## **Pastor’s Report 2022** 

As we started the new year, we continued to ‘shake off’ the uncertainty of the previous two years, and moved forward in hope and expectation of what our Lord had planned for us in 2022. We enjoyed the freedom of being able to meet for our usual weekly and monthly meetings with many conversations and much fellowship, and many involving eating!! 

It has been a privilege as ever to lead you in worship each week, and that is where I see most of you. God blessed us richly, as during the year we studied series on Jesus’ High Priestly Prayer and followed the early believers as God’s Church was being formed in the Acts of the Apostles. 

I was so pleased and encouraged by you all, as I shared that God had told me that for Lent, I was to embark on a ‘Sunrise challenge’ based on Mark 1:35! As you know, I was so pleased I did despite the early starts! 

We held our weekly Bible studies at Hanover Court; sharing a Lent Study and then a series, which combined friends’ requests, on the Fruits of The Spirit: Growing More Like Jesus. We finished the year with a shorter Advent study than usual. We also tried something different, by joining in with ‘The Big Church Read – How to Hear God.’ It was encouraging that so many of you wanted to read the same book at (almost) the same time and be so blessed as we discussed each chapter alongside the videos and questions provided. 

It was with pure joy that we could again, hold a Quiet Day in April – entitled ‘Forgiven’ – Praise God, it was amazing! 

Prayer continues to be our central focus; they say a praying church is a growing church and we can testify to that, but also there is power in prayer and we continue onwards in the strength of our Lord. We meet faithfully most Mondays to give thanks for blessings and for prayers of intercession. What a privilege to pray for people beyond our congregation as we reach out and into the lives of those important to yourselves. 

Pastoral visiting continues to be a major part of my time both responding to those who are in care or hospital, and being invited into your homes; as well as meeting new friends and being involved in organisations beyond our congregation. In that, we have seen growth in attendance and fellowship. 

Having attempted to shed the ‘covid’ calories, it was impossible, as our Men’s breakfast continued to provide excellent bacon rolls, and fellowship of course! Also, attending Tea and Cakes most months, and being able to support Macmillan Cancer Support as always. 

It is always a privilege to be asked to speak at various activities within our church. There was much hilarity with the ‘Busy Bee’ at Wednesday Fellowship as we thought about ‘The Bee-attitudes;’ and then returning in December for ‘The Christmas Quiz’ cunningly disguised as Pass the Parcel – nobody wanted the Charades! I always enjoy being invited to speak to our Pre-school children at Easter and Harvest; they are so enthusiastic and engaging. And attending their Christmas Play is a joyful event for all watching; thank you and prayers for the staff for all their continued hard work. 

I know from experience that working with young people takes commitment and a lot of preparation; and at this point I would like to thank our Young People’s leaders for 



all they have done over the years. Although currently, we can no longer provide an offering for young people, we continue to hold them in prayer that they will continue to grow in Christ alongside their families. And we look to God for guidance and wisdom in this situation. 

As we looked beyond ourselves and joined with our community and town; in June, we joined with many other churches in the town centre for Love Wycombe. It was a wonderful morning of worship and witness, and a blessing to all who attended. We welcomed Wycombe Prayer in September, and I again attended the bi-monthly Church Leaders Breakfasts. In July, we welcomed two speakers from Christians Against Poverty and were enlightened by the reality of living with poverty and then being supported this organisation – continued prayer for their work and clients. 

As a nation and a community, we joined together and enjoyed the official Queen’s Jubilee Celebrations in June; sharing food, fun and an awesome String Quartet – it was very special time and became more poignant with the death of Her Majesty in September. Then, we were able to open our church for prayer for all who needed it and mourn together. 

During the year it was a privilege to lead the services for the burial of the ashes of one of our members and, also, another friend of our fellowship; and the thanksgiving service for another one of our members. 

Four of us were finally able to undertake a Tour of the Holy Land that was originally booked for 2020 with members of other congregations in our area and beyond! What an amazing experience to walk in the footsteps of Jesus in such a reflective and spiritual way. 

We concluded our year by resuming Carol services at both Hanover and then Hughenden Courts; it was good to be back and be blessed to be a blessing. Our own Advent, Carol, Midnight Communion and Christmas Day services were well attended as we celebrated our Lord’s birth together. 

