Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 ANNUAL REPORT AND FINANCIAL STATEMENTS OF THE PARISH OF ST PETER, OADBY (1. January 2020 to 318t December 2020) Registerod Charlty number 1132456 Legal and Administrative Infomiation Ministers The Revd. Steve Bailey. Team Rector Vacancy, Team Vicar Church Wardens Mr Don Smith and Mr Martin Ward Principal Office St. Peterfs Cent, Wigston Road, Oadby. Leicester LE2 5QE Parochial Church Council The membership of the PCC is detemined in accordance with Church Representation Rules (Synodical Government Measure 1969) as amended 2006. The membership of the PCC is presented elsewhere in the papers of the Annual General Meeting. Independent Examiner Robert Radford FCA, The Rowleys Partnership Ltd, Chartered Accountants, Statutory Auditors, Charnwood House, Harcourt Way, Meridian Business Park, Leister LE19 1WP Bankers CAF Bank Ltd.. 25 Kings Hill Avenue, Kings Hill, West Malling, Kent MG19 4JQ Legal Representativa The Diocesan Registrar, St Martin's East, Leicester LE1 SFX
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 Oadby Parochial Church Council Year Ending 31 December 2020 Annual Report IntergnuM During the whole of 2020 the Parish has been in Interregnum (Vacancy) with no permanent incumbent. Ministerial support has been provided by the Team Rector and the broader Benefice team together with the laity within the parish. Early in 2020 the parish was approached by the ministry team at St. John the Baptist Church, Clarendon Park. Leicester, who are a 'Resourcing Church" within the Leicester Di0se, whose aim is to make a bigger difference to other churches in greater need. They have provided ministerial support in leading our services and through a period of consultation and discernment we have jointly agreed a new strategy for St Peterfs, which will in 2021 see the licensing of a Team Vicar and a full time Curate to support the work of the Oadby Church. Parish of St Peter, Oadby Oadby Parochial Church Council (PCC) had the responsibility of co-operating with the Team Rector. the Revd. Steve Bailey, in promoting the ecclesiastical parish of St Peter, Oadby, seeking to further the whole mission of the parish, and engaging in Christian worship, pastoral care, evangelistic outreach, and fostering community well-being. The PCC was also specifically responsible for the maintenance of St Peterfs Church., St Peterfs Centre," and,1 Leister Road. Members of the Council who have seNed since the CommenMent of the financial year (January 1$t 2020) until the Annual Parochial Church Meeting (APCM) on 4th October 2020 were Rev S Bailey Mrs J Royle Mrs M Chamberlain Mrs V Barba MrJPCryer Mrs S Davies Mr M Dunn Mrs D Purves Mrs R Parsons Mrs P Ellson, Mrs V Davison Mrs R Shrigley Mr D Smith Mrs L. Gibbs Mr M Ward Mrs C Broad At the APCM, Mrs R Parsons and Mrs J Royle left and were replad by Mrs A Pitches, Mrs J Knight and Mr P Coomes.
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 Oadby Parochial Church Council Year Ending 31 December 2020 Annual Report Due to the Coronavirus pandemic, the Annual Parochial Church Meeting was deferred until 4th October 2020. At the first meeting the following officials were elected.. Vice Chair Secretary Treasurer Electoral Roll Officer Insurance officer Mr Jonathan Cryer Mrs Sian Davies Mr Mick Dunn Mrs Rita Shrigley Mrs Linda Whitman This meeting also agreed the Standing Committee: Rev S Bailey Mr M Dunn Mr M Ward Mr D Smith Mrs P Ellson Mrs S Davies The Standing Committee is a legally constituted sub-committee of the PCC. It meets between full PCC meetings and serves the PCC by preparing agendas and conducting urgent business which cannot wait for the next full meeting. It may also prepare briefings for the PCC to infom their discussion. sin 181 January 2020 there have been 7 meetings of the new PCC and g meetings of the Standing Committee. Coronavirus 2020 At the time of preparing this report the Coronavirus pandemic is affecting the whole world, with implications for the financial situation of most churches including St Peterfs and as to how the church continues to operate. This at a time when we are in interregnum, without a Team Vicar, and with the church itself closed for major internal repairs. Although in following national Church of England guidelines, with the church building itself closed, and no weddings or funerals pemiitted, the church is very much alive. We have embraced modern comrnunication technology and are able to stream live seniices from Sl Peterfs Centre, access prayer meetings and other services from many local churches and keep in regular contacl with members of our church family. As a result of the closure of the Parish Centre there will be a loss of rental income from the many organisations which use the facility, and there is also some impact on financial giving. As a result, the PCC made the decision. for purely business reasons. to 'Yurlough" its part-time employees. Whilst the next several months may well be challenging, the church has seen challenges over many generations and will no doubt continue to be a place of God's presen for generations lo come.
