Trustees. Annual Report for the period
Period start date
To
2023
Period end date
Aug
01
Sep
31
2024
From
Section A
Reference and administration details
Charity name
Penketh Methodist Church
Other names charity is known by
Registered charity number (if any)
1132809
Charity's principal address
Chapel Road. Penketh, Warrington
Postcode
WA5 2NB
Names of the charity trustees who manage the charity
Dates acted
if not for
whole
ear
Trustee name
Office (rf any)
Name of person lor body) entitled
to appoint trustse (if any)
Ex-officio
Rev Andrew Moffoot
Circuit Superintendent Minister
Presbyter
Presbyter
Church Counal Secretary
Church Treasurer I Property Steward
I Church Steward
Rev Mark HaThiood
Selected
Rev Linda Bishop
John Thompson
Steve Devers
Selected
Ex-officio
Ex-officio I Churth Council l Ex-
officio
Barbara Creamer
Pastoral Lay Worker
Church Steward
Church Council
Liz Atkins
Ex-officio
Keith Gardam
Church Steward l Hea￿h & Safety
Worship Group Co-ordinator
Communications
Ex-officio I Church Council
Doris Besford
Church Council
10
Emma Thompson
Sue Devers
Church Council
Church Safeguarding Officer
Church Representstive
Secretary to the Pastoral Committee
Church Representstlve
Church Representative
Circuit Steward
Church Council
12
lan Rayner
Brian Powney
Joe ￿lttaker
General Church Meeting
Ex-officio
13
14
General Church Meeting
General Church Meeting
Appoinled by the Circuit
15
Margaret Dochety
Marie Reeve
16
Names of the trustees for the charity, if any. {for example, any custodian trustees)
Name
Dates acted if not for whole
The Trustees for Methodist Church Purposes act as
Custodian Trustees for the Charity's property
ear
TAR

Names and addresses of advisers Ioptional inforniation)
e of adviser
Name
Address
Independent Examiner
Graham Pegg
4 Fox Gardens, Lymm, Cheshire WA13 9EY
Name of chief executive or names of senior staff members (Optional inforniation)
Section B
Structure,
overnance and mana
ement
Description of the charity's trusts
Deed of Union 1932 and Methodist Church Act 1976
Type of goveming document
How the charity is constituted
Trust
Trustee selection methods
The Trustees are the members of the Church Council and are either ex-
offiico, elected annually by the general church meeting or appointed
annually by the Church Council.
Additional governance issues (Optional infonnation)
Penketh Methodist Church is part of the Sankey Valley Methodist Circuit
You may choose to include
additional infonnation, where
relevant, about..
The Church Council sets the Charity's strategy and monitors results at
periodic meetings.
policies and procedures
adopted for the induction and
training of trustees-
the charity's organisational
structure and any wider
network with which the charity
works.,
relationship with any related
parties;
trustees, consideration of
major risks and the system
and prO￿dureS to manage
them.
The Church Council has established a Management Stewards Group that
meets bi-monthly to focus on deploying and managing Church strategy
and reviewing results.
The Church Council has appointed committees for the furtheran￿ of the
Charity's work in certain areas, i.e. Pastoral, Worship and Resources
The Church Council has appointed individuals to oversee Safeguarding
and Health & Safety
The Church Council have developed a Mission & Growth Plan (Oct18-
Oct23), which highlights a number of goals; for example, Mission,
Fellowship, Worship, Children & Youth and Community
TAR

Section C
Ob"ectives and activities
The purposes of the Methodist Church are and shall be deemed to have
been since the date of the union the advancement of:_
(a) the Christian faith in accordan￿ with the doctrinal standards and the
discipline of the Methodist Church;
(b) any charitable purpose for the time being of any connexional. district,
circuit, local or other organisation of the Methodist Church.,
(c) any charitable purpose for the time being of any society or institution
subsidiary or ancillary to the Methodist Church
(d) any purpose for the time being of any charity being a charity
subsidiary or ancillary to the Methodist Church
Summary ofthe objects of the
charity set out in its
governing document
Penketh Methodist Church has adopted the following Mission Statement:
'The calling of the Methodist church is to respond to the gospel of God's
love in Jesus Christ and to live out its discipleship in worship and
mission.
To that end, in the power of the Spirit and in the name of Christ the
Church Council, through its staff and lay offi￿rS seeks to promote the
work of God through worship. leaming and caring, service and
evangelism.
Summary of the main
activities undertaken for the
public benefit in relation to
these objects (include within
this section the statutory
declaration that trustees have
had regard to the guidance
issued by the Charity
Commission on public
benefit)
*Vhen planning the church's activities for the year, the Church Council, in
their capacity as managing Trustees, have had regard to the Charity
Commission's guidan￿ on public benefit and. in particular, the specific
guidance on charities for the advancement of religion.
Our main activities include:
Regular acts of worship to which all are welcome, whether or not
members of the Methodist Church
Smaller meetings ('House Groups,) enabling members and others
to develop in their Christian faith
Engaging with the local community through the work of those
within the church community
Making our premises available for community activities
Additional details of objectives and activities (Optional information)
You may choose to indude
further statements, where
relevant, about..
policy on grantmaking;
policy programme related
investment.
contribution made by
volunteers.
TAR