I am reminded as I write this report of the words of Malachi (3:6), ‘I am the Lord, and I do not change…’ After two years of enforced change and a world around us that continues to try and find its way… We end this year with continued hope and expectation as grow together both spiritually and numerically, knowing that we can depend on our Loving God continually showing us His grace, mercy, love, and compassion to each one of us. 

God bless, Pastor Sharon 

## **Charity Trustees Report for 2022** 

The year began with the trustee’s still in discussion with Barclays Bank Mortgage Department over the renewal of the mortgage on the manse for a further fixed term for five years. 

However, for several reasons the trustees could not continue along this path. The Church belongs to a wider group of churches, “The Wesleyan Reform Union of Church’s” and the trustees were extremely grateful that the Wesleyan Reform Union agreed to cover the mortgage amount and in due course place a second charge on the manse. 



Removing the monthly mortgage payments has given the Church financial stability for the future. 

The minister’s contract of employment with the Church was discussed at the Church Members meeting in July and this contract of employment was extended for a further five years. 

Maintaining the building continued throughout the year, with a large project during August of decorating the hall, to give a light, airy and up to date appearance. This was completed before the end of the school holiday and new carpet and window blinds were installed. 

The trustees continue to express their thanks for your prayers and continuing financial support for our Church and the Lord’s work. Nigel Carpenter 

|**Treasurer’s Report Financial Year 1st January to 31st December 2022**|**Treasurer’s Report Financial Year 1st January to 31st December 2022**|**Treasurer’s Report Financial Year 1st January to 31st December 2022**||
|---|---|---|---|
||**2021**|**2022**|**Inc / Dec**|
|**Bank Balances 31st Dec 2022**||||
|Community Account (Current)|£8,687.26|£14,895.63|£6208.37|
|Business Premium (Deposit)|16,006.35|26,031.29|10024.94|
|Total|24,693.61|40,926.92|16233.31|
|**Surplus / Defcit**|**2021**|**2022**|**Inc / Dec**|
|Income|59,425.68|303,225.93|243,800.25|
|Expenditure|65,409.52|287,152.85|221,743.33|
|Surplus / Defcit|-5,983.84|16,073.08||
|The fgures above include the WRU Manse Mortgage and Personal Loan Purchase of £232,000||||
|in total.||||
|Taking this fgure out gives the following:||||
|Income||71,225||
|Expenditure||55,152||
|Surplus/Defcit||16,073||
|**Main sources of income**||||
||**2021**|**2022**|**Inc / Dec**|
|Ofering without Gift Aid|16,349|17,900|1,551|
|Ofering with Gift Aid|17,932|15,659|-2,273|
|Hall Use|11,740|12,137|397|
|Gift Aid Return from HMRC|6,663|7,154|491|
|Donations received|5,000|16,356|11,356|
|WednesdayFellowshipOfering|137|475|338|
|Barclays Bank mortgage for the manse, last payment|December|||
|2021.||||
|The frst four months of the year, January to April with not having to||pay the £1915 mortgage||
|per month||||
|but only the interest of £2279 and with the frst WRU Manse monthly rental payment in May of||||
|£780 has been benefcial.||||
|**Examples of Expenditure**|**2021**|**2022**||
|**Donations**||||
|Love Wycombe||200||
|Ukraine Appeal||125||
|Wycombe Women’s Aid (Harvest)|104|50||
|Christians Against Poverty (Missions Sunday)|400|400||





|Mission Aviation Fellowship||100||
|---|---|---|---|
|Operation Christmas Child|100|120||
|Church Lunch Surplus||90||
|**Legal Expenses**||||
|Blazer Mills Law fees for manse mortgage,||||
|Update Charity Trustee's Deed and change||||
|Land Registry Tile on the church and manse||4,791||
|**Manse Expenses**|**2021**|**2022**|**Inc / Dec**|
|Including Council Tax, Water Rate||||
|Broadband and Telephone||||
|Repairs and Renewals|3338|2,872|-466|
|**Staf Costs**||||
|Including||||
|Stipend, Ministers Expenses,||||
|VisitingPreachers|20,040|20,759|719|
|**Church Repairs and Renewals**|6,663|5,734|-929|
|**Energy**|1,787|1,912|125|
|Money received from WRU to buy out mortgage and personal||||
|loan||232,000||
|Payment to Barclays Mortgage Department||192,000||
|Payment to pay of Personal Loan||40,000||
|January to April Interest payment on mortgage from Church||||
|funds||2279||
|If you take the fgure of donations received this year (£16,356) away from the total surplus||||
|(£16,073)||||
|gives minus £283. This is the fgure of normal day to day income against expenditure for the||||
|year.||||
|Therefore, even with all this year’s additional expenditure the balance sheet shows a defcit of||||
|£283.||||