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 Oadby Parochial Church Council Year Endlng 31 December 2020 Annual Report Structure, Governance, and Management The PCC of the Parish of Oadby is required, as stated in the Parochial Church Councils (Powers) Measure 1956, to co-operate with the Team Rector and Ministry Team in promoting in the Parish the whole mission of the church, pastoral, evangelistic, social and ecumenical. Charity law requires the Parochial Church Council (PCC) Members, who act as trustees under charity law, to prepare financial statements for each financial year that give a true and fair view of the PCC'S financial activities during the year and of its financial position at the end of the year. In preparing those financial statements, the PCC Members should follow best practi and: select suitable accounting policies and then apply them consistently to make judgements and estimates that are reasonable and prudent, state whether applicable accounting standards and statements of recommended practice have been foll0vd, subject to any departures disclosed and explained in the financial statements, prepare the financial statements on an on-going conrn basis unless it is inappropriate to presume that the PCC will continue in operation. Objectives and Activities The PCC is committed to fostering accessible and reverent worship at St Peterfs that is attractive and relevant to the people of Oadby. A primary aim is to enable people to belong to a loving, supportive Christian community.. The PCC maintains an overview of worship throughout the parish and has encouraged excellence in the Sunday and weekday services in a range of different worship styles which seek to cater for all age-groups and a wide range of preferences. All our seniices seek to put faith into practi through prayer and scripture, music and sacrament. When planning our activities for the year, the incumbent and the PCC have (in accordan with the Commission's guidelines) been particularly Conrned about the public benefrt of what we do in the parish as well as the adhering to the specific guidance given to charities for the advanment of religion. In all our work, we try to enable ordinary people to live out their faith as part of their church community through: Worship and prayer,- learning about the Gospel. and developing their relationship with Jesus as Lord and Saviour. Providing pastoral care for people living in the Parish. Evangelistic outreach work. To facilitate this work, it is important to maintain the fabric of all our buildings- St Peterfs Church, St Peter's Centre; and 1 Leicester Road; Oadby.
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 Oadby Parochial Church Councll Year Endlng 31 December 2020 Annual Report Achievements and Performance Worship and Prayer Until the effect of the Coronavirus pandemic, the PCC provided a range of ServIS that those who attend have found beneficial and spiritually fulfilling. Sunday worship has continued to attract good attendances, while the mid-week Holy Communions have continued to provide a quiet, intimate style of worship. There has been a strong emphasis on communicating the Christian faith through preaching, teaching, and multi-media presentations. All are welcome to attend ServIS at St Peterfs. At present there are 135 persons on the Church Electoral Roll. St Peter's Sunday attendance averaged 79 (70 adults and 9 children). The Christmas Services were well attended and were of high quality. As well as the regular services, the parish enables the community to lebrate and thank God at the milestones of the joumey through life. Through baptism we thank God for the gfft of new life. in marriage, public vows are exchanged with God's blessing,. and through funeral servIs, friends and family express their grief and give thanks for the life which is now complete in this world and to commend the person into God's keeping. At St Peter's, due to the pandemic, there were no weddings or baptisms. but we have conducted 25 funerals in the period beeen 1$tJanuary 2020 to 31StDecember 2020. . Deanery Synod Three of the PCC sit on the Deanery Synod in addition to Ihe clergy. From January 2020 to December 2020, 2 Deanery Synod meetings took place, focusing on the end of one Synod and the beginning of a newly elected one, which was delayed due to the pandemic. Reports are circulated in advan of the meeting and business is kept brief at the end of the evening. The Team Rector, Rev. S. Bailey is the current Rural Dean for this area. st Peterfs chUh & Major W0S The Parish is committed to engaging with the wider community. We want our church to be open for private prayer and our buildings to be used widely by the community. St Peter's Church remained open for prayer each day. The God focussed purpose of the church is clear to all users, through the V11-11t chancel which poinls to the Word of God in Jesus. Following the recommendations made at an earlier QLiinquennial Inspection, work commenced in September 2020 to repair the interior church walls, necessitating the closure of the church for up to six months to allow the contractors to remove all the old pointing to the stonework and the re- pointing and plastering of the walls. The cost of this project is estimated to be in the region of £200,000.00. Thanks to the generosity of church members, the local community and various grants it is hoped that little of the reserves held in Church Funds will be needed to meet the drfference. The church is not VAT registered but we are able to reclaim any VAT charged from the Government 'Listed Places of Worship Scheme" Church services were initially moved to the Parish Centre on a limited basis and also streamed to church members unable to attend. When the government annoUnd a lockdown at the end of the year the PCC made a decision to close the Centre on safety grounds. Live services continue to be provided either electronically or in various fonnats which can be supplied to church members unable to access modern technology.