Section D
Achievements and performance
Summary of the main
achievements of the charity
during the year
The achievements and the perf0mlan￿ of the Church in 202312024 has
continued on from 202212023.
There remains a good attendan￿ and involvement on a Sunday for
moming worship and for Praise & Testimony services, which happen every
month.
The Olive Branch café continues to successfully provide weekly lunches
and support a number of events throughout the year.
We hold ￿gUlar outreach activities covering mid-week worship I school
relationship outreach I concerts I pantomimes and Icoffee mornings. We
also hold sep4ices in the residential homes - Green Park and Meadow
View- which seem to be well ￿ceiVed by the residents and their families.
Also children's worship in the form of Little Angels pre-school worship and
Tree House Kids on a Sunday.
There also remains an eclectic mix of users covering uniformed
organisations, painting groups, gardening groups, Drop-ln sessions for tea
& coffee, yoga, keep frt, dance groups and fellowship groups within the
Church.
The number of hirers grows steadily, but we remain restricted by the small
number of Ambassadors covering to open and close the building.
We siccessfully recruited our offi￿ Admin lay Wokrer with effect from April
2024. She has settled in very quickly and is doing a great job.
TAR

Section E
Financial review
General Funds - To function adequately. year end funds for the General Fund
should ideally not fall below £25,000 (or approximately c30 % of total annual
expenditure). The plan for 202412025, which includes full assessment payments
of £40,900, was to have year end funds in August 2025 of £17,069 or 20 % of
totsl annual expenditure. Given this sum, there are no reserves. Church
Council will review the policy annually.
Brief statement of the
charity's policy on reserves
Restricted Funds- All funds in the Restricted Funds are for Lay Workers only.
We currently have one Lay Worker who started April 2024. So no severance
costs are necessary for two years from the start date. Over time, a sum for
calculated period costs, including pension, and severance costs will be made.
Church Council will review the
annuall
Details of any funds materially
in deficit
Further financial review details (Optional infomiation)
General Funds- Total General Funds at the end of August 2024 totalled
£34,729, which represented a reduction of £9,208 from August 2023 total funds.
Income re￿iVed was broadly the same year on year, but our costs increased in
202312024 versus 202212023. The situation with the General Fund finances
continues to be precarious and remains a cause for con￿rn and the future looks
very difficult if we are to conts'nue to pay all the ne￿SSary non-discretionary
running costs and the full Circuit Assessment.
You may choose to include
additional infomation, where
relevant about..
the charity's principal
sources of funds (including
any fundraising)"
how expenditure has
supported the key objectives
of the charity"
investment policy and
objectives including any
ethical investment policy
adopted.
Restricted Funds- Total Ristricted Funds at the end of August 2024 totalled
£24,253, which represented an increase of £5,202 from August 2023 total
funds. This is mainly due to not having any Lay Workers with effect from April
2023 and only successfully rwecruiting a new Lay Worker from April 2024.
Monthty income to date is nearly covering the offi￿ Admin Lay Workers salary.
Section F
Other optional information
Section G
Declaration
The trustees declare that they have approved the trustees, report above.
Signed on behalf of the charity's trustees
Signaturels)
Full name(s>
Position (e.g. Secretary, Chair,
etc)
Rev. Mark Harwood
Steve Devers
Chair
Treasurer
Date
2710212025
2710212025
TAR

