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2023-12-31-accounts

THE ANNUAL REPORT AND FINANCIAL STATEMENTS FOR ST MATTHEW'S WESTMINSTER FOR THE YEAR ENDED 31ST DECEMBER 2023

The Annual Report and Accounts of the Parochial Church Council of the Ecclesiastical Parish of St Matthew’s Westminster

20 Great Peter Street, Westminster SW1P 2BU 020 7222 3704 office@stmw.org www.stmw.org Registered charity 1132355

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST MATTHEW'S WESTMINSTER

CONTENTS

Pages 2 to 12 Trustees Annual Report
Page 13 Statement of Financial Activities
Page 14 Balance Sheet
Pages 15 to 28 Notes to the Financial Statements
Page 29 Independent Examiners Report

1

ST MATTHEW’S WESTMINSTER

ANNUAL REPORT 2023

The Annual Report of the Parochial Church Council of the Ecclesiastical Parish of St Matthew’s Westminster, 20 Great Peter Street, Westminster SW1P 2BU 020 7222 3704 office@stmw.org www.stmw.org Registered charity 1132355

2

Contents

Foreword by the Parish Priest 4
About St Matthew’s, Westminster 5
Members of the PCC 6
Review of 2023 7
Westminster (St Margaret) Deanery Synod 2023 10

3

Foreword by the Parish Priest

The Annual Parochial Church Meeting is an important occasion in the life of a parish. It is when we elect churchwardens and members of the parochial church council for the coming year, and when we give account to one another for our stewardship of the church. It provides a snapshot of the life of our community, which is part of a continuum of faith stretching back locally to the foundation of St Matthew’s in 1849 and in the universal church back to Christ himself. The Epistle of James reminds us that we are heirs of the kingdom which Christ promised to those who love Him .

This snapshot of the past year should give cause for encouragement. We have seen growth in our community in a variety of ways, for which we must be thankful for the grace and love of God and also for the gift of one another. St Matthew’s is a richly diverse community, and we are greatly blessed by the communities of people who together make St Matthew’s – our Sunday and weekday congregations, the wider friends of St Matthew’s who support our life and mission, and the many visitors who see us as their London home. St Matthew’s is a remarkably busy, seven day a week church and we are enormously blessed by the generous commitment of many people that helps sustain and grow our common life.

At the heart of our life together is the daily rhythm of prayer which sustains and defines all that we seek to do.

As we give thanks for the last year we look forward to new challenges and opportunities. The church can never stand still, and in the year ahead we will be revisiting our Mission Action Plan as we respond to the call to be good and faithful stewards of the mysteries of God. Thank you to all who contribute to our common life and help make St Matthew’s such a remarkable place.

Fr Philip Chester Parish Priest

4

About St Matthew’s Westminster

Aim and purposes

The Parochial Church Council (PCC) is required to co-operate with the incumbent in promoting in the ecclesiastical parish the whole mission of the Church, pastoral, evangelistic, social and ecumenical.

Objectives and activities

The specific objective of St Matthew’s Westminster is to be a witness to the Catholic faith within the Church of England, drawing people from a wide area to the worship of God through Catholic teaching and practice, in particular, through its threefold ministry of prayer, hospitality and dialogue.

Structure, governance and management

The method of appointment of PCC members is set out in the Church Representation Rules. All church attendees are encouraged to register on the Electoral Roll and stand for election to the PCC. The members of the PCC, who are its trustees in law, have had regard to the Charity Commission’s guidance on public benefit. The PCC held eight meetings during the year including the meeting to approve the Annual Report and Accounts, the Annual Parochial Church Meeting (“APCM”) and the formal meeting to elect its officers. The PCC is made up of 9 ex officio members and up to 12 elected members. There is a Standing Committee of five members that prepares agendas for full PCC meetings and deals with urgent business between meetings.

A complete list of members who served on the PCC during the year is included on the next page. The number on the Electoral Roll announced at the APCM in 2022 was 149. The combined number of ‘usual weekly attendees’ is about 160.

Jane Kennedy became the Safeguarding Officer in 2023 and attended the initial in-person training course run by the Diocese and passed the Church of England Foundation course. Safeguarding procedures had been thoroughly reviewed in 2017 and the annual review of safeguarding policies and procedures was undertaken in 2023. Jane Kennedy took on the role of Data Protection Officer in 2018. Privacy Notices were issued when required.

Legal and administrative information

The full name of the parish is St Matthew’s Westminster. The address of the church is 20 Great Peter Street, London SW1P 2BU. Correspondence should be sent to the Parish Priest, Fr Philip Chester, at that address. The PCC is a charity registered with the Charity Commission under number 1132355.

5

Members of the PCC

Ex Officio members

Incumbent Fr Philip Chester * (Chairman)

Assistant priests

Fr Peter Hanaway; Fr Jonathan Aitken; Fr Michael Skinner;

Headteacher : Rachel Jewitt (until July 2023); Sarah Maltese (from September 2023)

Churchwardens : Jess Streeting* ; Simon Lello * (Vice Chairman and Parish Giving Officer) (until June 2023); Alastair Callcutt (from June 2023)

Deanery Synod Representatives

Jane Kennedy *, Secretary, Safeguarding Officer, Weekday Representative; Alastair Callcutt

Elected Members

Jessie Chawda Stephen Hewitt Danny Johnson Simon Lello (elected June 2023) Susan Lowson Ray Mingay Eithne Risner Craig Shenton Muriel Zagha-Shore * Daniel Bird (Treasurer) (co-opted until December 2023)

In Attendance

Director of Music – Nigel Groome Interim Operations Director – Fr Peter Bradley *Dean Bucknell appointed Treasurer ‘in attendance’ in December 2023. Ted Smyth -Assistant Treasurer Pastoral Assistant: Daniel Binder

* Member of the Standing Committee

6

REVIEW OF 2023

The Parochial Church Council

The Annual Parochial Church Meeting provided the opportunity on Sunday 11 June for the church community to come together to review the year. PCC meetings were held in person with a few people occasionally attending via Zoom for personal reasons. Rachel Jewitt , headteacher of St Matthew’s School, left the PCC in July to take up a new headship in September. A party was held after the September meeting to welcome Sarah Maltese, the new Executive Headteacher of St Matthew’s School and St Barnabas School.

Congregational Life

Services have continued to be streamed and reached a wide audience.

Sunday summer lunches were held after Mass for the congregation in June and July, each Sunday having a menu based on a different country.

The annual parish pilgrimage to Walsingham was held at the end of April, and we were once again joined by members of the parish of Christ the Saviour, Ealing.

A group from the parish spent a day in the parish of All Saints, Upper Clatford, Hampshire in October that was organised by Jane Kennedy. Activities included a guided tour of the church, lunch in a country pub and a walk to an Iron Age hillfort in the village.

Special Services

Lent was marked with a series of sermons at the Sunday Mass by each of the priests based at St Matthew’s on the theme of ‘ If I only had one sermon to preach’. A Lent booklet was published weekly which was also shared with our American twin church in New York.

The coronation of His Majesty King Charles III was marked with a special Choral Evensong when the preacher was the Revd Thomas Wodehouse, Chaplain to the Royal Victorian Order and to the Savoy Chapel.