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 Oadby Parothial Church Councll Year Ending 31 December 2020 Annual Report In the early part of the year and in periods outside of "Lockdowns., St Peterfs Centre, continued to be used greatly by the wider community of Oadby, thus fulfilling an important social and outreach need as well as generating income for the parish. Among the many users of the Centre were St Peter's Lunch Club, Asian Lunch Club, Keep Fit and sporting groups, St John's Ambulance, the Stroke Club, Drama and Dance Classes, Guides, Scouts, Brownies, Cubs and Beavers. Due to the Coronavirus pandemic, St Peterfs had to cancel the twice weekly Luncheon Club, with unfortunate consequences for the many elderly and frail attendees and caused the enforced redundancy of OUT trrfo part-time cooks. The various closures of the Centre throughout the year have seen a notiable loss of church income. Some members of the parish are unable to attend church due to sickness or age. At St Peter's, Diane Purves and Jean Geall have brought Home Communion to those who have requested it. Mission and Evangelism The Parish of Oadby continues to be challenged by demographic change in Oadby and changes in society towards churchgoing. Christine Broad oversaw the running of Peter's Place, with a team of willing helpers. Important links with our Mission Partners have been sustained. The parish continues to support our Mission Partners with CMS, Steve & Catriona Bennetts who are now working in Gahini, Rwanda. Oadby. St Peterfs has elected to contribute £6,000 to the Donations budget, often supporting overseas charitable projects. Safeguarding Safeguarding continues to be of paramount importance. Juliet Bewley is the Oadby St Peter's Parish's Safeguarding Officer. Reserves Policy It is the PCC'S policy to maintain adequate cash reserves within the general and designated funds each year to cover operational costs for on-going gross salaries and essential running costs as well as allowing for necessary repairs and replacement of equipment used by the church. The reserves in the General Fund have been maintained in accordan with the Archdeacon's recommendations for a robust Reserves Policy. Wothplace Pensions The PCC pays its employees a minimum of the Living Wage and provides a non-contributory Workpla pension to members of the lay staff so entitled through a scheme run by National Employment Savings Trust (NEST) and set up by the Government The Future Despite the effect of the Coronavirus Pandemic on both the church income for 2020, the ability to provide actual church services and the provision of community faciltties, it is the opinion of the PCC that St Peterfs has sufficient robust reserves and commitment to remain a going concern for at least the next 12 months.