CHURCH
RECEIPTS AND PAYMENTS
ACCOUNTS
THE METHODIST CHURCH
STANDARD FORM OF ACCOUNTS
Penketh Methodist
Church
FOR THE YEAR ENDED
31 August 2024
Sankey Valley
Circuit
Circuit no
18113
Registered Charity - Charity Registration number
1132809
If not a registered charity Her Majesty's Revenue and
Customs Gift Aid number
(The HMRC number is equivalent to a registered charty number in terms of evidence of charitable
status and may be used to give to donors or grant funders wishing to see evidence of the organisation's
charitable status. Methodist charities in England and Wales that are not registered charities are
excepted from registration under Statutory Instrument 2655 of 2007)
Minister:
Reverend Mark Harwood
Church Management Stewards:
Keith Gardam
Elizabeth Atkins
Steve Devers
Treasurer:
Mr Steve Devers
Church R and P 2012.xls
1of5

ACCOUNTS FOR THE YEAR ENDED 31 AUGUST 2024
Penketh Methodist
Church
Unrestricted
Funds
Restrl¢tsd
Funds
Totals this
y•ar
Totsls last
year
SECTION A
a1
RECEIPTS
Note
Offerings and Tax recovered
Bank and CFB interest and
Investment income
48,251
6.539
54,790
58.491
679
643
1,322
829
a4
Lettings
16.545
16,545
14,697
a5
Other receipts
7,337
7.337
4,437
a6
TOTAL RECEIPTS
72,812
7,182
79,994
{a7)
78,455
{5)
SECTION B
b1
PAYMENTS
b2
Circuit Assessment or Share
40,800
525
40,800
23,000
b3
Donations
525
245
Repairs and Maintenance
utilities (Insurances, water
char
es, heatin
htin
Building Fund Payments
Other payments
TOTAL PAYMENTS
19,302
19,302
12,492
b5
15,320
15,320
10,879
b6
b7
6,073
1,980
8,053
84,000
22,312
b8
82,020
1,980
(b9)
68,928
SECTION C
NET RECEIPTSIPAYMENTS
FOR THE YEAR
la6-b8)
{9,208)
5,202
(4,006
9.527
Total funds brought forward
from last year
43,937
19,051
62,988
{c6)
53,461
St
Sub total
(c1+c2)
34.729
24.253
58,982
62,988
Transfers and adjustments
{c8)
c5
TOTAL FUNDS AT END OF YEAR
{c3+c4)
34,729
24,253
58.982
{G71
62,988
1¢6)
SECTION D
FOR INFORMATION ONLY: MONEY RECEIVED AND PASSED ON TO EXTERNAL ORGANISATIONS
(these amounts are not to be Included in totsl receiptsipayments figures abovo)
d1
Balance brought forward from last year
d2
OfferingslGifts- received for extemal organisations
1,330
2,233
d3
OfferingslGffts - passed to extemal organisalions
1,330
2,233
d4
BALANCE STILL TO BE PAID
(d1 +d2-d3)
Chutch R and P 2012.xls
2of5

Penketh Methodist
Church
SUMMARY OF CHURCH ACCOUNTS AND IiifERNAL ORGAN
REPORTING TO THE CH
RCHC
IL
SECTION E
pi
e f Ilow the Guldanee Notès to com
ete thls
Summary of the Church account5 for the year ended 31 August 2024 and Internal Organisatsws reFK*ty"ng to the Church CcVJno￿chUrth Meeting. Note that the funds of an
Intemal Organisaton woukl ntsrmalty te Rtr5trK*ed funds unless rt te tJearty sh(Aw that Ihey {￿10 te u￿[ for any Met￿l$t PUfPXlSè. This section must
completed to arrive at the gross income and eypndrture totats of the DIS￿ Ifgross irKomè exL*Èds IheAmwals thresholo. then the Accrnals meth¢)J ofaccouth.ng AND
DIFFERENT FORM must to reF*M Ihe ao>Jurts15ee Metwist **bsitel. P*ase refer tothe guhyance notes r8garding transfws teb¥een the DistrKt and
connected Distnd Organisats"ons.
INTERNAL
ORGANISAnONS
Net R￿p
Closi
balan
74S Ladies Group
919
(76n
942
175
Drama Group
11081
2,806
2.698
Ollve Tree Cofé
15.199
11.456
3.744
10.388
14.132
¢4
Ladles FellO￿tt1P
482
479
Mens F•llowshlp
71
71
Sub totsl ol Intemal
O anisations funds
16.604
13.732
2,872
14,241
17.112
10121
Chvrth aeeounts Itotsls
brought forward from page
2- totals columnl
TOTAL CASH FUNDS HELD
BY CHURCH
79,994
la7>
Ib91
{40061
62,988
Ic61
58,982
le71
96,598
97,732
{1.1341
Yr,229
Ixl
76,094
lyl
Continue on a Separate sheet
necessary and bring the
totals forward
TOTAL RECEIPTS
TOTAL
PAYMENTS
SECTION F
-.hur STATEMENT OF ASSETS AND LIABILlnE
Kei
CHURCH- CASH FUNDS HELD at 31 AUg￿t 2023
Suè D•¥•
OPENING
BALANCES
CLOSING
BALANCES
Sit
Cash in hand
Elizabeth
Bank Current Account
33,575
34,976
Bank Deposrt Account
f4
Central Finance Board
29.413
24,006
Twstees lor Methodist Church Purposes
Other funds
SUB TOTAL- Church accounts
62.988
Ic61
68,982
Ic71
Totsl fund5 held by Intemal 0rgantsab.c￿s Ithe c*Jy"ThJ
balance total from abovel le121
14,241
1è111
17,112
le121
TOTAL CASH FUNDS HELD BY CHURCH
77.229
76,094
SECTION G
At
OTHER ASSETS and LIABILITIES
I Septemtrm 2023
31 August 2024
Investments linc4u¢e Endcfy¥meTrtsl
Land & Building313ee nots8 re Insuran¢e value)
3.341.108
3,441.339
OtherAssets
117.743
123,129
84
Loanlsl- show amount tyjtstanding end
othor Liabilitiès
M Indude onty Funds hetd at the Central FinarKe Board
f5 Include onty Funds at Trustees for MethrAl￿ Churth PurwJses
91 Indude any other in¥e3tmenls Ino¢ the ￿$h èkment ofTMCP trvsts ￿nts ttNs 15 IThSu￿￿ lli linè 15
Rm￿QO]20￿￿th
3¢rfS