The Patronal Festival was an opportunity for a celebration on 21[st] September and the preacher was Fr Alan Moses. This Patronal Mass was followed by a party. Other significant days in the Church calendar were marked by visiting preachers.

Weekday Choral Evensong

Throughout the year, Choral Evensong was held on Wednesday evenings, when a different visiting speaker was invited to give a short homily along the lines of the Radio 4 Thought for the Day . Some of the speakers were from the St Matthew’s community. Other speakers included Quentin Letts, journalist and author and the Speaker of the House of Commons, Sir Lindsay Hoyle. This series of services also included the popular ‘Come and Sing’ Evensongs, promoted by Jessica Stewart, which attracted a large number of people to form a scratch choir.

7

Engagement with the Wider Community

St Matthew’s hosted a meeting with local community representatives re current state of the environment around the church and school which was attended by Nickie Aiken, MP, the three Ward councillors, Metropolitan police reps and Mary O’Connor, Neighbourhood Coordinator for St James’s Ward from Westminster City Council to discuss the anti-social behaviour. Local residents from the Peabody Estate attended together with the Executive Headteacher from the school.

Music – Report from the Director of Music, Nigel Groome

The choir has continued to provide music to enhance our liturgy each Sunday of the year in groups of varying sizes or with a single cantor. In addition a Tuesday Plainsong Evensong has been sung and a Wednesday Choral Evensong. The Come and Sing Evensongs have gone from strength to strength with up to 50 singers taking part. It was also a pleasure to welcome the choir of Westminster School to sing for us. We are extremely grateful to the MacDonald Agape Foundation for their continued support of our Wednesday Evensong, enabling us to invite eminent speakers and to provide post service hospitality.

Sam Bristow left us in September to take up his new position as Assistant Organist of Chelmsford Cathedral. I am immensely grateful to Roger Sayer for stepping in to help us. He has been an incredibly supportive colleague. It has been a privilege to work with such a brilliant accompanist and fine choir trainer. We have known each other since teenage days so it has been extremely rewarding to team up together again.

In May we held a workshop for young organists sponsored by the Royal College of Organists. It is good to see that there are still young students who are keen to play the organ. They need encouragement and support and we have tried to keep in contact with them. It can be difficult to find rehearsal instruments when so many churches are kept locked. It has been a rewarding pleasure to welcome some of them back to St Matthew’s.

In September the choir gave a concert to a packed church for the Rivett-Carnac trust who have been generous sponsors of our choir.

In January we once again broadcast Choral Evensong live on Radio 3. This is a massive outreach opportunity for St Matthew’s with millions listening worldwide. It also brings inquisitive London visitors to our services from time to time.

Tuesday Plainsong Evensong has now been replaced with our new weekly service of Compline. The ancient office of Compline derives its name from a Latin word meaning ‘completion’. It is a contemplative service of quietness and reflection which emphasises spiritual peace at the end of the day. It is sung to simple chants and hymns.

Social Events

A varied programme of social events was held throughout the year which included a theatre trip, visits to museums and the launch of a Supper Club for the congregation with a supper in a different restaurant each month.

8

Website

The church website was re-designed by Daniel Binder, Pastoral Assistant, in 2023. Advice and assistance was also received about social media for the church.

This report was approved by the PCC on 29 April 2024, and signed on its behalf by:

Fr Philip Chester Parish Priest and PCC Chairman

Jane Kennedy PCC Secretary

9

Westminster (St Margaret) Deanery Synod Triennium 2023-2026

The Westminster (St Margaret) Deanery is the largest of the three deaneries in the archdeaconry of Charing Cross, which broadly covers the modern City of Westminster within the Two Cities Area of the diocese.

Our deanery encompasses the historic City of Westminster, including most of the ‘West End,’ as well as Whitehall, Belgravia, Pimlico, and Knightsbridge. It juxtaposes areas of significant social and economic deprivation with affluent neighbourhoods. Notably, it is home to Parliament, government departments, major businesses, and organizations. The deanery comprises nineteen parishes, eleven church schools, and several other congregations and institutional chaplaincies.

Due to its location and historical significance, the deanery accommodates a diverse range of churchmanship representing the comprehensiveness of the Church of England, and + Sarah serves as our Area Bishop.

2023 saw the end of the triennium for the deanery, and thus was a year of change. Parishes elected new members to the synod, and new officers elected.

In June at the start of the new triennium Bishop Sarah visited the deanery, commencing with school worship at St Peter’s, Eaton Square, followed by a clergy Chapter meeting at St Michael’s, Chester Square. During lunch at the Grey Coat Hospital, the Bishop engaged with staff and students, who led a discussion on school life and posed insightful questions. Continuing to St Stephen’s, Rochester Row, Bishop Sarah interacted with members of the Tamil community before concluding the day at St Anne’s Soho with a deanery Eucharist. The day concluded with the annual Deanery Garden Party, held at the delightful garden of St Paul’s Covent Garden.

The Deanery Synod convened at St Peter’s, Eaton Square on November 27, 2023, during which David Richards delivered a valedictory address after many years of service as Deanery Lay Chair. Discussions centred on the current status of our deanery schools, which are grappling with significant demographic changes and declining rolls. An election was held for Deanery Synod Officers, resulting in the appointment of Richard Carter (St Peter, Eaton Square) as Lay Chair, Linda Ulrich (St Barnabas, Pimlico) as Secretary, and Fr John Pearson-Hicks (St Barnabas, Pimlico) as Chair of the Education Committee.

The Synod will reconvene on Wednesday, May 1 at St Mary’s, Bourne Street, where the new Archdeacon of Charing Cross, the Ven. Katherine Hedderly, will speak to us. The annual Garden Party will take place in June at the Master’s Garden at the Temple, preceded by Choral Evensong.

The strength of our deanery life is evident in the deepening friendships and shared sense of mission cultivated over the years. The Deanery Synod serves as a valuable platform for strengthening our partnership in the gospel.

Deanery reps from our parish are: Jane Kennedy and Alastair Callcutt

10

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH

OF ST MATTHEW'S WESTMINSTER

TRUSTEES ANNUAL REPORT

Financial review

The total surplus for the year was £28,848, compared to a large deficit of £153,718 in 2022. Around two thirds of this surplus (£22,778) related to unrealised gains on investment assets as they recovered in value from the prior year.

A reconciliation of underlying income and expenditure with the net income reported under FRS102 is set out below:

2023
2022
2021 2020
£
£
£ £
Underlying net surplus/(deficit) 6,070 (77,405) (13,133) (11,985)
Less: major capital expenditure - - (22,120) (7,927)
Less: exceptional grant income - -
(38,000) 0
Net surplus / (deficit) before unrealised gain and losses 6,070 (77,405) 2,747 (19,912)
(Losses) / gains on investment assets 22,778 (76,313) (2,688) 13,554
Net surplus/(deficit) reported under FRS102 28,848 (153,718) 59 (6,358)

All the adjusting items are either one-off and not expected to be repeated, or are out of the control of the PCC, and they have therefore been excluded from the underlying net deficit. In a change to prior years, the underlying net gain in 2023 was due to significant improvement in income from church activities and the conference centre. The financial viability of the church relies on the continued profitability of the conference centre, which is on course to recover to pre pandemic levels by the end of 2024.