Nigel Carpenter 

## **Wednesday Fellowship Report 2022** 

Our Wednesday Fellowship continues to meet twice a month, on a Wednesday afternoon in the Church Hall and the Good Neighbours bus provides transport for these afternoon sessions. We have a short, informal service with hymns, prayers, a Bible reading and a thought. We usually have an interactive activity, so everyone can join in and share their thoughts and experiences. 

We have a number of speakers that come periodically throughout the year, but mostly our team of Sallie, Gill, Bryan and Debbie come up with themes for our afternoons and contribute poems, readings and activities to share God’s love with our community. We usually have about 18 people attending and what is so important is the time to sit and chat over a cup of tea and a biscuit, as we get to know each other better. We also had a talk from Mission Aviation Fellowship to learn more about the important and vital work this charity does and were able to contribute financially to their work. Debbie Carpenter 



## **Tea and Cake Report 2022** 

It was good to restart Tea and Cake again in March 2022 after a two year break due to Covid 19! 

We decided on a new layout for the Hall and laid out three small tables decorated with flowers and a selection of cakes on each table, rather than one large cake table as  we’d  always  done  previously.  Our  35  guests  were  pleased  to  be  back  and appreciated the new way of doing things – we stuck to that layout for the rest of the year. 

After helping for several years, Debbie decided to take a break and step down from Tea and Cake – we miss her, and thank her. Our team is now me and Michael, Michelle, Antoine, Dot, Sallie, Gill, Diana and Susan and her husband John, who helps Michael set out the tables and chairs. And of course Sharon! We are grateful to them all, and to everyone else who comes and lends a hand when they can see a need. 

As we usually do, we held a Tea Party in aid of Macmillan Cancer Care in September. Forty people came that afternoon and we raised an amazing £416.94 on the day, plus donations that were made online. We are so grateful to everyone who donated – it’s such a privilege to be able to take part in the Macmillan Coffee Morning each year – even though ours is in the afternoon… 

Our numbers average 27, and our aim remains the same – the opportunity for people to meet up, catch up with old friends, make new friends, enjoy a cup of tea or coffee, a slice – or several – of delicious home-made cake, and generally have a nice afternoon. 

We meet on – usually – the second Wednesday of the month at 2.30 p.m., taking a break for August – details are always on the church calendar. 

So – if you like cake and would like to meet up with friends or make new ones, please join us. We’d love to see you! Pippa Wood 

## **Men’s Breakfast Report 2022** 

We meet regularly on the last Saturday of the month and enjoy a delicious bacon roll together. 

Our numbers have been consistent throughout the year, but we have plenty of room for more! 

After breakfast we watch a topical video and informally discuss the content. Tony Child 



## **Hazlemere Free Methodist Church** 

## **Profit and Loss Report** 

_01 January, 2022 - 31 December, 2022_ 

|**Sales**|||
|---|---|---|
|Cash offerings no gift aid (10002)|17,900.80||
|Christmas Donations to OpChChild (10041)|100.00||
|Church Lunches (10020)|225.50||
|Donations (10023)|16,356.00||
|HMRC Gift Aid (4011)|7,154.76||
|Hall rental (10004)|12,137.50||
|Harvest Donation for WWA (10040)|50.00||
|Licence April Cottage (10034)|318.17||
|Offerings with Gift Aid (10000)|15,659.00||
|Ukraine Appeal (10044)|130.00||
|WRU Pension Contribution (10026)|719.20||
|Wednesday Fellowship (10021)|475.00||
||**Total Sales**|**£71,225.93**|
|**Direct Expenses**|||
|Church Presentation Costs (10007)|210.77||
|Donations (10005)|995.00||
|Legal Expenses (10048)|4,791.60||
|Men's Breakfast (10047)|59.02||
|Sunday School Expenses (10006)|10.50||
|WRU Assessment (10030)|1,054.50||
|WRU Pension Contribution to NEST (10039)|539.40||
|Wednesday Fellowship (10033)|76.00||
||**Total Direct Expenses**|**£7,736.79**|
||||