DECLARATIONS
Treasurer
I confirm that I have prepared the accounts from the records of the Church and that they indude all funds under
the control of the Church Council
Signature of Treasurer
Date
2710212025
Name
Steve Devers
Address
3 Candleston Close, Callands. WARRINGTON. WA5 9UB
Presentation to the 'Church Council for approval.
I confim that the Accounts have been presented to the Church Council on
and We￿ approved.
2710212025
Signature of the Chair of the
meeting
Name of the Chair of the meeting
Reverend Mark Harwood
Date
2Y
Independent Examiner's Re
ort to the Trustees of the
Penketh Methodist
Church
This Report is on the Church Accounts for the year ended 31 August
2024
Respectlve responslblllties of Trustees and Examiner
The charitys trustees are responsible for the preparation of the accounts. The charitys trustees consider that an
audit is not required for this year under seclion 144 of the Charities Act 2011 (the Charttses Act) and that an
independent examination is needed.
Graham Pegg
It is my responsibility to..
Examine the accounts under Section 145 of the Charities Act
to follow the procedures laid down in the general Directions given by the Charity Commission (under
Section 145(5){b) of the Charities Act). and
to state vthether particular matters have come to my attention.
RMof2012 churc* R ar￿ P.￿8
4ofS

Basis of Independent Examinerfs Report
My examination was carried out in accordance with general Directions given by the Charity
Commission. An examination includes a review of the accounting records kept by the
charity and a comparison of the accounts presented vlith those records. It also includes
consideration of any unusual items or disdosures in the accounts, and seeking
explanations from the trustees conceming any such matters. The procedures undertaken
do not provide all the evidence that would be required in an audit, and consequenuy no
opinion is given as to whether the accounts present a 'true and fairf view and the report is
limited to those matters set out in the statement below.
Independent Examlnerfs Ststement
In connection with my examination. no matter has come to my attention (other than that
disclosed belovr):
<1)
which gives me reasonable cause to believe that in any material respect the
. to keep accounting records in accordance with section 130 of the Charities
Act;
. to prepare accounts which accord with the accounting records and comply
with the accounting requirements of the Charib'es Ad have not been met.,
(2)
to which, in my opinion. attents'on should be drawn in order to enable a proper
understanding of the accounts to be reached.
' Please delete the words in the brackets rfthey do not apply appropriate
Name
Graham Pegg
Signature
Relevant Professional qualification or trfxly
FCMA CGMA
Address
4 Fox Gardens, Lymm, Cheshire, WA13 9EY
Date
RM012012 church R and P.xts
5of5