Income – increased by 61%

The church’s total income in 2023 was £217,673 (2022: £136,478). This main reason for this was a significant increase in donations from the conference centre in 2023 to £56,809 (2022: £25,552) as conference clients returned to hiring conference space post pandemic.

The level of congregational giving remained roughly in line with 2022. The level of donations from visitors to the Clergy House continued to increase as occupancy continued to increase following the resumption of travel after the pandemic.

Expenditure – decreased by 3%

The church’s total expenditure in 2023 was £211,603 (2022: £216,148). A large part of this decrease represented the partial suspension of Common Fund contributions paid to the Diocese of London. The Parish contributed £ nil to the Diocese in 2023 (2022: £27,000). The prudent resumption of Common Fund contributions to the Diocese of London in 2024 will consider the church having to achieve a balanced budget going forward.

Financial Management

The PCC has a Financial Management Policy which meets the requirements of the Charities Act 2011, the Charity Commission guidelines ‘Internal Financial Controls for Charities’. Financial management is the responsibility of all PCC members, but day-to-day financial matters are delegated to the Finance Committee (replaced in Jan 2024 by the Standing Committee). During 2023, the PCC met on seven occasions to oversee financial planning and financial management for the Parish. The Committee also reviewed financial controls and expenditure authorisation limits, as well as updating risk management practices to ensure they were consistent with best practice. In Jan 2024 a new Financial Approval Policy was implemented and API enable software to support this audit approval process was also installed, linked to the accounting software.

The PCC also discussed the Parish’s financial position at all its meetings during 2023. This included discussion of the significant deficit position and the desire to return the Parish’s unrestricted funds to a net surplus position, in line with the reserves policy. The PCC’s plans to achieve this rest on three main actions: (1) supporting improvements at the Conference Centre aimed at improving the overall surplus generated by the trading entity; (2) identifying grant funding opportunities for specific areas of the Parish’s work (particularly for music at St Matthew’s and for the vocations programme); and (3) running a stewardship campaign aimed at increasing the amount of giving by the congregation and wider community.

11

The PAR￿1¢1￿( CHUPCII COVNCIL OV ThE ECCiESIAsncAL PA1115H OF ST MATfHEW'S WE$fMtIl￿ER TIiUSTEfS AMIIUAL REPORT As kn prevx)us yea￿. the PCC cr￿91￿ere0 the IC4h￿n9 factN5 ￿ arrfvlng * its ¢erwes ￿tr.. The PCC is depEndent OD comrnercial Incorne from the coftference centre to m&ntaln surp)uses. should only be kepr In reserve for sDe£ifi¢ purpose5. Avaib fu￿5 shou￿ be spent on furthenng aims of the ¢hurth. The PCC need5 to plan to pay its full Cotnmon Fund. when Circumstanc•s 4llow. sen￿b￿ plannlng for unknown evènts Is 1mDortant. The seeks to 5ecvre rhe Income streams from the clergy htyjse and conlererKe cenire a)d thertfore costs In reladon to mJlntenance and upkeep of those builJllWJS r•rn•ll￿ • pnomy. Poll¢v The PCC'S reserves policy reffjalned Unchanged In 2023. The PCC intends to keep £175.000 ￿ gener free reseThes to lover staff costs, workitJ Ca4) unforeseen emergenthes. Th6 reprp5Ent5 SIX Morth5' thuTch runniTrJ costs of approxIma￿l¥ £95,000 and >x months. tonlerence cettre I￿Orne. apwoxim•tely £80.000. In of the state of the buiklin9S the PCC wiu endeavout to •#0 £25,000 10 deg9tthd feserves year unbi there are •OOi¢iM•I c•pft¥ fvnds of K75.000. ts me a to141 of 6250,1)r)o. IA ts evbdent from the Kcrwnts, the Pffth's Iln•ficTrol gerfmnance In 2023, has rt01￿0 lurtI￿r depletyon of It5 unrestrtcted reserves. At 31 December 2023. Yree re5erve5' {that 15 re5er¥e5 exdudiny the Trevelyan Tru5r, ertOOY4m)I fuiwj the revaluation re5er¥e. but I￿lUOing re5tryLted bJTrJs1 were In deficit by £)68.246 12022. dehcrt ￿ £147,045). ThL% Is aDtyJ¢ £418.OCKJ belDWI the PCC'S stated fe5erve5 pollty, As noted •bove, three main actA)ns have been prorKJ5ed to return ihe Parf5h's reserves to the deslred level. From the performance ol the onfertnce Ctntre In 2023. the maln artigrt5 Df 2023 to Itnprove the deficit were Iruidul, ths Improved perform•nce h•$ ctsniinuea Into 2024. Music gronts ro support rhe C￿ of muslc In the church of £18,500 ere received In 2023, and a 5irnll4r amount Is expoctod lo be raised in 2024. The PCC have yel io run a stewaroship campaign, but are currently eng?9in9 wlth rhe n of resources of the tharity fvr that perJd. In prepanr•9 t￿se fin4noal stsrements, the trustees • ert xiitable a¢uJunring rrt)iicies •nd apofy fhem wnsistentlv Observe the rnethods and pdnciples In the Charltle5 SORP.. Make Judgements and e5timote5 that are rel500a￿e aThJ prndent Prepart finan¢ial statements on th goin9 corKern basis unless Hwwroprt•i to pr•gJme trwt charlty wlll contlDue In exlstence. Slate whether appli£able ac£ountiDg Sthrtdarfs ￿¥t been I￿￿0. to èrty matedal Oepamires Y4hlch mu# tye disclose¢ eApl•lned kn the financkil statements Tnt trustees are responsib f¢r keepthg oroper ￿¢0￿￿tit) that di5dD5e rEa50nablé a¢¢urncy at any tfme Ihr finoncwl ptssit￿n of the charty and en•ble ro er6ure thbt the fir￿n(la st•t¢xTrents comply wlth the ChaNtits Att 2011. the Chartty (AcC￿nr5 Reports) Re9uLitions and the prOV￿￿s of Church Accountsng Re9ukiiion$ 2006. They are also respDnsib fof safe9uèrding the assets ol the chBrity herKe for tsklrvJ rea50nobie steps for the preventyon d of fraud atwj other lrregu￿rrt￿. Sl9ned OD behalf of tht Trusttes •rvJ PCC ￿l¢Mts￿ by.. Fr PhiHp hester P4n5h Prtest and Cholr or the PCC Jane Kennedy PCC Member 12

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST MATTHEW'S WESTMINSTER

STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31ST DECEMBER 2023

Notes
Income and endowments from:
Donations and Legacies
2a
Charitable Activities
2b
Investment Income
2c
Other Income
2d
Other Trading Activities
2e
TOTAL
Expenditure on:
Charitable Activities
3a
Raising Funds
3b
TOTAL
NET INCOME/(EXPENDITURE)
BEFORE INVESTMENTS
GAINS/(LOSSES)
Gains/(losses) on investment assets
NET INCOME/(EXPENDITURE)
Transfer Between Funds
10
Net movement in funds
Reconciliation of funds:
Total Funds Brought Forward
Total Funds Carried Forward
Unrestricted Unrestricted
Endowment
Restricted
TOTAL
TOTAL
General
Designated
Funds
Funds
Funds
Funds
2023
2022
£
£
£
£
£
£
163,319
16,377
0
22,190
201,886
124,896
1,263
0
0
0
1,263
472
7,847
0
0
0
7,847
8,805
3,235
0
0
3,408
6,643
3,278
34
0
0
0
34
0
175,698
16,377
0
25,598
217,673
137,451
171,480
3,507
0
20,704
195,691
201,618
15,695
0
0
217
15,912
13,238
187,175
3,507
0
20,921
211,603
214,856
(11,477)
12,870
0
4,677
6,070
(77,405)
0
0
21,978
800
22,778
(76,313)
(11,477)
12,870
21,978
5,477
28,848
(153,718)
(7,125)
0
0
7,125
0
0
(18,602)
12,870
21,978
12,602
28,848
(153,718)
(144,780)
6,081,269
346,505
19,570
6,302,564
6,456,282
(163,382)
6,094,139
368,483
32,172
6,331,412
6,302,564

Movements on all reserves and all recognised gains and losses are shown above. All of the organisation's operations are classed as continuing.