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 Oadby Parochial Church Councll Year Endlng 31 December 2020 Annual Report Financial Report 2020 It is my pleasu as Treasurer of the Parish to present the Financial Review for 2020. DoCUSnIdtsy'. C788958817144D4 Mick Dunn Parish Treasurer 31si March 2021
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 Oadby Parochial Church Cwncil Year Endlng 31 December 2020 Annual Report INDEPENDENT EXAMINER'S REPORT TO THE MEMBERS OF THE OADBY PAROCHIAL CHURCH COUNCIL I report to the Charity trustees on my examination of the accounts of the charity for the year ended 31 December 2020 which are set oui on pages 7 to 16. Responsibilities and basis of report As the charity's trustees you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (Ihe Act,). I report in respect of my examination of the charity's accounts carried out under section 145 of the Act and in carrying out my examination I have followed all the applicable Directions given by the Charrf(y Commission under section 145{5)(b) of the Act. Independent 8xamlne¢s statement I have completed my examination. l confin that no material matters have come to my attention in connedion with the examination giving me ¢ause to believe that in any material respect-. accounting records were not kept in respecl of the charity as required by section 130 of the Act,. or 2. the accounts do not accord wilh those records,. or 3. the accounts do not comply with the appli¢able requirements conceming the fom and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a 'true and fair view which is not a matter considered as part of an independent examination. I have no concerns and have come across no other matters in Gonnection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached. DoCu$ned ty.. D272C64cO&aEB R J Radford FCA The Rowleys Partnership Ltd Chartered Accountants and Statutory Auditors Charnwood House Harcourt Way Meridian Business Park Leicester LE19 1WP 31-03-21
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 Oadby Parochlal Chruch Coulncll Year Ending 310ecember 2020 Annual Report STATEMENT OF FINANCIAL ACTfviTY Cneral fund Designated ttds Re¢1 nd5 EndciwTneni fund$ Tv¢al Fnl 2020 2019 No th)natioDs and ItCl£S (hb¢r volun 81J3Q 3.917 71,518 156.705 197.722 17_104 2è In¢om¢ from tsilable activities.. Letting% rentals and f¢e5 Other charitsble in¢¢ome 19,6J2 19.652 3.807 47,297 2d Inv¢stmeni ina)me 673 675 1.028 13_636 4213 19.849 Tot¥1 121.100 3,917 75,731 200.748 286218 Exd11rt Exp¢ndibJre on charitable activili¢5". Activities ofthe thurch Fund r4i5iDg Supwrt costs P1$h dottions 33279 6J57 9&947 l56J83 402 51.487 6.016 A50,486 3,353 92.728 12,000 4b 51.487 6,016 Tofgl ¢xpendlt¥it 6.ii7 96.947 214.488 258.567 Net imtomittg resourcts 9.916 1212161 113,740 27.L41 Sep4ratioA of churches BsJArLCC to St Pauls {318,2331 Nti movtrn¢Dt ID fun 9,916 12,4401 121,2161 13,7401 {290,5821 B8lxntts I JAnry 530 71&418 143,685 2,199 864.832 1.05&4l4 Gi]1[) maliation of fixed usets 97,(XlO Tmnsfers 19.847) {4.9491 14.796 Blanrt5 3] DEttmber 599 711.029 137265 1199 851.092 864.832
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 OadbyP4M¢Nl BALANCE SHEF.I' 2119 T&tswbkfiwd4Ag 45SQ.fj) 10 4419 204767 221323 7,491 7,597 7.491 201,092 214132 •rts 85J,12 12 12 12 12 599 711.029 137265 2.lw 851.(W_ 530 718.413 143. $64,832 31 MaT<b 2021 Ward io
