CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's report on the
accounts
SeGtion A
Indep8ndent Examin8Vs Report
Report to th8 trustees
The Parochial Church Council of the Eccleslaslical Parish of St. James.
Hemingford Grey
On accounts for the year
ended
2025
Charlty no
Ilf any)
1132817
Set out on pages
3.16
I report lo the trustees on my examination of the accounts of the above
charity l.the Trust") for the year ended 3111212025.
As the charity's Irusleès, you are responsible for the prèparation of th8
8ccounls in accordance with the requirements of the Charities Act 2011
I'the Acl'l.
I repott in respect of my examination of tho Trusvs accounts carried out
under section 145 OF Ihe 2011 Act and in Garrying out my examination, I
have followed all the applicable Directions given by the ChaNty Commisslon
under section 145{5llbl of the Act.
Responsibilltles and
basi5 of roport
Independent I have completed my Bxamlnation. I confirm that no material matters hav8
examlner's statement come lo my allenlion in ¢Dnneclion with the examination which gives me
cause to believe that in. any material respect..
thè accounting records were not kept
in accordance with s6clion 130 of the Charities Act.. or
the accoun18 did nal accord with the
accounting records., or
the accounts did nol comply with the
applicable requlremenls eonceming the fomi and content of accounts
sel out in the Charities (Accounts and Reportsl Regulations 2008
other than any requir6menl that tho accounts give a 'lru8 and fai
vigw which is not a matter considered as part of an indepeiidenl
examinalign.
I have no concerns and have come across no other matters in connection
with the examination to which attention should be drawn in thls report in
order to enable a proper understanding of the accounts lo be reached.
Signed:
Apr 28, 2026
Name:
Mr. Leandros Lazari
Relevant profe551onal
qualificationls) or body
FCMA, CGMA
Address..
73 Haygreen Road
IER
Oct 2018

WithaTn, Essex
CM81GT
Section 8
Disclosure
Only complete if the examiner needs lo highlight materi81 mallers ol concern
(see CC32, Inlependenl examination of charity accounts.. direc¢lons and
guidance for examiners
Give here brief details of
any Items that the
examiner wishes to
dlsclose.
IER
Oct 2018

ycHu
INGFO
D GREY
Tab18 of Contents
Annual Report
Statement of Finanelal Aclivllles
Balan￿ She&t
Notes ID Ihg Financlal Slaterll8nls

AMES,
ANN
OR
HE
ORD GREY_
AL
URC
25
PORT OF
DE
PA
$7DE
Admlnistration Informatlon
Sl James, Church is Sltuated in th8 Parish of Hemingford Grey, in the Deanery of Huntingdon, part of
the Dioces8 ol Ely within the Church of E￿land. The Parochial Church Counell IPCCI is a règSslered
haTIty, Numbér 1132817.
Ex Offlclo Mèmbers
Rgvd TlmDlhy May
Rev Judlth Bolton
Ben Pearson
Irelir8d elergyl
Ichildren and Youth Minis18r- left September 202SI
Membgrshlp of St James, PCC 2025
Robert Barker
Heather Chambers
Allson Craven
Tim Drye
Mark Enz8r
Allen Foster
Simon Keen
Gra￿ M8thews
Ed Nevill
Elizabeth Pinnock
Mike Plnnuck
lan Sinklnson
CIIVB Sprawson
Shirley Stlrllng
Stanley Tr8n¢her
Ichurchwardenl
18ppoSnled May 20251
Ireslgned September 20251
(Htsnorary Tieaburerl
Ichurchwardenl
Appolnlment of Trusteès
FCC members were appointed at our Annual Parochlal Church meeling. whi¢h was held in May 2025
and ar8 thè Iruslees of St James, Chur¢h.
Objectlv8s and Activltlès
st James, PCC Values
God first,. Indlvldually and tog8ther
Listenlng to others with open hearts and minds
Love and aeceplance IOT each other
Shared own8rship of Ihe1gad8rship
Thg Charlty's Activltles
Sl JatTPS' Church is comtnitted lo offér the opportunlty of Christian worship lo all our local community.
We aim lo enable our members, and others, lo live out Ih8ir faith in the world and make a valuable and
eDrlching contribution In the QQFllmunilies wherg we live and worship. We do this through worship.
prayer, andlgarning aboul the Gospèl, outreach, cotnmunily involvomonl and pastoral Care.