The notes on pages 15 to 28 form part of these financial statements.

13

THE PAROCHIAL CHURCH COVNCIL OF THE ECCLESIASTICAL PAliIStrt OF ST MArrHEW'S WESTMIMSYER LANCE SHEET AS AT 31sr DECEMBER 2023 Notes Unrestrthd Unre5tritted Endowrnent Restrirted 31-Dec-23 31-Dec-22 Gentral Oesignate Funos Funds Funds Funds Total Totsl Flx•d A6sets Tangible a55et5 Investrnenr a55et5 Slal 12,528 6,000.922 15,002 6,013,450 6,015,951 255,066 282,288 230,558 9.506 Ctsrrek)t Assets DebtOTS sh ai b3nk Total Current Assets 79.653 323 563 143.910 79,653 30.245 8.712 31.686 93.217 137.925 137 925 Credltors: amounts falliDg aue within one year 47,002 47.002 36,273 NET CURREPIT ASSETS 1190.9121 93,Z17 137.925 22,666 62,896 4,325 TOTAL ASSETS le55 currwt Iiabilikne5 1163,382) 6.094.139 368.483 32,172 6,331.412 6.302.564 ET ASSErs 1163,382 6,Q94 139 368,483 32,172 6 331.412 6,302 564 Funds of the Ch•rlty General UnrÈStritted Funds De51gnated FunOS Restricted Funds Endowment Fund 1163,382) 1163.3821 1144,7801 6.094,139 6,081.269 32,172 19.570 368,483 346,S05 6,094.139 io li 32,172 368,483 Tot•1 Fuhds 163,382 6.094.139 368,483 31172 6.331.412 6.301564 Signed on behaw of the Tru5tee5 aDd PCC Menbers by.. Pcc hester Padsh Pnesi ond Chair of the PCC e Kennedy C Member 14

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH

OF ST MATTHEW'S WESTMINSTER

NOTES TO THE FINANCIAL STATEMENTS

FOR THE YEAR ENDED 31ST DECEMBER 2023

1. ACCOUNTING POLICIES

Basis of preparation:

The accounts are prepared under the historical cost convention, in accordance with the Church Accounting Regulations 2006 and Accounting and Reporting by Charities: Statement of Recommended Practice applicable to Charities preparing their accounts in accordance with FRS 102 (effective 1 January 2019) - (Charities SORP (FRS 102)) and the Charities Act 2011, with the exception of the valuation of freehold land and buildings, which are stated at fair value as at 1st January 2015 and 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.

The Charity meets the definition of a public benefit entity.

There are no material uncertainties about the charity's ability to continue in operation.

No changes to accounting estimates have occurred in the reporting period

No material prior year errors have been identified in the reporting period.

Some income and expenditure classifications have been presented slightly differently to previous reporting periods to create greater clarity and to provide more meaningful comparative information. The overall figures have not been restated.

Funds

Restricted Funds represent (a) income which may be extended only on those restricted objects provided in the terms of the trust or the bequest, and (b) donations or grants received for a specific object or invited by the PCC for a specific object. The funds may only be expended on the specific object for which they were given. Any balance remaining unspent at the end of each year must be carried forward as a balance on that fund. The PCC does not usually invest separately for each fund.

Unrestricted Funds are general funds which can be used for PCC ordinary purposes.

Designated Funds are earmarked by the PCC for particular purposes but are nevertheless still unrestricted as the PCC can redesignate the funds if it wishes.

The Endowment Fund is an expendable endowment that is invested to produce income. The PCC has the power to convert all or part of the endowment into an income fund which can then be spent

Income recognition

Income is included in the Statement of Financial Activities (SOFA) when:

Planned giving, collections and donations are recognised when received. Tax refunds are recognised when the incoming resource to which they relate are received. Grants and Legacies are accounted for when the PCC is legally entitled to the amounts due. Sales of books, CDs, magazines and candles, and funds raised by fairs and similar events, are accounted for gross when received. Dividends and bank interest are accounted for when receivable. All other income is recognised when it is receivable. All incoming resources are accounted for gross.

As part of the ministry of hospitality, the PCC allows individuals connected with the church to stay overnight in the clergy house. Guests are invited to make a voluntary donation to help meet the expenses of maintaining and running the house. Guests who wish to stay without making a donation are able to do so. The PCC has an obligation to take proper care of church funds and the PCC considers that any loss of income through its policy not to demand payment for accommodation falls within its charitable remit and any resulting cost to the PCC is appropriate charitable expenditure.

15

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH

OF ST MATTHEW'S WESTMINSTER

NOTES TO THE FINANCIAL STATEMENTS (continued)

FOR THE YEAR ENDED 31ST DECEMBER 2023

Government grants

The church has received no government grants during the reporting period.

Donated Services and Facilities

Donated services and facilities are included in the SOFA when received at the value of the gift to the charity provided the value of the gift can be measured reliably.

Volunteer Help

The value of any voluntary help received is not included in the accounts but is described in the Trustees Annual Report. Volunteers are used in all aspects of the activities of the church, including serving, readings, prayers, offertory and collections, preparing and serving food and drink at church events, helping with providing hospitality to guests, assisting in the office and providing other supporting roles, including bookkeeping, accounting and reporting.

Investment gains and losses

Gains or losses are recognised when investments are sold. Unrealised gains or losses are accounted for on revaluation of investments to market value the year end. The investment in St Matthew’s Conference Centre Limited is carried at historical cost in the balance sheet.

Trading subsidiary St Matthews Conference Centre

The conference centre is operated by a limited company with its own board of directors. Expenditure incurred and income generated by running the conference centre are not included in these financial statements, although a summary of income and expenditure is included in note 5(b) on page 21.

Expenditure recognition

Liabilities are recognised as expenditure as soon as there is a legal or constructive obligation committing the PCC to that expenditure, it is probable that settlement will be required and the amount of the obligation can be measured reliably. All expenditure is accounted for on an accruals basis. All expenses including support costs and governance costs are allocated or apportioned to the applicable expenditure headings

Grants and donations are accounted for when paid over, or when awarded, if that award creates a binding obligation on the PCC. The diocesan quota or parish share is accounted for when due. Although there is no legal obligation to pay outstanding Common Fund, it is the policy of the PCC to provide for unpaid amounts in these accounts. There were no such provisions at 31st December 2023 or 2022. All other expenditure is generally recognised when it is incurred and is accounted for gross.