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 Oadby Parochlal Chur¢h Coun¢il Year Ending 31 Decembèr 2020 Financial Statements l Accounting Policie5 The principal accounting p)licie5 adopted. judgements at)d key sources of estim&ion uE)certaiDty in the preparation of the financial statements are as follow.. l{a} Ba5i5 of Preparation The financial statements h&ve been prepated in accordance with the Church Accountin8 Regulation5 20Q6. togeiherwith th¢ accouniing standart FRS 102 and ihc Charities SORP issued in Octokr 2019. The charity constitutes a publTC benefit entity as dcfined by FRS 102. The financial statements have been preparcd in accordante with Accouniifft8 and R¢porting by Charitics.. Staiem¢nt of Recommended Practice applicable to charitie5 preparing their accounts in a¢t¢rdan¢e with the Finrial Reporting Siandard applicable in the UK and Republic of Ireland {FRS 1021 issued on 16 July 2014, the Finan¢ial R¢p)rting Standard applicable in the United Kingdom and Republic of Ireland {FRS 1021. the Charities Act 2011 and UK GerwaIly Accepted Practice. The financial statements have b¢en prepartd as a going concem utlder the histOTica] cost colltIon except for the vajuation of investment assets where appropriate which ar¢ Shown at rllarket value. Ilbl Fund5 G¢n¢Tai funds reprt the funds of the PCC are not Subject io 8ny $triction regardittg their 8nd 8re available for 8ppli¢ation on the gcnernl purposes of the PCC. Funds designated for a particular purpose by the PCC are also unrenCled. The accounis include all traTh5&Ctions. assets artd liabilities for which the PCC is reswnsible in law. They do irt¢lud¢ the accounts of ehurch groups that owe their main aifjliation w snother Wy northos¢ that are infortnal goth¢rtngs of ¢hur¢h m¢Tnb¢ Restricted fim(ts relate to specifi¢ monies giv¢n for Gertain activitl¢5. Oh tronsition to FRS11021 th¢ charity took advantage of an optioll to revatue buildin8 improvements to their fair vajue, crcating revaluation reserY& this reserve 15 being rleased into the Statement of Financial ActlVLty to offset any subsequent depreciaiion charged on this amollnt which is Sule4utnY being ¢#rritd forward at cost less depreciation. 11¢) Incoming Kesources Ynlllni<Jry inrnmp findrnptidl.io¥pees. Colleciions are Tecognivd when received hy or nn h¢half (kf the prr.. Planned giving ijnder fiift Aid and pnyments ijnder C4)venAnt ire reColIsed oiily when iEceived. Ii)cotll¢ t on cov¢1))¢$ OJ. giA aid doiiatioiis Is LOgt11s wlitii ttie bn¥oiEK i& r811is¢d. OthgT oi'dinury iijcoipie Rental Income from the letting of church premises is recognis wherh the rentsl is due. Incomefrom i51ent Dividend5 and interest are accounted for ès thry accnje. on such incom¢ is recognid in the some accoting yeor. Gains andlosses on R¢ali5ed gains or lo58es are reco)1$ed when investments ar¢ sold. UDrralisd gains or Iossc5 ar¢ aG¢ounttyJ for on Tevaluation of inv¢5tm¢nts at 31 December in each year. Governmeni g)rtls C*)v¢rnment grants reeeivable in felaiion iojob retention scheme and retail scheme are r¢¢ogrtised as income over ihe periods nrf¢ssw to Tnatch them with the related costs which they are intended 10 compettsate, on a Sysml¢ b1$. Govemm¢nt grants at¢ shown separelY 05 other income. IIJI RLWUJWJ GYaAIs GrJJJts and donations are accounted for when paid ov¢r, or wh¢n awarded if that award ¢r¢Ates a binding <A)ligation on the PCC. Atttvilies diretily rÈloiing to the work ofthe ¢h4r¢h The Parish share is aoUnterf for when poy8bl¢. Any Parish shEr¢ unpaid at 31 D¢Tber 15 pfovlded for in these accounts sn Operation {Ihough not a legal) liability, and 15 Shown as a creditor on the balance sheet. l{el Fixtsl ASWS Consecraledlandand buildings and movable chur¢hfMrrtixhiw. Th¢iT value is excluded from the accounts by wim]e of the Ch8riti¢s Art 2011. Any ¢xwlditv. wiwher m8inienan¢e or impwvem¢nE is written off to revenue in the y¢aT il arises. FreeholdProperty Church Hdll$ On trdnsition to FRS {1021 the charity took advantag¢ of ihe option to change th¢ira¢¢ouming policy in relation to th¢'ChUh Hajls.. This is now being held fair W¢ with revaluation tnovcments held in the re5crvcs of the charity. Fre¢holdlftvesiMJehi Propertv Frechold Investmeni Prorty is bein8 held at fair value. Equipment i8 depreciated evenly at 25% per allnun4 or rnore if the lif¢ of th¢ as5¢t is held to be le55 than four y¢ar& 110 P¢nsion Costs The parish cotttributes to pension scherncs in respcei of levant employees. The PCC is not a trustee of any scheme. contributions are ¢harged in the year in which they are incvrred. li