06 Jun 2023 15:56 

Page 1 of 2 



|**GROSS PROFIT / LOSS**|**£63,489.14**|
|---|---|
|**Overheads**||
|Accountancy Fees (7611)<br>24.00||
|Bank charges & interest (7900)<br>-24.94||
|Catering (10027)<br>302.78||
|Church Lunches (10017)<br>135.15||
|Cleaning (7810)<br>602.00||
|Cleaning Materials (10024)<br>357.25||
|Employer's Pension (7007)<br>604.68||
|Employers NI contributions (7006)<br>-300.18||
|Energy (7200)<br>1,912.76||
|General expenses (8200)<br>79.23||
|Insurance (7610)<br>1,399.63||
|Interest on Loan (7910)<br>8,543.77||
|Manse Expenses (10019)<br>2,872.64||
|Marketing (6200)<br>215.00||
|Ministers Expenses (10025)<br>-665.36||
|Motor (7300)<br>240.00||
|Office costs (7500)<br>2,025.88||
|Professional fees (7600)<br>393.35||
|Property Depreciation (8010)<br>12,585.57||
|Quiet Day (10038)<br>47.12||
|Repairs and renewals (7800)<br>5,734.03||
|Staff (7000)<br>20,157.12||
|Visiting Preachers Expenses (10028)<br>150.00||
|Water Rates (7110)<br>209.76||
|**Total Overheads**|**£57,601.24**|
|**NET PROFIT / LOSS**|**£5,887.90**|



06 Jun 2023 15:56 

Page 2 of 2 



REGISTERED CHARITY NUMBER: 1132405
REPORTOFTHE TRLSTEES AND
YE
ND
FOR
E METHODI
HAZLEM
HIIR
Tax wisi ACCO￿tants
13 The Highway
Slarion Road
Bedcott8ficld. Buckinghamshire
IIP91QQ

HAZ
ERE FREE MET
HL.RCH
NTEpifs OF TIIF FINANCIAL STATEMENTS
FOR TH
YEAR EYDED31 DEC
R 2022
Reponof the'l'rusle<5
I￿jependent Examiner's Report
Statrmeffl of Financid A¢llvitics
Balance Sheet
Notes to the Financia] St8trmetUS
5108
Detailed Statcm¢ntof Fitwi¢l￿ Activities

MErii
DI
HURCH
REPORT OF I'HL'I'RUSTEES
R THE YEAR ENDED 31 DkCE.MBb.R 2022
The trustees pre8eni their report with the financial siatements of the Gharity for the year ertded 3 1 Dcccmber 2022. Th¢
st¢e$ hav¢ adopted rhe provisions of Ihe Sta*meni of Rccommended Pr&etiee {SORPI 'Accountin8 snd Reporting by
Chwiiies, ISSU￿ in March 2005.
REFERENCV AND ADMINif4TRATIVE DETAILS
R￿ls(ered Cb*rlty aumber
1132405
PTintip*l *ddress
43
Penn Ro
Hulemer¢
High Wycomb¢
HP157LS
TnLJttes
Nigel W.Ci. Carpenter
Michelle Y. Rouyer Guillet
St¢ph¢n P. Cossin5
j02t￿& K. Motto
KathryD A. Dawkin8S
tkbortth C. carpe￿tr
Independent eixminer
Tax assist Acth)urttants
13 Th¢ Highway
Statioll Road
t5eaconsfield. Buckinghamshire
FIP91
stRbCTUR%, GOVERNANCE AND MANAGEMEl4T
Governing dotwnellt
llte charity 15 controlled by its gov¢rning doGwnent, a dE¢l of tNst. and eon$titutrs unin¢oTporatrd chaNty.
Risk m2llAgtmeni
The In￿e5 hav¢ a duty to identify ttnd review ihe risks ro which the ctwity is expos¢d and to en$ure appropriate contro15
are in place ty provide reasonable *ssurance against fraud and crror.
Approved by ord¢r ofth¢ b0￿d of In￿letS on .... .................................. .... and 5ign¢d on its behalf by".
TNste¢
Page I