Publlc Beneflt
During 2025 St Jam8s' Sunday services were held al 10.OO£m and once a month al 6pm. The church
corried out its regular outrèaeh acllvilies in the community and continued lo support the work of the
gaspel ol Jesus Christ through its Mi55ion Partn&rs. During Ihis year the Parish Centre conlinued to ba
open lo the publi¢ providing a spac8 lor ￿gUlar church 8etivilies and outreach, such as the Drop in
Cafe, also 8 registered W8Ttn Space. Sl James continues to Llve Slrearn Sunday Services and
provldes printed materials to Ih0s6 who wsh lo stay al home.
Church attendance
As al Decetnber 2025 there were 112 church members on Ihe electoral roll wllh an average of 65
worshipers and 6 Ghildrer) and yOLing people In attèndance al Sunday service8. There were Q
weddlngs, 1 baplbsm and 3 fune￿1 seNlces in the p8rish church during 2D25.
Yèar in Review 2025
Rev Tim May continued as the vlcar of Sl James, Church and we have an administrator. admln
assistant and accounts Bssi8tanl worklng lor us. Our YoLrth and child￿n'S Mini81gr resigned and left In
September 2025.
Sèrvlces
The Annual PBrochial Church Me81ing was held on 18th May and thgr8 were 51 people1n attendance.
Easter and Chrlstmas serviogs were held at St James for members of the thngregation and parlsh, they
wore well allend8d as they have been in previous years. As in other yeers the Rivgrside Setvicg, a
popular servicp rJUtsld8 in the churchyard for both villages, was held July following the Regatta.
Wednosday Communion, Night Praygr and Moming Prayer continued throughout Ihe yoar. Three
servlTrs a month were held in the local care home Field Lod9e. The church Invited Its mission partners
lo visll 8t various Ilm85 throughout th8 y8ar so that Wo could be updat8d in their work and celebrate It.
Church Activitlès
Famlli8$ from the village attended an Easter FBir. Dads and Klds camping and BBQS during the year.
The Nativity 88rvice, Carol Setvlce and Chrlstm8s Day seNces were well attgnded. Christmas Sa￿l¢e$
for the local primary school wore held in church. The Youul and Children's Minister Gonlinued In go into
the school regularty until July. In Septèmber Sl Jamgs held a Big W88k6nd attracting people from bolh
church and the village lo engage with a programme of varied activitie8. Fir51 Slep¥, the weekly baby
and toddlpr group, conllnucd ID be well allended durlng 2025. During this year the Women's group,
FbuTlsh, mel a numlEr ol tinies soci811y and to takp part In talks and craft.
Drop In Cafe
The Parish Centre contillued lo open Its drop in caf9 on Wednesday and Thursday mDmlngs. run by
VDlunle&rs from both church and the community. We welwmed some new volunteers during the year
and a￿ grateful for thelr continued support. A Monday Light Lunch and Warm Space was offered once
a month during the wlnler months and was allended by around 25 fflembers of the parish each month
who valued the food and company,
World Misslon
Sl James. Church contlnues lo partrier wllh several overseas mlssion partnèrs supportlng them
rinancially and in prayer. 11 was agreed that in 2025 The Holy Land Inslilule for thè O&af and Wear5ide
Youth lor Christ would join the Mission Partn8rs wè support.
Support lo people In need
In 2025 Sl Jam8s continued 113 partnership with Hope Inlo Act￿￿, supporting a family in frfendship and
prayer who reside In tho church housè however this arrangement cama lo an end in August and has not
been r8n8wed.

Eco Church
Sl James continues lo be an Eco Church and carflès out work throughout the year to ènsure il
rnaSntains Its bronie award slalu8.
Church bulldings
Work conllnues lo be dona on designlng a nBW hea11r￿ systam for church.
Flnanclal Revlew
During Ihe year voluntary givlng lo the General Fund dècreased slightly to £150,777 and overall Income
into the General Fund dèere8sed lo £206,388. Overall expenditure in the Gen8ral Fund remained
relaliv8ty static at £219,108 r8sulling in a deficll (>f £12,720.
The PCC maintained Its policy of donating 15% of income lo our mlssion p8rtners. lotaling £33,715 In
2025.
UnrÈslrl¢ted Funds
Development £2,903, General £847,556.
Restricled Funds
89115 £2.203, Don Brown £17,715, Garden Room £5,339. Healing Sysl8m £1.702, Reslrtcted Donations
£0
Investment Pollcy
Sl James, investment poll¢y Is dellvered in accordan￿ with the Dltscese of Ely and PCC approv81.
Resorves Policy
11 is Ilie policy of the PCC to rnainlain a balanc6 In the Ggneral Fund to cover al198sI 3 months costs
se ol unavoidable redundancies and emergency situallons.
Rlsk Policy
Sl James, Church Charity assess8s 811 subslanlial risks and implem8nts appropriate rn8asures lo
managa them. Al the year end, Ihp church believos that it is not subject lo any subslanliab risks beyond
the liabililigs dlsclosed in ils flnancial slal8menls.
The church holds approprlate insur8n¢e policies lo safeguard the publlc and users of our lacllltles, its
members, emplc>yees and assets. We have a Health and Safaty Policy and a Safeguarding Policy
updated in accordance with thè Diocese of Ely.