The costs of generating funds consist of the costs of operating the clergy house and keeping it in a condition and state of repair suitable for guests.

Costs of church activities include grants made, governance costs and support costs.

Pensions Policy

During 2023, three employees of the PCC were enrolled in the defined contribution ‘money purchase’ scheme. Employer’s pension contributions were £2,146 in 2023 (2022: Two employees £2,092).

Tax Status

As a charity, the PCC is exempt from paying income and corporation tax.

16

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH

OF ST MATTHEW'S WESTMINSTER

NOTES TO THE FINANCIAL STATEMENTS (continued) FOR THE YEAR ENDED 31ST DECEMBER 2023

1.a) Fixed assets

Consecrated and Beneficed Property

The asset within this class is the church building.

According to the Legal Advisory Commission the ownership of churches and churchyards is in abeyance. Ownership but for that fact, i.e., the vestigial ownership interest, is vested in the existing corporation sole, which is, in effect, the corporate expression of the ‘cure of souls’ exercised by the incumbent for the benefit not only of the worshipping community but of all parishioners. The value of consecrated and beneficed property is therefore excluded from the accounts as permitted by s10(2) Charities Act 2011.

Other land and buildings

The asset within this class is the clergy house.

The clergy house was revalued in April 2017 by Mann Smith & Partners to its estimated ‘fair value’ as at 1st January 2015. No depreciation is charged on land and buildings, as any charge would be immaterial. No formal impairment review was undertaken during 2023. However based on the findings of the latest quinquennial review and the building survey undertaken during the year, the Trustees have identified no indications of impairment of the building as at 31 December 2023.

Moveable church furnishings

All expenditure on movable church furnishings and other equipment incurred during the year is capitalised and written off over estimated useful life, normally 5 years.

Fixtures, fittings and office equipment

Expenditure on other fixtures, fittings and office equipment is capitalised and written off over estimated useful life, normally 5 years.

Depreciation is calculated at a rate to write off the cost of tangible fixed assets on a straight line basis over their estimated useful lives. The rates applied per annum are as follows:

Moveable church furnishings 20% Fixtures, fittings and office equipment 20%

1.b) Investment assets

The assets within this class are listed investments and the unlisted investment in St Matthews Conference Centre.

Investments are initially recognised at their transaction value and subsequently measured at fair value at the balance sheet date using market prices. The Statement of Financial Activities includes net gains and losses arising on revaluations and disposals throughout the year. The PCC does not acquire put options, derivatives or other complex financial instruments. The main form of financial risk faced by the PCC is that of volatility in markets due to economic conditions, the attitude of investors to investment risk, and changes in sentiment.

Realised gains and losses

All gains and losses are recognised in the Statement of Financial Activities as they arise. Realised gains and losses on investments are calculated as the difference between sales proceeds and their opening carrying value or their purchase value if acquired subsequent to the first day of the financial year. Unrealised gains and losses are calculated as the difference between the fair value at the year end and their carrying value. Realised and unrealised investment gains and losses are combined in the Statement of Financial Activities.

17

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH

OF ST MATTHEW'S WESTMINSTER

NOTES TO THE FINANCIAL STATEMENTS (continued) FOR THE YEAR ENDED 31ST DECEMBER 2023

2. INCOME FROM:
Notes
a) Donations and Legacies
Congregational giving
Donation from Trading Subsidiary
5 (b)
Donations to clergy house
Friends of St Matthew's
Giving at services and church events
Grants received
Legacies
Tax recoverable through Gift Aid
b) Charitable Activities
Church Activities
Unrestricted
Designated
Restricted
TOTAL
TOTAL
Funds
Funds
Funds
2023
2022
£
£
£
£
£
43,320
0
3,690
47,010
46,856
56,809
0
0
56,809
24,260
18,870
16,377
0
35,247
30,548
320
0
0
320
1,280
2,839
0
0
2,839
4,783
10,195
0
18,500
28,695
2,000
17,656
0
0
17,656
7,567
13,310
0
0
13,310
7,602
163,319
16,377
22,190
201,886
124,896
1,263
0
0
1,263
472
1,263
0
0
1,263
472

Income from church activities includes church lettings related to the church’s objectives, sundry income from refreshments after services, rechargeable costs to neighbouring churches for shared costs and net statutory fees collected.

c) Trading Activities
Booklets, prayer beads and cards
Church, forecourt and hall lettings
d) Investments
Dividends and Bank Interest
95
0
0
95
39
7,752
0
0
7,752
8,766
7,847
0
0
7,847
8,805
3,235
0
3,408
6,643
3,278
3,235
0
3,408
6,643
3,278

18

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH

OF ST MATTHEW'S WESTMINSTER

NOTES TO THE FINANCIAL STATEMENTS (continued)

FOR THE YEAR ENDED 31ST DECEMBER 2023

2. INCOME FROM:
Notes
e) Other Income
Other Fee Income
3. EXPENDITURE ON:
Notes
a) Charitable Activities
Common Fund
Diocese(2023: Refund of Common Fund contribution)
Clergy Expenses
Clergy Working Expenses
Service Expenses
Liturgy, services and music salaries
Community Expense and Outreach
Parish Mission and Outreach
Church Running Costs
Costs of trading
Depreciation
Insurance
Property repairs and maintenance
Sanitary and Cleaning Costs
Utilities
Vocations programme
Clergy House Running Costs
Insurance
14
Property cleaning and repairs
14
Utilities
14
Support Costs
Consultancy costs
Finance charges
Office and support costs
Support salaries
Governance Costs
Accountancy and Bookkeeping Fees
Independent Examiners Fees
Professional Fees
TOTAL
Notes
b) Raising Funds
Advertising
Costs of raising clergy house funds
14
Unrestricted
Designated
Restricted
TOTAL
TOTAL
Funds
Funds
Funds
2023
2022
£
£
£
£
£
34
0
0
34
0
34
0
0
34
0
Unrestricted
Designated
Restricted
TOTAL
TOTAL
Funds
Funds
Funds
2023
2022
£
£
£
£
£
(9,000)
0
0
(9,000)
36,000
246
0
0
246
303
40,318
0
20,684
61,002
68,475
650
0
0
650
1,933
770
0
0
770
4,426
3,423
103
0
3,526
1,163
3,997
0
0
3,997
6,679
12,084
0
0
12,084
1,943
180
0
0
180
725
13,005
0
0
13,005
9,768
21,836
0
0
21,836
20,276
4,087
3,404
0
7,491
4,553
11,203
0
0
11,203
3,275
14,126
0
0
14,126
4,912
11,510
0
0
11,510
6,250
288
0
20
308
613
6,734
0
0
6,734
12,594
30,112
0
0
30,112
5,032
3,741
0
0
3,741
3,525
1,770
0
0
1,770
1,710
400
0
0
400
7,463
171,480
3,507
20,704
195,691
201,618
Unrestricted
Designated
Restricted
TOTAL
TOTAL
Funds
Funds
Funds
2023
2022
£
£
£
£
£
797
0
217
1,014
2,951
14,898
0
0
14,898
10,287
15,695
0
217
15,912
13,238