CHURCH
RECEIPTS AND PAYMENTS
ACCOUNTS
THE METHODIST CHURCH
STANDARD FORM OF ACCOUNTS
Penketh Methodist
Church
FOR THE YEAR ENDED
31 August 2024
Sankey Valley
Circuit
Circuit no
18113
Registered Charity - Charity Registration number
1132809
If not a registered charity Her Majesty's Revenue and
Customs Gift Aid number
(The HMRC number is equivalent to a registered charty number in terms of evidence of charitable
status and may be used to give to donors or grant funders wishing to see evidence of the organisation's
charitable status. Methodist charities in England and Wales that are not registered charities are
excepted from registration under Statutory Instrument 2655 of 2007)
Minister:
Reverend Mark Harwood
Church Management Stewards:
Keith Gardam
Elizabeth Atkins
Steve Devers
Treasurer:
Mr Steve Devers
Church R and P 2012.xls
1of5

ACCOUNTS FOR THE YEAR ENDED 31 AUGUST 2024
Penketh Methodist
Church
Unrestricted
Funds
Restrl¢tsd
Funds
Totals this
y•ar
Totsls last
year
SECTION A
a1
RECEIPTS
Note
Offerings and Tax recovered
Bank and CFB interest and
Investment income
48,251
6.539
54,790
58.491
679
643
1,322
829
a4
Lettings
16.545
16,545
14,697
a5
Other receipts
7,337
7.337
4,437
a6
TOTAL RECEIPTS
72,812
7,182
79,994
{a7)
78,455
{5)
SECTION B
b1
PAYMENTS
b2
Circuit Assessment or Share
40,800
525
40,800
23,000
b3
Donations
525
245
Repairs and Maintenance
utilities (Insurances, water
char
es, heatin
htin
Building Fund Payments
Other payments
TOTAL PAYMENTS
19,302
19,302
12,492
b5
15,320
15,320
10,879
b6
b7
6,073
1,980
8,053
84,000
22,312
b8
82,020
1,980
(b9)
68,928
SECTION C
NET RECEIPTSIPAYMENTS
FOR THE YEAR
la6-b8)
{9,208)
5,202
(4,006
9.527
Total funds brought forward
from last year
43,937
19,051
62,988
{c6)
53,461
St
Sub total
(c1+c2)
34.729
24.253
58,982
62,988
Transfers and adjustments
{c8)
c5
TOTAL FUNDS AT END OF YEAR
{c3+c4)
34,729
24,253
58.982
{G71
62,988
1¢6)
SECTION D
FOR INFORMATION ONLY: MONEY RECEIVED AND PASSED ON TO EXTERNAL ORGANISATIONS
(these amounts are not to be Included in totsl receiptsipayments figures abovo)
d1
Balance brought forward from last year
d2
OfferingslGifts- received for extemal organisations
1,330
2,233
d3
OfferingslGffts - passed to extemal organisalions
1,330
2,233
d4
BALANCE STILL TO BE PAID
(d1 +d2-d3)
Chutch R and P 2012.xls
2of5