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 Oadby Parochlal Church Councll Year Endlng 31 December 2020 Flnanclal Statements l Actouoting Poli¢ip5 {Continuedl Ilxl Represeniatio Quantities ar¢ eniered in the analysis irt withds 8nd pen¢¢, and arithm¢ti¢ i$ ex4¢L All fJgur¢5 the exact ounts Correctly rounded to the nearesr pound. Ilhl Governance and Support costs Administrative costs have been S¢pored L*tw¢en 8oveTnanc¢ ond supwrt in ¢rd¢r to co]nply with the ChaTiti¢s CoTnfflission Swement of Recommtndcd Prathice. Governance refcrs to cxpenditure not directly rther1g the purpose for which the parish enjoys charitable ststus. Support co5 are thos¢ that relate diT¢dly to the objective5 and wort( of the chvrch. In this ststemeni. the Indepa]dent Examiners fe¢& cXpSeS in hat¥Jling wage and Salary payments. and bank char&e5 have been eollecled undergovetnarL¢e in 14lcl. Illl Cornparntiv¢ Infonnation Comparative information perwnin8 to the year ending 31 December 2019 includes 6 months of trading prior to the separation of St Peter's and St Paul"'s Churches respettively. As a result thi5 infonnation 15 incompar4blc lo th¢ current Yea financial information. A description of the adjummenis made with re8ards io the separation of the churches And the fioan¢ial effe¢t Otl this charity Can b¢ found in th¢ 2019 financial statements. 12
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 Oadby Parochlal Church Council Yèar Endlng 31 DeeembÈr 2020 Finzncial Statements 2 GtJttr*l funds- in¢Orti resources 2020 2019 2{al InrnIng resources from thnors Strward5hip Income lax Ye¢oveT Collections DoTJations I 64,573 13.501 103.202 23,742 12,673 5.008 144,625 10 81,330 21bl (hh¢r Volun In0)mu rts)w¢¢$ Events Christnw hir 13.465 3,639 17,104 21¢) In¢oTne from &ncillary trading Magazine Centre1Hl lettin8S 1,473 13,604 2.016 30.164 5,050 10,067 47,297 Fees 4,575 19,652 21d) Ordinary in(x)mittgr¢sour Sainsbury vouchers Centre ¢Aterin8 (Jhcr 2.092 2.857 950 3,81)7 6.701 21e} In¢ome frotn investrnents Divtd•Jd$ 8J)d int¢rut 675 1,028 675 1,028 210 Grant inwrnc Growth fjJnd CJRS gr8tt1 i]Kome 4,936 15.636 4,936 Tot41 incoming resourtes 121.100 233,121 S Other dortaiiotsgnd rerltal itlwme to Desi8nated and Restriaed fw 3 T•t•l In¢omlng r¢s(trurtes 2020 2019 Incorning TC9)Urce G¢tKrai nd aknwe Don8tion$ and lewies• D¢5)wd fvnds Donations and legacies- Restricted fimds iii,100 3.917 71,518 233.121 6.471 46.626 196,535 286,218 13
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 Oadby Parochlal Churth Council Year Endlng 31 December 2020 Financial Statements 4 Gener&1 funds- resourees u$td 2020 2019 4(al Activities relating directly to the work of the chur¢h Parish share ClerBY exp5¢5 Church insurance Chureh utilities Church Tepairs and mntenanCe Mi&%io Centre insurance Centre utiliti¢$ Centre repairs and Mn1¢nance t Centre services Centre catering Perfom)ing rights society Prtsentations Church expenses General expendittre Technolo&y Community ChoÉr 30,000 27 594 6.700 695 330 6,516 148 4.195 3,136 258 75295 2,530 l J49 6.459 14.051 2.397 6,579 7,536 7,481 1,908 149 142 1614 367 269 873 129,999 364 281 53.279 4(b) Fund raisin8 and publicity Events Christm&s fair 402 2,986 J67 3353 402 41c} SupFQrt costs Salgjtes and honoraria Depr¢¢iation- equipment Goveman¢e ¢o$ts- s¢¢ 16 41,951 65.829 9.536 51,487 26.899 92,728 41d) Don*ions and other outgoings Annual psrish donations Other 6.016 12,000 6,016 12,000 Total resources used 105.884 238,080 t additional Costs from Funds 14