FPENDENT FXAMINER'S REPO
TIIE TR
HAzLE￿IERE FRFF. METHODIS'I. C.'HURCH
I r¢FOrt on the aecwnts for the y¢arended 31 Decemter20f2. which 3T¢ S¢t ou¢ OD p4¢s thret totighl.
Rwponsibilitics and b•Ji$ ofrepjrt
As the Ch￿Ity'S IN51¢rs vou are Ttsp)nsibl¢ for the prcpaTatiOll of the accowtts in accord￿Ce with th¢ ￿quIr¢r￿B￿ts of the
Ch8ri11es Au 2011 Ilhe Act).
I have eKarnined youi charity's accounts required under section 145 of th¢ Chan'tics A¢1 2011 fthe Act'}. Itt carying out
my exwnination I have followed ihe Dir￿¢10￿5 siven by Ihe Charity C.ornmissioR under section 145(5llbl of the 2011 ACL
My role is to state whetherany material Tn8t¢ets have come to my att¢ntion givin8 me tause tu believe..
that aceounting rwords weTe not kcpl as required by swtion 130 olthe Ad; or
that ihe accounts do t￿¢ gc£iJrd those r¢¢ords,' or
that th¢ ￿cOunts do not comply with the accounting r¢quiremeMs of Iht A¢L or
that th¢r¢ i5 further info]maljo]t ll¢¢d¢d for4 prop¢r uttderstanding of the accounts.
Indepelldtutex*mlntt's stattmeHt
I have ￿Mple1ed my examination and have no concenL4 in re5Fd of ihr ￿￿tter5{1)I0 {41 listtd abovc and. in wnD¢thion
th followingthe DiT¢dions of the Charity CommiSSiLlll I hav¢ fO￿￿d no matters that require drawing w your atteiition.
T&Y as5iStAcwuntints
13 Th¢ Highway
Stsiion Road
Bcawnsfield, BuckinghÉmshwe
HP91(y)
Date..
11-5. xl
P4e2

HA7.LEMERE
1'HODI￿ CHURCH
STATEMENJT OF FJYANCIAL AC.TIV
FO
AR ENDED JI DLCLMBER2022
21122
UDreytrict¢d
nd
2021
Totsl
fund$
Notes
INCOMIYG RLSOURCÉS
ILtomittg rewurees froTD geDerathd funds
Vtsluntary income
70J05
25
58,736
Total iucomin% rtsourtes
70230
58.738
RF.SOURC.ES EXPF.NDED
Charltlbk Actlvittes
Chari¢abl4 adivity
64.342
57.154
NET INCOMING RFSOIIRCES
5.888
1,584
RECONCILIATION OF FUNDS
Totsl brought forwgrd
193.799
192.21 S
TOTAL FUNDS CARRIED VORWARD
199.687
193.799
Th¢ not¢$ fomi part of th¢5¢ financial stsiements
Page 3

HATLEMERE FREE MET
NOTES TO THE FINANCIAL ?iTATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2022
AccouTrfnNG POLICIES
ACCOUWI"JNG CONVENTJOY
The financial ststetnents have been prepared under the histotical cost conventhon. and in aCCord￿ce the
Financial Reporiing Standard for Smaller Entities leffective April 20081, the c.harities Act 2011 and the
r4uirements of the Sratementof Recornmended Practice, Ar￿untIng aDd Reporting by Charilies.
INC.OMING RLSOIIRCF.S
All incoming resources are includ￿ on the Statsment of Financial A£tiviti¢5 wh¢n th¢ ¢harity is legally eJLtiiled to
ihe income and ih¢ wnouttt eat) he quantified with reasonable atcurkty.
RESOURCES EXPENDED
Expenditure is acwunied for on an a¢crual% hgsis #nd hag been clwified under he&din8S th￿ 88gregare all cost
Telated to the ¢ategory. Where wsts Cannot k dirertly attributed to Parficular headings they hav¢ b¢¢n allo¢•t¢d to
a¢tiviti¢s on a ba5L5 ¢onsist¢nt ￿lih the use of resources.
TAliGJBLE FIXED ASSET5
Lkpre£iation is provided ai th¢ following onnwl rnt¢s in order to write off each &sset over its estimated Ljseful life.
Freehtsld Property . 50 years
Impmve]TJellts kn Propcrty- 20 yeats
TAXATION
Th¢ tharity i$ ¢xynpt from taxon its cbaritsbie activities.
FUND.4ccoiiTrKfiNC.
u]￿eStricted fiLnds be used in 8¢Corda￿e wilh the ¢haritsble objectives at tb¢ di¥retion of the trusteeg.
Restric*d ¢an only b¢ us¢d for porti¢ul•r restrict¢d purposes within the objects of the charity. Re51riciions
arise then specified by the donoror Mth¢n funds art rais¢d for parti¢ul*r restrieied pu￿8.
Furth¢r #ylanstion of th¢ naiur¢ and purpose of ¢a¢h fund is it)¢lUd￿ in the notes tothe financial ststements.
INVESfMENT INCOME
2022
2021
Investment inc¢Jme
25
TRUSTEES, REMUNERATION AND BENEFITS
There were no Irust¢e5' r¢rniuJ¢rntioD or othEr bE4Jefit5 for ¢ht year ¢tsl¢d 31 D¢cemb¢r 2022 I￿r for the yeor ended
31 D#ember 2021.
TRu￿EES, LXPEP4SES
TheTe were no trustees, expetL8es pwd for the year ended 31 Decetnb¢r 2022 ntsr for y¢ar end¢d
31 December 2021.
Pag¢ 5

