cheq sent 29/7/2021 – Cashed 6/9/2021 (Auditor Fees) 125.00 cheq sent 14/9/2021 – cashed 27/10/2021 (Auditor Fees) 560.82 Amount 0.00 Amount 400.00 Dec Inv pd 7 Jan 2022 400.00 Amount 414.04 Cleared Feb 2022 534.50 Cleared 17 January 2022 948.54 1909.36 814.00 pd Jan 2022 |
|---|---|
814.00
NOTES FOR THE FINANCIAL STATEMENT (CONT.) FOR THE YEAR ENDING DECEMBER 2021
| 5 | Unrestricted Restricted Funds Funds FIXED ASSETS PROPERTY - AT COST |
Endowment Funds 2021 |
|---|---|---|
| 5a | ||
| 5b | St. Georges House Church Hall TOTAL INVESTMENTS Name of Fund:- Type of Fund Asset |
92000.00 50300.00 |
| 142300.00 | ||
| 2021 Value |
||
| 6 | ||
| Fixed Interest 453 Shares Securities Fund Lloyds Shares 39 Shares TOTAL DEBTORS(unrestricted funds) |
475.65 18.72 |
|
| 494.37 | ||
| 2021 | ||
| 7 | Other debtors LIABILITIES |
|
| 814.00 | ||
| 2021 | ||
| 8 | Accruals (accountant fee) Operating Expenses Other accruals (utilities) Charity Collections TOTAL FUND MOVEMENTS |
0.00 0.00 414.04 985.82 |
| 1399.86 | ||
| From No 1 to RF (BLG) -40.00 To RF from No 1 40.00 From No1 to A Dennison -2215.00 To RF A Dennison 2215.00 From No1 to RF Blg -40.00 To RF from No 1 40.00 From No 1 to RF Redecor fund -3000.00 To R.F. (Blg) - wrong chq s/be R.F. q 3000.00 From No 1 to R.F. Blg -40.00 To RF Blg 40.00 From No 1 to R.F. Blg -40.00 To R.F. Blg 40.00 From No 1 to R.F. Blg -185.53 To R.F. Blg 185.53 From No 1 to R.F. Garden fund -70.53 To R.F. Garden from No 1 70.53 From No to R.F. Music -175.72 To R.F. Music From No 1 175.72 From No 1 to R.F. O/head -469.26 To R.F. O/head from No 1 469.26 From No 1 to R.F. Blg -5600.00 To R.F.Blg 5600.00 From No 1 to R.F. P Dennison -3200.00 To R.F. P Dennison 3200.00 From No 1 to R.F. P Dennison -6800.00 To R.F. P Dennison 6800.00 |
21876.04 -21876.04
Endowment Funds
2020 92000.00 50300.00 142300.00
2020 Value 588.90 14.36 603.26 2020 443.90 2020 0.00 286.10 333.63 344.82 964.55
2021
----- Start of picture text -----
Jan Feb Mar Apr May June July Aug Sept Oct Nov Dec
Collections - Receipts
Children Society 366.64
Happy Days 125.00
Mission W Vision 1375.00
Jars of Grace 71.39
Pennies for Mara 1000.00
UNICEF 100.00
British Legion 100.00
Christians Together 300.00
CMS 1000.00
CICS 350.00
0.00 0 0 0 0 0 125.00 0 0.00 300.00 100.00 4263.03
Collections - Payments
Children Society 366.64
Happy Days 125.00
Mission W Vision 1375.00
Jars of Grace 71.39
Pennies for Mara 1000.00
UNICEF 100.00
British Legion 100.00
Christians Together 300.00
CMS 1000.00
CICS 350.00
538.03 0 0 0 0 0 0 0 125.00 0 100.00 4025.00
Collections - Reconciliations
Children Society 366.64 366.64
Happy Days 125.00 125.00
Mission W Vision 2,750.00
Jars of Grace 71.39 71.39
Pennies for Mara 2,000.00
UNICEF 100.00 200.00
British Legion 100.00 200.00
538.03 125.00 125.00 100.00 5,588.03
----- End of picture text -----
Totals
366.64 125.00 1375.00 71.39 1000.00 100.00 100.00 300.00 1000.00 350.00 4788.03
Totals
366.64 125.00 1375.00 71.39 1000.00 100.00 100.00 300.00 1000.00 350.00 4788.03
Totals
733.28 250.00 2,750.00 142.78 2,000.00 300.00 300.00 6,476.06
PAROCHIAL CHURCH COUNCIL OF OVENDEN ST.GEORGES CASH ASSETS
NOTES FOR THE FINANCIAL STATEMENT (CONT.) FOR THE YEAR ENDING DECEMBER 2021
9 FUNDS
Of the investments listed in 5b. K Proctor is a restricted endowment .