19

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST MATTHEW'S WESTMINSTER

NOTES TO THE FINANCIAL STATEMENTS (continued) FOR THE YEAR ENDED 31ST DECEMBER 2023

4. DETAILS OF CERTAIN TYPES OF EXPENDITURE

4. DETAILS OF CERTAIN TYPES OF EXPENDITURE
2023 2022
£ £
Independent examiner’s fees 1,770 1,710
Assurance services other than audit or independent examination 0 0
Tax advisory fees 0 0
Other fees (for example: financial advice, consultancy, accountancy services) paid to 0 0
the Independent Examiner

5 (a). TANGIBLE FIXED ASSETS

Cost 1.1.23
Additions
Cost at 31.12.23
Dep'n 1.1.23
Charge
Dep'n 31.12.23
NBV 31.12.23
NBV 31.12.22
Unrestricted Unrestricted Unrestricted
Unrestricted
Total
(general)
(general)
(designated) (designated)
fund
fund
fund
fund
£
£
£
£
£
Office
Fixtures &
Fixtures &
Freehold land
Equipment
Fittings
Fittings
& buildings
Church house
23,998
0
0
6,000,000
6,023,998
0
0
1,025
0
1,025
23,998
0
1,025
6,000,000
6,025,023
8,047
0
0
0
8,047
3,423
0
103
0
3,526
11,470
0
103
0
11,573
12,528
0
922
6,000,000
6,013,450
15,951
0
0
6,000,000
6,015,951

Clergy house

The Trevelyan Trust under the trusteeship of the Parish Priest and Churchwardens owns the land and buildings that make up the clergy house, Vicar’s apartment, reception rooms and conference centre. The Trevelyan Trust is deemed to be a controlled trust of the PCC and therefore the income and expenditure of the trust form part of these financial statements. As permitted by SORP 2015 (FRS102), the clergy house was revalued to its estimated fair value as at 1st January 2015. The valuation was carried out in April 2017 by Mann Smith & Partners. The land and buildings value of £6,000,000 has been attributed between freehold land, £2,200,000 and freehold buildings, £3,800,000. No depreciation is charged on land or buildings, as any charge would be immaterial. An impairment review is undertaken annually, which has resulted in no adjustment to the carrying values.

Church building

The church buildings are in the neo-Gothic Victorian style, modified by significant alterations following a fire in 1977. The modifications made include the rotation of the altar such that it now faces west. There is a Lady Chapel above the sacristy, and a small library. As permitted by Charities Act 2011, the church buildings are not included within the financial statements.

Office Equipment

The PCC invested just over £17,000 in 2022 to install professional grade video and sound equipment for live online streaming of services at St Matthew’s. All of our services, including Sunday Mass and midweek Choral Evensong, are now available to stream on our website and via YouTube.

20

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST MATTHEW'S WESTMINSTER

NOTES TO THE FINANCIAL STATEMENTS (continued) FOR THE YEAR ENDED 31ST DECEMBER 2023

5 (b). INVESTMENT ASSETS

Notes
Cost 1.1.23
Revaluation
Additions
Disposals
Cost at 31.12.23
Unrestricted Endowment Endowment
Restricted
Total
(general)
fund
fund
fund
fund
£
£
£
£
£
Unlisted
Listed
Listed
Listed
securities
investments
investments
investments
St Matthew'sAegon Ethical
Eden Tree
CCLA
Conference
Equity Fund
Fund
Centre Ltd
15,002
137,762
120,818
8,706
282,288
0
17,005
4,973
800
22,778
0
0
0
0
0
0
(50,000)
0
0
0
15,002
104,767
125,791
9,506
305,066

Listed investments

All listed investments are carried at their fair value and represent holdings in common investment funds. The basis of fair value is equivalent to market value. Asset sales and purchases are recognised at the date of trade at the transaction value. The main risk to the PCC from listed investments lies in the combination of uncertain investment markets and volatility in yield. Liquidity risk is deemed to be low as all assets are traded in markets with good liquidity and high trading volumes. The PCC has no investment holdings in markets subject to exchange controls or trading restrictions. The PCC manages its investment risks by retaining expert advisors and operating an investment policy that provides for a high degree of diversification of holdings within investment asset classes that are quoted on recognised stock exchanges. The Trust does not make use of derivatives and similar complex financial instruments.

CCLA is an investment in the COIF Charities Investment Fund regulated by the Charity Commission. It aims to provide a long-term total return comprising growth in capital and income.

Aegon Ethical Equity Fund was previously known as the Kames Ethical Equity Fund. There has been no change in underlying investments.

The EdenTree Fund is the Responsible and Sustainable Global Equity Fund B Income.

Unlisted Investments

Unlisted investments represent the PCC’s holding of the entire share capital of St Matthew’s Conference Centre (SMCC), a limited liability company, which operates the conference centre under licences from the PCC and the Trevelyan Trust. The net assets of SMCC are equal to the value of the investment.

All profits made by SMCC are paid to the PCC by way of charitable donations. During the year, SMCC declared a net donation of £56,809 to the PCC. The PCC is not required to produce consolidated financial statements although the unaudited trading results of SMCC as filed at Companies House, (which do not form part of these financial statements), are summarised below:

Gross profit
Administrative costs and expenditure
Major Renewal Project costs
Profit/(loss) before donations to the PCC
Donations to the PCC during the year
Adjustment for debtor balance bfwd
Net movement in funds in SMCC
Year end
Year end
31-Dec-23
31-Dec-22
£
£
118,498
90,325
(63,325)
(56,689)
0
(8,084)
55,173
25,552
(56,809)
(25,552)
1,636
1,292
0
1,292

21

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST MATTHEW'S WESTMINSTER

NOTES TO THE FINANCIAL STATEMENTS (continued) FOR THE YEAR ENDED 31ST DECEMBER 2023

6. DEBTORS AND PREPAYMENTS

6. DEBTORS AND PREPAYMENTS
Unrestricted Designated Endowment Restricted Total Total
Fund Fund Fund Fund 31-Dec-23 31-Dec-22
£ £ £ £ £ £
Accounts Receivable 7,791 0 0 0 7,791 571
Gift Aid Tax Recoverable 0 0 0 0 0 2,265
Prepayments and accrued income 71,862 0 0 0 71,862 5,876
79,653 0 0 0 79,653 8,712
7. CASH AT BANK AND IN HAND Unrestricted Designated Endowment Restricted Total Total
Cash at Bank Fund
£
(223,563)
Fund
£
93,217
Fund
£
137,925
Fund
£
22,666
31-Dec-23
£
30,245
31-Dec-22
£
31,886
(223,563) 93,217 137,925 22,666 30,245 31,886
8. CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
Accounts Payable Unrestricted
Fund
£
18,385
Designated
Fund
£
0
Endowment
Fund
£
0
Restricted
Fund
£
0
Total
31-Dec-23
£
18,385
Total
31-Dec-22
£
31,261
Accruals and Deferred Income 4,060 0 0 0 4,060 4,007
Loan from Individual 18,300 0 0 0 18,300 0
Loan from Deanery 3,620 0 0 0 3,620 0
Pensions Payable 415 0 0 0 415 0
Revd Philip Chester 2,222 0 0 0 2,222 0
Taxation and Social Security 0 0 0 0 0 1,005
47,002 0 0 0 47,002 36,273

The loan from individual represents the loan from Rev.P Chester, which was given interest free and fully repaid by April 2024.