HA7.LEMERE FREE METHODisf CHURCH
NTIN
ED
THK I'LAK ENDED 31 DECEMBFR 2922
TAP*GIBLE FIXED ASSF.TS
Freehold ImprovemeDt¥
property
to property
Tots
C.OST
At l janu￿ 2022 and 31 December 2022
107.231
468,412
DEPRKCIATION
At l January 2022
Charge foryear
36.120
7224
28,175
5,362
64.295
12.580
At 31 D¢G¢tDbv2022
43,344
33,$37
76,881
NETHOOK VALUK
At 31 December 2022
317.837
73,694
391,531
At 31 December 2021
325,061
79,056
404,117
CREDITORS: AMOUWTS FALLING DUE WITHifi ONK YEAR
2022
2021
Trad¢ ¢reditors
Taxaiion ajkl Ktial security
Othu creditors
41.117
762
24,139
622
232,149
232,771
66.018
CREDITORS: AMOUNTS FALLIliG DUK AVfER MORE THAli ONE YEAR
2022
2021
BaLk loans
168.993
MOVIMENY Ili FIINDS
movement
In fuDds
At iiin2
At31112122
Umrestjlrted fvnds
Generdl fimd
193,T99
5,888
199,687
TOTAL bUNDS
193,799
5.818
199.687
Pog¢ 6

HAZLEMERE FREE METHODIST CHURCH
NOTES TO THE FINA￿CIAL STATEMENTS. CON
FOR THE YEAR ENDED 31 DECEMBER Z02
MOVEMEf4T IN FUT4DS- tontinued
Net mov¢m¢nt ITh [L￿dI irt¢lud¢d in th¢ above are as follow$'.
Intomin
regoiirees
Rttources MovtrneDt in
expended
fund5
UDrestrlcted fuDd5
General fimd
70,230
164.3421
5.888
TOTAL FUNDS
70,230
164.3421
5,888
Complratlves for movement funds
Net movemeAt
ID furtds
At 111121
At31112lll
Unrt5trfcted FuDd5
G¢n¢ral fvnd
192,215
1,584
193,799
TOTAL FUNDS
192,215
1,584
193,799
Comp8rn1iv¢ n¢t mov¢m¢ni in fynd& In¢l￿ed in the thvc are as follow5..
Incoming
resour¢e$
Re4ourees Movement I
¢xpÈnd
Uttregtrl¢ted funds
G¢n¢rnl fimd
58.738
157.1541
I,S84
TOTAL FUNDS
58.738
(57.154)
1,584
A cwY¢ni year 12 months 8nd prioryear 12 months w]llbined posilitsn 1$ as follows:
At iiini
ID fund$
At31112Q2
Unrestrlrt&l funds
Genernj fimd
I￿.215
7,472
199.687
TOTAL FUNDS
192,215
7.472
199,687
P88e 7