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 Oadby Parochial Church Councll Year Endin8 31 December 2020 Flnanclal Statm•nts 2020 2019 6 Gover¢¢ rosts Adrninistr8tio Inderndeni Examitt¢rs' f¢¢$ Profcssionil fte5 4,938 1.200 3.398 9,536 21.386 960 4,553 26,899 7 Endolvrnent funds L#und¢n Bequest CR Coleman Trust Total Bglanee al l Jaftuary2020 Intete4t ExExnditure Balancc at 31 Dcccmbcr 2020 500 1.699 2,199 1.699 2.199 8 Ih&i8knted funds SuThday sc01 Fund St Peterfs Centre Development Friends of Si Peiels Old Rectory Mwement Balance ai l 2020 Donaiions Int¢r¢$t 5.420 3,917 5,984 1.302 21.716 Expenditure TT8rtsfers Blllance llt 31 DeMEeT 2020 12,089) 14,2681 6.5161 10.932 8,965 5,984 ,302 St P¢r Music St Pet¢rf5 Centre CApitsJ St Peterfs DisLtetionary B&i8nce at l JAnuHry 2020 Donations Int¢r¢51 Rent Exrrtnditure {Depte¢iatioIh) Trdnsfers IRevaluation+l Ralance ai 11 r)ecemhp.r ?n?.t> 31,861 250,000 .032 11501 2$0.000 1.032 St Ppter's CApitsJ S¢ P¢trtrs Choir Bal9j at l Janu8ry 2020 th)Tr4tions Gt8nt Intsrest Rent Ex&ndituTe TTatJsfer5 Balance 8131 De¢ember 2020 400.0 .103 718,418 3.917 {6.3571 {4.9491 711,029 400,000 1.103 15
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 Oadby Parothial Church Council Year Endin8 31 December 2020 Flnandal Statements 9 R¢slii¢ted funds Si Petees Maintrnance Si PdeL Centre Mainnanee St Peterfs Organ Fund Youth Club Fund Pde Bal#n¢e * l Jwuary 2020 Donations tnterest Exp¢nditur¢ Trdnsfths Balance at 31 December 2020 95,140 71 4.281 32 16.1991 88.941 5,584 5,655 4.281 32 St P¢rfs Bell Futkl Youth Worker Fund Church Roof aftd WBlls Fund Total BaJ•tt¢¢ w l Jonuary 2020 Ik)nations 254 24J49 502 19,558 71,016 4,213 143.685 71,518 4,213 Interest Expenditure Tran5fer5 Balan(% at 31 Dcc¢mber 2020 196,9471 15,586 13.426 196,9471 14,796 137,265 11751 24,676 254 10 Flxed 1&stts Freehold land aDd buildin8S Builditig improvemenl EquipThKnt At l Jznuaryy 2020 Addiiions Dis81* Transfer Revalutaion At 31 DeMber, 2020 4(M).LK)o 250,OLM) 43.437 693,437 400,000 250.000 43,437 693,437 Depredation At l Januory. 2020 Disposals cha forthe year Transftr At 31 DcLrmber, 2020 43.437 43,437 43,437 43,437 book valut At 31 DetaTrber. 202(J 400,(X)O 250.000 (kiO.OOU At 31 De£fmbeT, 2019 333.0 250.000 650.000 The abov¢ prowtie8 Wtre malued otL 30 May 2019 by Knightsbridge Estat A8ents and Vaiuet5 ild The Tntstee5 wisiderthat the valuation of freehold land a[ buildin8S i5 MaterI]Y differtftt from the figures given aLwe, and is theTefore ststed kt it5 fr valu¢. 16
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6 Oadby Parnchial Church Councll Year Endin8 31 December 2020 F5nandal Statements I I Stsff eosts 2020 2019 Wages and salaries Social security costs 40.943 1,008 48,028 1,212 41.951 49,240 Included in the above are pension contribuiions on behalf of an employee totallin8 £2,355 {2019- £2,619) Average number of employees.. Part time 412019= Part time 5) No employee during the year received reTllUt]eration in excess of £60,000 (2019 - £Nil) 12 Debtor 2020 2019 Prepayments at]d accrued interest Oth¢r d¢btors 2,650 1,272 3.922 4.419 4,419 13 Li*bilities: amounts falllng dut wlthin one year 2020 2019 Accruals and deferred income Donatlgns Other creditors and provision5 1200 6,012 7.491 7,-597 14 Analysls of aet assets by fund Designated fi]nds Restricted funds Endowment nds Totsl G¢n¢ral Funds Fixed assets é7 Tangible assets Investments Current assets Bank Debtors 49 Liabilities 510 650,000 650,000 4,274 3.922 (7,5971 61,029 137.265 2,199 204.767 3,922 (7,597) Fund balance at 31 December 2020 599 711.029 137.265 2,199 851.092 Bance at 31 December 2019 530 718,418 143,685 2,199 864.832 17
Docusign En¥ÈlopÈ ID." A82602FA-05994B74-AgD4OE6485FB22C6