22

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH

OF ST MATTHEW'S WESTMINSTER

NOTES TO THE FINANCIAL STATEMENTS (continued) FOR THE YEAR ENDED 31ST DECEMBER 2023

9. DESIGNATED FUNDS

Trevelyan Trust
Trevelyan Trust
Balance
Transfer
Purchase of
Balance
01-Jan-23
Income
Expenditure
of Funds
Fixed Assets
31-Dec-23
£
£
£
£
£
£
6,081,269
16,377
(3,507)
0
769
6,094,139
6,081,269
16,377
(3,507)
0
769
6,094,139
Balance
Transfer
Purchase of
Balance
01-Jan-22
Income
Expenditure
of Funds
Fixed Assets
31-Dec-22
£
£
£
£
£
£
6,073,593
12,229
(4,553)
0
0
6,081,269
6,073,593
12,229
(4,553)
0
0
6,081,269
PREVIOUS YEAR
CURRENT YEAR

The Trevelyan Trust is under the trusteeship of the Parish Priest and Churchwardens and is deemed to be a controlled trust of the PCC. The trust owns and manages the clergy house, offering hospitality to individuals connected to the church.

The designated funds are wholly represented by cash reserves, current assets and liabilities and fixed assets of the charity as detailed below:

Fixed assets
Cash at bank and in hand
Current assets
Current liabilities
31-Dec-23
31-Dec-22
£
£
6,000,922
6,000,000
93,217
81,269
0
0
0
0
6,094,139
6,081,269

23

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST MATTHEW'S WESTMINSTER

NOTES TO THE FINANCIAL STATEMENTS (continued)

FOR THE YEAR ENDED 31ST DECEMBER 2023

10. RESTRICTED FUNDS

----- Start of picture text -----
CURRENT YEAR
Balance Gains and Balance
01-Jan-23 Losses Income Expenditure Transfers 31-Dec-23
£ £ £ £ £ £
Canon Atlay Memorial Fund 11,875 800 301 0 0 12,976
Gerard Irvine Memorial Fund 2,499 0 0 0 0 2,499
Choral Scholars Fund 175 0 0 0 (175) 0
Music Fund (1,335) 0 25,052 (20,901) 13,881 16,697
Friends of St Matthew's 6,356 0 245 (20) (6,581) 0
19,570 800 25,598 (20,921) 7,125 32,172
PREVIOUS YEAR
Balance Gains and Balance
01-Jan-22 Losses Income Expenditure Transfers 31-Dec-22
£ £ £ £ £ £
Canon Atlay Memorial Fund 12,753 (1,145) 0 0 267 11,875
Gerard Irvine Memorial Fund 2,499 0 0 0 0 2,499
Choral Scholars Fund 1,345 0 0 (1,170) 0 175
Music Fund 13,441 0 8,398 (23,174) 0 (1,335)
Friends of St Matthew's 6,331 0 25 0 0 6,356
36,369 (1,145) 8,423 (24,344) 267 19,570
----- End of picture text -----

The Canon Atlay Memorial Fund is for the training of men and women exploring a vocation to the priesthood or other ministry in the church. The Gerard Irvine Memorial Fund represents the excess of funds received following fundraising in 2012 for a memorial plaque and service for Fr Gerard Irvine, priest and previous vicar of St Matthew’s. The Choral Scholars Fund holds donations made to fund the costs of choral scholarships in support of the church’s music ministry

The Music/Organ Fund was for the maintenance of the organ. During 2021 this fund received a grant from the McDonald Agape Foundation to fund the costs of a weekly physical and streaming choral service (the Choral Evensong Programme) and other activities in support of the church’s music ministry

The Friends of St Matthew’s restricted fund is used to enhance the life and worship of St Matthew’s and cannot be used for day-to-day running expenses. The Friends of St Matthew’s also generates unrestricted income and this is included within the General Fund.

The restricted funds are wholly represented by cash reserves, current liabilities and marketable securities of the charity as detailed below:

Investments
Cash at bank
31-Dec-23
31-Dec-22
£
£
9,506
8,706
22,666
10,864
32,172
19,570

The transfers between funds represent:

31-Dec-23

Choral Scolars Fund
Music Fund
Friends of St Matthews
£
(175)
13,881
(6,581)
7,125

To amalgamate with Music Fund (both are a part of Music Ministry) Agreed transfer from General Fund

To part fund the emergency roof repairs (in accordance with the terms of the restriction).

24

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH

OF ST MATTHEW'S WESTMINSTER

NOTES TO THE FINANCIAL STATEMENTS (continued) FOR THE YEAR ENDED 31ST DECEMBER 2023

11. ENDOWMENT FUNDS

The Greatorex Trust
The Greatorex Trust
Balance
Gains and
Balance
01-Jan-23
Losses
Income
Expenditure
Transfers
31-Dec-23
£
£
£
£
£
£
346,505
21,978
0
0
0
368,483
346,505
21,978
0
0
0
368,483
Balance
Gains and
Balance
01-Jan-22
Losses
Income
Expenditure
Transfers
31-Dec-22
£
£
£
£
£
£
421,673
(75,168)
0
0
0
346,505
421,673
(75,168)
0
0
0
346,505
PREVIOUS YEAR
CURRENT YEAR

The Endowment Fund is an expendable endowment and contains the residual legacy from the estate of Marguerite Greatorex.

The Endowment funds are wholly represented by cash reserves and marketable securities of the charity as detailed below:

Investments
Cash at bank and in hand
Current liabilities
31-Dec-23
31-Dec-22
£
£
230,558
258,580
137,925
87,925
0
0
368,483
346,505

25

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST MATTHEW'S WESTMINSTER

NOTES TO THE FINANCIAL STATEMENTS (continued) FOR THE YEAR ENDED 31ST DECEMBER 2023

12. RECONCILIATION OF FUNDS HELD AND MOVEMENT OF FUNDS

General Funds
Designated Funds
Endowment Funds
Restricted Funds
General Funds
Designated Funds
Endowment Funds
Restricted Funds
Balance
Balance
01-Jan-23
Income
Gain/Loss
Expenditure
Transfers
31-Dec-23
£
£
£
£
£
£
(144,780)
175,698
0
(187,175)
(7,125)
(163,382)
6,081,269
16,377
0
(3,507)
0
6,094,139
346,505
0
21,978
0
0
368,483
19,570
25,598
800
(20,921)
7,125
32,172
6,302,564
217,673
22,778
(211,603)
0
6,331,412
Balance
Balance
01-Jan-22
Income
Gain/Loss
Expenditure
Transfers
31-Dec-22
£
£
£
£
£
£
(75,353)
116,799
0
(185,959)
(267)
(144,780)
6,073,593
12,229
0
(4,553)
0
6,081,269
421,673
0
(75,168)
0
0
346,505
36,369
8,423
(1,145)
(24,344)
267
19,570
6,456,282
137,451
(76,313)
(214,856)
0
6,302,564
CURRENT PERIOD
PREVIOUS PERIOD

13. STAFF COSTS, PAYMENTS TO TRUSTEES AND KEY MANAGEMENT PERSONNEL

(a) Employees paid via Payroll:

Gross Wages and Salaries
Employers NI (net of annual allowance)
Employers Pension Contributions
31-Dec-23
31-Dec-22
£
£
51,334
37,479
1,974
528
2,146
2,092
55,454
40,099

Staff who were engaged in each of the following activities (actual numbers unchanged at start and end of year)

Activities in furtherance of organisation's objects
(b) Self Employed Staff:
Gross Payments:
Choir and Musician Fees
Organist Fees
31-Dec-23
31-Dec-22
TOTAL
TOTAL
3
2.8
31-Dec-23
31-Dec-22
£
£
20,875
11,190
810
360
21,685
11,550

26

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH

OF ST MATTHEW'S WESTMINSTER

NOTES TO THE FINANCIAL STATEMENTS (continued) FOR THE YEAR ENDED 31ST DECEMBER 2023

13. STAFF COSTS, PAYMENTS TO TRUSTEES AND KEY MANAGEMENT PERSONNEL (continued)

Employed staff are paid via through a payroll scheme operated by the PCC. No employees received emoluments in excess of £60,000 (2022: None). Self employed staff are responsible for reporting to HM Revenue and Customs.