HAZL
FREE METHODIST CHURCH
TIIE FINANCI
STATEMENTS. C
W YEAR £NDED 31 DKCLfvIIIER 202
MOVEMENT IN FUNDS- eontlDued
A current y¢ar 12 tDonths ATbJ prior year 12 menths combined movement in fijnds, in¢luded in the 2btsve are &s
folloi4s.'
IneomlnE
re8our¢es
Regovtrtts MovemeDt in
e3PEndcd
furtdi
Unrestricted fund$
General bjttd
128.968
1121.4961
7,4n
TOTAL FUNDS
128,968
1121.4961
7,472
P4g¢ 8

EMERE FREE METHODIST CHURCH
NT
F FINANC.IAL AcfiviTIES
FOR THE YEAR ENDEDJI DECEMBER2022
2022
2021
INCOMING RESOURCES
Voluntary intamÈ
t￿Tration & Irgaci¢s
Hall Kental
58.067
46.996
11.740
70,205
58.736
Investmeni income
Investm¢nt inwm¢
25
TotAI ineoming regources
70.230
58.738
RESOURCES EXPENDED
Ok4ritible *elivitits
Runnin8 Cost of the chwch
Minister and vislting pr¢a¢her
uroh services and Sund2y Sch
DonJtlOD paid
ov¢rnance Cost
G¢n¢ral adrnink%tr8tiort ¢o$ts
11,052
19,616
975
995
29,187
1517
6.940
20,200
604
25.285
2.922
64,342
57.154
Totsl rtiollrees exptnded
64,342
57.154
Net Intomt
5.888
1.584
Thss pagc docs not fotin pan ofthe ststutory fin*n¢ial s¢8tements
Pag¢ 9

Hazlemt￿ Free Methodist Cbureb
HFMCOOI
5- For the Year F.nded 3111212022
VARIANCE TRIAL BALANCE
YeEr EndtAI 31 D¥embtr 2022
Actourtt
Description
Final
Co]npaniive
Year End¢d
31112121
VoriÉnte
%awigc
Donation & lewi¢s
Ilall Rentsl
InvesttneTrt income
Running costof th¢ church
Minist¢r and visiting pre&dKr
cknu￿h 5¢rvi¢es and Sunday S
DoTration paid
Governance Cost
G¢n¢ral adrnini51r&tion costs
(58.067.731
{46,995.30}
111,740.38}
{11,072.431
23.56
1397.12
3.38
123.22) l J50.00
4,112.45
59.26
1583.671
-2.89
1227.85
-18.95
391.00
64.74
3.902.34
15.43
14Q4.901
.13.86
24
169
124.941
11,052.00
19,616.46
974.65
995.00
29,186.93
2517.23
6,939.55
20,200,13
1,202.50
604.iK>
25,284.59
2,922.13
172
173
174
175
(Profit) l ￿$$
1£5.887.901
{£1,584.501
1£4,3O3.401
271.59
512
Fr¢¢hold prop
Freehold prop Cosvvaiuation
F￿h￿Id prop DepTeciatK>ll b
Fr￿hOld prop Charge fory¢a
Improvmts 10 prop
Improvmts to prop C05tlvg]ua
Tmprovmls to prop AdditiQll5
Impn)vmts Eo prop Depreciati
l]npruvmis ts> prop Charge fo
Bank accouni ￿0. I
Bank &ccount no. 3
Trade credilo
CaTrenter Loan
Social s¢curity oth¢rtsX
Bank Loan
WRL Inan
ALLruaJs and deferr¢d in¢om¢
Bank loans. 2.5 years
Surplus and deficit account
Brought fon¥ara
361,181.09
136,119.621
17,224.001
161,181.09
128,895.621
17.224.001
17224.iK)I
2S.00
122
522
107231.48
102,924.49
4.306.99
122.813.951
15 J61.521
8,6È7.26
16,006.35
4.306.99
14.306.991
{5.361.521
10.051
208.37
10.024.94
4.18
-100.00
23.50
0.00
71.47
62.63
-100.oo
-100.00
-18.37
128.175.471
15,361.571
14.895.63
26.O31.29
122
692
694
737
739
755
768
769
785
857
968
140.000.001
1761.781
{22.952.161
40,000.00
139.95
21982.16
(232.000.001
1,008.00
168,993.10
{621.831
(252.0￿.￿)I
{150.001
-87.05
-loo.00
1168.993.10}
(193.799.101
(192,214.60
11.584.501
0.82
£0.00
£0.00
£0.00
UCHA002- to postin8 55
Ply I
MASTER 2514r23 12.. 2