Penketh Methodist
Church
SUMMARY OF CHURCH ACCOUNTS AND IiifERNAL ORGAN
REPORTING TO THE CH
RCHC
IL
SECTION E
pi
e f Ilow the Guldanee Notès to com
ete thls
Summary of the Church account5 for the year ended 31 August 2024 and Internal Organisatsws reFK*ty"ng to the Church CcVJno￿chUrth Meeting. Note that the funds of an
Intemal Organisaton woukl ntsrmalty te Rtr5trK*ed funds unless rt te tJearty sh(Aw that Ihey {￿10 te u￿[ for any Met￿l$t PUfPXlSè. This section must
completed to arrive at the gross income and eypndrture totats of the DIS￿ Ifgross irKomè exL*Èds IheAmwals thresholo. then the Accrnals meth¢)J ofaccouth.ng AND
DIFFERENT FORM must to reF*M Ihe ao>Jurts15ee Metwist **bsitel. P*ase refer tothe guhyance notes r8garding transfws teb¥een the DistrKt and
connected Distnd Organisats"ons.
INTERNAL
ORGANISAnONS
Net R￿p
Closi
balan
74S Ladies Group
919
(76n
942
175
Drama Group
11081
2,806
2.698
Ollve Tree Cofé
15.199
11.456
3.744
10.388
14.132
¢4
Ladles FellO￿tt1P
482
479
Mens F•llowshlp
71
71
Sub totsl ol Intemal
O anisations funds
16.604
13.732
2,872
14,241
17.112
10121
Chvrth aeeounts Itotsls
brought forward from page
2- totals columnl
TOTAL CASH FUNDS HELD
BY CHURCH
79,994
la7>
Ib91
{40061
62,988
Ic61
58,982
le71
96,598
97,732
{1.1341
Yr,229
Ixl
76,094
lyl
Continue on a Separate sheet
necessary and bring the
totals forward
TOTAL RECEIPTS
TOTAL
PAYMENTS
SECTION F
-.hur STATEMENT OF ASSETS AND LIABILlnE
Kei
CHURCH- CASH FUNDS HELD at 31 AUg￿t 2023
Suè D•¥•
OPENING
BALANCES
CLOSING
BALANCES
Sit
Cash in hand
Elizabeth
Bank Current Account
33,575
34,976
Bank Deposrt Account
f4
Central Finance Board
29.413
24,006
Twstees lor Methodist Church Purposes
Other funds
SUB TOTAL- Church accounts
62.988
Ic61
68,982
Ic71
Totsl fund5 held by Intemal 0rgantsab.c￿s Ithe c*Jy"ThJ
balance total from abovel le121
14,241
1è111
17,112
le121
TOTAL CASH FUNDS HELD BY CHURCH
77.229
76,094
SECTION G
At
OTHER ASSETS and LIABILITIES
I Septemtrm 2023
31 August 2024
Investments linc4u¢e Endcfy¥meTrtsl
Land & Building313ee nots8 re Insuran¢e value)
3.341.108
3,441.339
OtherAssets
117.743
123,129
84
Loanlsl- show amount tyjtstanding end
othor Liabilitiès
M Indude onty Funds hetd at the Central FinarKe Board
f5 Include onty Funds at Trustees for MethrAl￿ Churth PurwJses
91 Indude any other in¥e3tmenls Ino¢ the ￿$h èkment ofTMCP trvsts ￿nts ttNs 15 IThSu￿￿ lli linè 15
Rm￿QO]20￿￿th
3¢rfS

DECLARATIONS
Treasurer
I confirm that I have prepared the accounts from the records of the Church and that they indude all funds under
the control of the Church Council
Signature of Treasurer
Date
2710212025
Name
Steve Devers
Address
3 Candleston Close, Callands. WARRINGTON. WA5 9UB
Presentation to the 'Church Council for approval.
I confim that the Accounts have been presented to the Church Council on
and We￿ approved.
2710212025
Signature of the Chair of the
meeting
Name of the Chair of the meeting
Reverend Mark Harwood
Date
2Y
Independent Examiner's Re
ort to the Trustees of the
Penketh Methodist
Church
This Report is on the Church Accounts for the year ended 31 August
2024
Respectlve responslblllties of Trustees and Examiner
The charitys trustees are responsible for the preparation of the accounts. The charitys trustees consider that an
audit is not required for this year under seclion 144 of the Charities Act 2011 (the Charttses Act) and that an
independent examination is needed.
Graham Pegg
It is my responsibility to..
Examine the accounts under Section 145 of the Charities Act
to follow the procedures laid down in the general Directions given by the Charity Commission (under
Section 145(5){b) of the Charities Act). and
to state vthether particular matters have come to my attention.
RMof2012 churc* R ar￿ P.￿8
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Basis of Independent Examinerfs Report
My examination was carried out in accordance with general Directions given by the Charity
Commission. An examination includes a review of the accounting records kept by the
charity and a comparison of the accounts presented vlith those records. It also includes
consideration of any unusual items or disdosures in the accounts, and seeking
explanations from the trustees conceming any such matters. The procedures undertaken
do not provide all the evidence that would be required in an audit, and consequenuy no
opinion is given as to whether the accounts present a 'true and fairf view and the report is
limited to those matters set out in the statement below.
Independent Examlnerfs Ststement
In connection with my examination. no matter has come to my attention (other than that
disclosed belovr):
<1)
which gives me reasonable cause to believe that in any material respect the
. to keep accounting records in accordance with section 130 of the Charities
Act;
. to prepare accounts which accord with the accounting records and comply
with the accounting requirements of the Charib'es Ad have not been met.,
(2)
to which, in my opinion. attents'on should be drawn in order to enable a proper
understanding of the accounts to be reached.
' Please delete the words in the brackets rfthey do not apply appropriate
Name
Graham Pegg
Signature
Relevant Professional qualification or trfxly
FCMA CGMA
Address
4 Fox Gardens, Lymm, Cheshire, WA13 9EY
Date
RM012012 church R and P.xts
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