The PCC incurs the costs of maintaining and running the Vicar’s apartment, which is within the clergy house. These costs are not separately identifiable and therefore cannot be disclosed. Common Fund paid to the diocese is reduced from the standard cost for parishes to reflect the fact that the PCC bears certain clergy related costs normally borne by the diocese.

(c) Key Management Personnel

The Charity's key management personnel is considered to be the Trustees and the Director of Operations. No remuneration was paid to Trustees. The total amount paid to key management personnel (including employers national insurance and employers pension contributions) was £11,550 (2022: £17,690).

(d) Transactions with PCC members

A small and immaterial portion of the costs incurred relating to the living and accommodation costs of the incumbent may have related to his services as chairman of the PCC. For the reasons set out above, these are not separately identifiable. No other payments or expenses were paid to any other PCC member, persons closely connected to them or related parties. Aggregate donations received from members of the PCC and parties related to them was £10,373 (2022: £11,895).

Trustee Rev. P.Chester loaned the PCC £18,300 in 3 tranches during 2023. The loan was given interest free. As at 31st December 2023 the sum of £18,300 was outstanding. The loan was fully repaid in the following financial year, with the final repayment made 6th April 2024.

The only other payments made to PCC members or any persons connected with them were reimbursements for purchases of equipment, furnishings, refreshments and materials made on behalf of the Church. No material transaction took place between the charity and a PCC Member or any person connected with them (2022: None).

(e) Related Parties

Members of the PCC

Aggregate donations received without conditions attached were £10,373 (2022: £11,895)

Rev Philip Chester Incumbent

The PCC incurs the costs of maintaining and running the Vicar’s apartment, but these are not separately identifiable and therefore cannot be disclosed.

St Mary le Strand Strand Westminster WC2R 1ES

Fr Philip Chester was priest-in-charge of St Mary le Strand during the year. The PCC did not incur any expenses on behalf of St Mary le Strand that need to be recovered.

St Matthew’s CE Primary School

This is a Church of England primary school situated at 18 Old Pye Street Westminster London SW1P 2DG. Fr Philip Chester is the Chair of Governors of the school and the headteacher, Rachel Jewitt (until July 2023) and Sarah Maltese (from September 2023), sits on the PCC. Expenses paid to the school by the PCC for accommodation and related expenses for pastoral assistants in 2023 was £14,276 (2022: £13,234).

St Matthew’s Conference Centre Limited

This is a private limited company situated at St Matthew’s House 20 Great Peter Street Westminster SW1P 2BU. PCC Trustees Fr Philip Chester and Daniel Bird are also directors of St_Matthew’s Conference Centre Limited. No payments or benefits are received by them from the company. Details of transactions between the PCC and the company are set out in note 5(b).

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THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST MATTHEW'S WESTMINSTER

NOTES TO THE FINANCIAL STATEMENTS (continued) FOR THE YEAR ENDED 31ST DECEMBER 2023

14. CLERGY HOUSE

Income and expenditure associated with providing hospitality in the clergy house is included within unrestricted funds on the Statement of Financial Activities:

Income
Tax efficient giving
Other giving
Tax recoverable through Gift Aid
Expenditure
Costs within Raising Funds
Cleaning costs
Hospitality costs
Costs within Church Activities
Insurance
Repairs and Maintenance
Utilities
Net income/(expenditure) from clergy house
2023
2022
£
£
11,143
4,075
24,114
26,473
4,201
1,251
(13,189)
(8,375)
(1,709)
(1,912)
(7,491)
(4,553)
(11,203)
(3,275)
(14,126)
(4,912)
(8,260)
8,772

15. MATERIAL LEGACIES

The PCC is a beneficiary of a legacy relating to a share of the income arising from part of the estate of the late Tudor Roberts. Under the terms of the will, this is held on trust for the PCC by the Church Union. Income of £17,656 was receivable from Church Union during 2023 (2022: £24,438).

16. QUINQUENNIAL INSPECTION

The most recent quinquennial inspection was made by Louise Goodison in 2022. There were no recommendations requiring immediate attention that need to be addressed. The next inspection is planned to take place in 2027.

17. RESERVES POLICY AND RISK ASSESSMENT

Reserves are unrestricted funds which the PCC has set aside for the future. The purpose of holding reserves is so that St Matthew's is able to continue to meet its financial obligations in a situation where unforeseen shortfalls arise, until alternative plans can be put in place.

The PCC has identified the key risks and assessed the amounts prudent to set against those risks. The Reserves policy is set out in the Trustees Annual Report.

18. PUBLIC BENEFIT

The PCC acknowledges its requirement to demonstrate clearly that it must have charitable purposes or ‘aims’ that are for the public benefit. Details of how this has been achieved this are provided in the Trustees Annual Report. The PCC Members confirm that they have paid due regard to the Charity Commission guidance on public benefit before deciding what activities the charity should undertake.

19. EVENTS AFTER THE END OF THE REPORTING PERIOD

There are no events that require disclosure.

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INDEPENDENT EXAMINER'S REPORT ON THE ACCOUNTS

I report on the accounts of the Parochial Church Council of The Ecclesiastical Parish of St Matthew's Westminster for the year ended 31st December 2023, which are set out on pages 13 to 28.

Respective responsibilities of the PCC and the examiner

The charity's trustees are responsible for the preparation of the accounts. The charity's trustees consider that an audit is not required for this year under section 144 of the Charities Act 2011 (the Charities Act) and that an independent examination is needed.

It is my responsibility to:

Basis of independent examiner's statement

My examination was carried out in accordance with the General Directions given by the Charity Commission and to be found in the Church Guidance, 2006 edition, issued from the Finance Division of the Archbishops' Council. That examination includes a review of the accounting records kept by the PCC and a comparison of the accounts with those records. It also includes considering any unusual items or disclosures in the accounts and seeking explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a 'true and fair view' and the report is limited to those matters set out in the statement below.

Independent examiner's statement

In connection with my examination, no material matters have come to my attention:

Attention is drawn to the deficit shown in general fund unrestricted free reserves on the Balance Sheet. The Trustees Report explains the reason for this and the plans the Trustees have to return the Parish reserves to the desired level.

Name: J Irvinesmith Relevant professional qualification or body: FCIE Address: Independent Examiners Limited, Unit 2 Broadbridge Business Centre, Delling Lane, Bosham, PO18 8NF Date: 17th May 2024

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