Trustees. Rèspon6lbilitles StatÈment
The Iruslees are responsible for prepariDg the Truatees, Annual Rewrt and the financl81 stalemellts In
accordanc8 with app5icabk law and United Kingdom Ac¢ounling Standards Iunlled Kingdom G8nerally
Accepted Accotjnling Practice).
The law gppllcable to charllies in England & Wales requlres th9 Iru5tees lo Prepa￿ financSal slal8ments
for each financial year whleh give & true and fair view of the stale ol affairs ol the charity and of the
iftcotning resour¢gs and applleation of resources of the charity for that poliod. In pr8paring these
flnancial stslemenls, the trusteès are required lo..
select suitable accounting policies and then apply them eonsisl8ntly',
Obs9p￿ Ihe methods aryj principles Ir) Ihe Charlues SORP 2019 IFRS 1021..
make judgements and eslima18s that are reasonab18 and prudonl.,
stale whether spplicablg accounting stendards have been fDllowed, SLJblecl lo any
mal8rial departuros disclosed and explained in the fln8nclal statements.,
preparo the financial slalemenls on the goin9 concern basis unless il is inappropriate to
presume that the charlty will not cc>ntSnue in operallon.
The trustees aTe responsib￿ lor ke8ping proper accounting records Ihat disclose wilh reasonabl6
accuracy al any limp thp flnancial position of tho rharity and gnable them lo ansure that the linan¢i81
81alements comply with the Charitios Act 2011, the Charities (Accounts and Reports) R8gulations 2￿8,
the piovlslons of the trust deed 2nd current church accounting regulations. They are also re8PQnsible for
safeguaidlng the assets ol th8 charity and hetice for taking rgasonable steps lor the pr8vention and
deleclion ol fraud and other irregularities.
Approved by th8 PCC on...
Slgned on thèlr beha5f by the Chalrperson.-...
thy May
t nnc?

ST JAMES, CHURCH HEMINGFORD GREY
NOTES TO THE ACC
NTS
FOR THE YEAR ENDED 31ST DECEMBER
025
Unrestricled
Restrfeted
Funds
2025
2024
Note
Funds
Tots
Total
INCOMING RESOURCES
Voluntary giving
Activities for generating funds
Income from investments
Church activities income
2a
184,171
3,224
9,019
9,974
10,457
194,628
3,224
9,551
9,974
207,923
8,735
9,759
10,104
2b
2c
532
2d
TOTAL INCOMING RESOURCES
206,388
10,989
217,377
236,521
RESOURCES EXPENDED
Church activities
Governance costs
3a
151,429
67,679
12,178
163,607
67,679
167,899
84,787
3b
TOTAL RESOURCES EXPENDED
219,108
12,178
231,286
232,686
NET INCOMING RESOURCES BEFORE
OTHER RECOGNIZED GAINS AND LOSSES
112,7201
11,1891
113,9091
3,835
Transfer between funds
other recognized gains and losses
Gain on investment
12,6981
14761
13,1741
1,776
NET MOVEMENT IN FUNDS
115,4181
(1,6651
117,083)
5,611
BALANGES BIFWD 1ST JANUARY
865,877
28,624
894,501
888,890
BALANCES CIFWD 31ST DECEMBER
850,459
26,959
877,418
894,501
The notes accompanying these accounts form part of these accounts.

JAMES, C
CHHE
EY
ES
OTH
CCOUN
AR
DED 31
DECE
R20
nr
stri
025
FIXED ASSETS
Tangible
754,891
5.339
760,230
761,981
754.891
5,339
760,230
761,961
CURRENT ASSETS
Short leim investment
D8btors
64,790
7,450
30,475
11.433
76,223
7,459
40,653
79.397
4,645
58.877
Cash at b&Trk and in hand
10,178
102,71S
21,620
124,335
142,919
CURRENT LIABILITIES
Credltors- amounts f8111ng due in one year
17,1471
17.1471
110.3791
NET CURRENT ASSETS I ILIABILITIE51
95.568
21,620
117.188
132,540
Total assets less Gurrent Ilabllities
850,459
26.g59
877,418
894,501
CrBditors- amounts falling due aft8r one year
TOTAL NET ASSETS
850,459
2S,959
877,41B
894.501
Rapres8ntèd By:
Unrgstrleted Incom8 Funds
850,459
850,459
865,877
Restrlcted Incoma Funds-
26.959
26,959
28,824
850.459
26,959
877,418
894,501
Th95e accounts were approved by thè management commltt88 and signed on thelr behalf by..
ffl.FifrJdoc
ChutEknrtraert
Signed..
Dalg..
g]sJ£6