The cash assets are detailed below.
| ACCOUNT TYPE |
2021 2020 |
2021 2020 |
|---|---|---|
| General Account Unrestricted Cheques O/s Restricted Funds A/C Building Fund Restricted Discretionary Fund Restricted Healing Team Restricted Ladies Weekend Restricted Parish Away Restricted Organ Fund Restricted Music Restricted Redecoration Fund Restricted Overhead System Restricted Garden Project Restricted WDBF Grant Restricted Church Signs Restricted Outreach Restricted M Rushforth Restricted Social Fund Restricted AP Dennison Restricted Miscellanious Restricted J Wilkinson Restricted G Stubbs Restricted Restricted CBF Account K. Procter Bibles Endowment Maintenance Restricted Music Endowment Graveyard Endowment Phylis Stoker Restricted Audrey Briggs Restricted J & E Dennison Legacy for PCC Overhead Projector Restricted I Charnock Designated by PCC R Pickard Designated by PCC CBF Maintenance Investment Restricted TOTAL FUNDS A Dennison Family Settlement Fund |
17183.41 18815.40 985.82 223.20 |
|
| 16197.59 | 18592.20 | |
| 43707.22 30691.88 |
||
| 20077.10 19530.81 357.89 357.89 0.00 26.16 1427.57 3030.57 0 0.00 448.92 469.41 215.72 40.00 1611.74 11.74 -57.7 36.01 388.89 318.36 100.00 100.00 0.00 0.00 753.43 753.43 0.00 0.00 349.00 349.00 0.00 0.00 26.16 0.00 668.50 668.50 5000.00 5000.00 12340.00 0.00 |
||
| 224.19 1102.07 |
||
| 224.01 203.84 0.00 183.15 0.18 175.29 0.00 70.53 0.00 0.00 0.00 0.00 0.00 0.00 0.00 469.26 0.00 0.00 0.00 0.00 |
||
| 6000.00 6000.00 |
||
| 66129.00 56386.15 |
PAROCHIAL CHURCH COUNCIL OF OVENDEN ST.GEORGES CASH ASSETS
| TOTAL FUNDS | 66129.00 56386.15 |
|---|---|
| Unrest'd Restricted Endowment Legacies Designated |
16197.59 18592.20 49707.22 37344.29 224.19 449.66 0.00 0.00 0.00 0.00 |
| 66129.00 56386.15 |
PAROCHIAL CHURCH COUNCIL OF OVENDEN ST.GEORGES CASH ASSETS
PAROCHIAL CHURCH COUNCIL OF OVENDEN ST.GEORGES CASH ASSETS
CHARITY COMMISSION FOR ENGLAND AND WALES Independent examinerfs report on the accounts Section A Independent Examinef s Report Rel to the St Grge'S Thurch 2 Lllac SL Halifax HX3 5BT membgrs of On accounts for the y1 31 December 2021 Charity no.: Set out on pages l pOrt to the charity trustees ¢)n my examination of the ac£ounts ofthe Company for the year ended Responsibilities and basis of rop(xt As the char5 trustees of the Cc¥npany (who are also the dIror9 of Ihe Cofnpany the purFrt)ses of company lawl. you are responsib for the preparation of the ac(XMJnts aC(x)rd with the requirements of Companies Act 2006 (Ihe 2006 Acn. Having satisfied myself that the aC)Unts the Company are not required to be audrted for this year under Part 16 of the Aci and are elhjible for Indepe exarninatw. I reFQrt in respeci of rrty examinatwjn of your charws accounts as carried out urxjer section 145 of the Charities Act 2011 (Ihe 2011 W). In canytng out my examinatM)n, I have folh)wed the DIrecnS given by the Charity CommissM)n (under seCtn 14515Xb} of the 2011 ACL Independent examlnerfs statement to I have compted my exanynatK)n. I confinn that no materpl tter$ have which gNes me cause to bdieve that". • accounting records not kept in cordanCe with section 386 of the Companies Act 2006.. . Ihe accounts do not accord *ith sh lds. ( . the accounts do not compty with relewant aruntIng requirnents under section 396 of the Companies Act 2006 other than any requirement that the accounts give a Xrue and fairf view whth 15 not a matter consKlered as part of an indnderrt examinalM)n", LY .the a¢¢ounts have not been prepared in w>3)rd with the Charities SORP IFRS102). IER Octobèr 2018
I have no concems and have acrrth no other matters in connection with the eXa1Tna1)n to whth attentK)n shouhl be dravdn li this pOrt in order to enable a proper understandiNJ of the accounts to be rexhed. ' Please delete the words in the brackets rfthey (*) not apply. Signed: 2022 John R Hudson Relevant professional qualificationlsl or body lrfany): Msc {Inforn]ation Management) Addre. Haiifax HX3 6NE Section 8 Disclosure Onty complete rf the exarruner needs to highlight matsrial rrratters of conrn (see CC32, Independent examir¥ation of charity accounts: direction$ arKI gUan for ey2miners). Give hero brief details of any items that the •xaminer wishes to disclosè. IER October 2018