JA
ES
OTHE
EAR
CH
COUNTS
ST
FO
FO
1 ACCOUNTING POUCIES
Basls of A¢eountlng
Th8 financial slatemtrnts hav8 been prepared under th¢ Charities AGI 2011 and compty with tho SIBlement Df
Recommended Practlce SORP IFRS 10212nd w5th FRS 102 on the basls that the Church is a public benefit
entity,. and also guidancè Issued by the Charity CommL8sion and the PCC In accordanc8 wlth wrrenl Church
Accounting Regulati>ns.
Tha accruals babls ol accounting had been adopt8d, and tho PTinelple acGounllng polici&8 $61 out b81ow are
applled consistently and ar8 also consistent with the 'golng COn￿rn, concept adopted.
There ar8 no material uneertaintl8s abuul the Church's ability lo eonlinue as a gL)Ing ¢oncÉrn. Neither do the
financial slalernents conta1n any managem6ntjudgemenis- significant or othetwlse, nor arè there and
ch8ng68 in the acGounling policies adop18d or materia1 eriois in prior year's accounts.
Funds
Unr8Stricled funds are general funds which eAn be used for PCC ord5nary PUTP0$8S.
R8Strfcled funds represent lal IncoRie from Injsls or endowments whlch may be expended only on those
reslrlctad objects provided in thp terms ol thè trust or bequèst, Rnd Ibl donallons or grants recelved for a
specific objeL4 or invit8d by the PCC for a sp8afic oblecl. The hjnds may only be exp8nded on the specific
oblecl for which they wer8 glven. Any balance remaining unsp8nt al the end of the year must be carried
forward as a balance on Ihal fund. The PCC does not usually inv8St separately for each fund. Where ther8 is
no separate Inveslrnent, interest is apwrtiofted lo individual funds on an average balance basls.
Incoming resources
Planned glving, collèctions donations 8re recognised when received. Tax refunds are r8cognlsed when
the incoming rèsourc8 to which they relate 18 received. Grants and legaThes arè accounted for when thè PCC
Is legally entitled lo the atnounls due. Dlvidends are accounted lor when re(￿5V3b1e, Inlgresl Is accrued. All
olhgr Income is r8cognised when 11 is recgiV8ble. All inootnlng re80urce5 are accounted for gross.
Rèsources &xpended
Granis and donations are accounted for when paid ov8r, or when awarded. if that 8waid creates a binding or
conslwctlve obligation on the PCC. The dioc8san parish share is accounled frjr whèn due. Amounts received
SPe￿rIcalty lor mission are dealt with as reslricled funds. Al olher expendittjre is generally recognis8d when
il 15 incurred and is accountEd for gross.
Flxed Assets
Consecrated and bener￿ed properly Is not induded in the accounls in accord8nce with S.9612Xal of tho
Chaiities Act 1993
Movable church fvrnishings held by the vlcar and churchwardens on spechw1 trust lor the PCC and which
requlre a lacully for drsposal are inalienable property, Ilsled In the church'q inventory, which can be inspected
lal any r88sonab19 time). For anything acqulrEd prior lo 2000 there is Insufficient cost iiiformation available
and ther8f0￿ such assels are not valued in th8 financial slaletnenls. Subsequently no Individual item has
cost more than £1,000 so 811 such expendllure has been written off when incurred. Depreclalion is provided
al thè following annual rates calculal8d lo write off assets over Ihelr 8Stimated useful lives..
Equipment
10.10 on cost
Computer equlpment - 33.33°/o on cost
Investmgnt As$8ts
These are staled as mSd.markel values on the balance sh88t dale. Changes In valuauon over the year are
recognised in thè Slalemenl of Financial Aclivilie8.
10

Penslon Fund
St Jam8s' Church participates In the Pension Buikler Scheme secllon of CWPF for lay staff. CWPF is
admlnislered by the Church Df England Penslons Board, whltth holds the CWPF assets separately from
those of the Employer and other participating employers.
CWPF has two 58etlons'.
1. the Deflned Benelifg Scheme
2. the Ponson B6nelils Scherll&, whlch has two subsections.,
21 a deferred annuity secllon knowTr as Pension Builder Classlc. and,
bl a cash balance section known as Penslon Builder 2014.
Penslon BuSlder Scham•
Both section5 DI the Pension Builder Scheme ar8 classed as defined benefit schernès.
Penslon Bullder Cla5slc provides a pgnslDn, accumulat8d from conlributlons pald and converted into a
deferred annu1ty d￿ring employment based on terms sel and revlewed by the Church of England Pensions
Board Irom IiTlle to Ilme. Discretionary Increases may also be added, dependlng on investmènt relurns and
other faclors.
Penslon Builder 2014 is a Gash balance scherTl8 that provides a lump sum which members use lo provide
benefi15 al relirernenl. Pension conlributlons are rpcorded in an account lor each member. Dis¢relionary
bonuses may be added b8fore retlTemont, depending on1nveslment rElurns and othèr factors. The account,
plus any bonus85 declared is payable, unreduced, from age 65.
There is no sub-division of assets beiwegn 8mployers in each seclSon of the Pgnsion Builder Schem8.
The scheme is consldered lo b8 a multS-employer scheme as desoribgd in SeGllon 28 of FRS 102. Thls is
because11 Is not posslble to allributo the Pènsion B￿l￿er Scheme's assets and liabllllles to sp8cifi
employers 2nd means that cootributlons are accounted for as if Ihe Scheme were a defined contribution
scheme. Th8 pènsions costs charged to the SOFA In the year are the contributions payable In 2025.. £4.358
12D24.' £4.5721.
A valuation of the Pension Bulkler Scheme Is c8rrl$d out once ev8ry thr8è years. The mosl re￿nI valualion
wa5 carried out 8S at 31st December 2022.
For the P8nsion Builder Classic section, th8 2022 v8luaUon rgvealed that all three sections of CWPF are now
in surplu.% an thè ongoing assutnptlons used. Al the tll05t reuenl annual r8view effective 1st January 2026,
the BoBrd chose lo granl a dlscrelionary bonus of 10 % lo the pensions not yèl In payment and pellsh)ns In
paym8nt in respect ol s&tvice prknr lo April 19g7., and a bonus ors penslons in payment in respect ol po8tApril
2006 8ervic6 so Ihal the ponsion Inuease wa8 5¢A IwherE usually it would be calculated based on inflation
up to 2.5°1,l. Thls follDwed impTovemenis in the fvndill9 P051tion over 2025. There is no requli8m8nt for
d81icit payments al Ihe current lime.
For the Pgn8ion Builder 2014 sectlon, the valuation revealEd a surplus of £5.5m on the ongolng assumplior¢s
uséd. The Board gTanled a dis¢relion8ry bonus, lo be applled from 1 April 2025,
The legal slruclure ol the schem8 Is such Ihal rf another employer falls, St James, Church could become
18sponsible for paying a share of th8 failed empknyer's p8nslon liabilities.

JAMES CHURCH HEMINGFORD GREY
NOTES TO THE ACCOUNTS
OR THE YEAR ENDED 31ST DECEMBER 2025
INCOMING RESO
CES
Unrestricted
Restricted
Funds
2025
2024
Funds
Total
Total
Voluntary income
Planned giving..
Donations (Gift Aid & non~Gift Aid)
Gift Aid recoverable
Collections open plate
Donatioris, appeals and grants
Legacies
137,261
31.700
1,695
13,516
137,261
31,772
1,695
13,900
10,000
146,989
35,153
1,708
24,073
72
385
10,000
184,171
10.467
194,628
207.923
2b Actlvities for generating funds
Children & youth groups
Photocopying income
Lettings income - Parish Centre
Book sales income
1.201
638
1,201
638
4,254
1,061
3,420
1,270
115
1,270
115
3,224
3,224
8,735
2c
Investment income
Interest re￿iVed
CBF dividend
1,444
1,875
5.700
201
331
1,645
2,206
5,700
1,735
2,024
6.000
Rental income
9,019
532
9,551
9,759
2d
Income from chureh activities
Wedding and funeral fee income
Other incoming resources
1,839
8,135
1,839
8.135
4.679
5,425
9,974
9,974
10,104
Total Incoming resources
206,388
10,989
217,377
236,521

GF
ED3
20
RESOURCES EXPENDED
str
strl
3a
Church actlvities
Mlssion and chartlable glv1ng
Weddlng & funeral costs
Organist
Vicarts and curate's expenses
Activity f888
Salary and social security costs
Penslon cos(s
Insurance
Properly Btssts
Ulilily cost8
Training oourse coslts
c￿2Th1ng ¢051s
Repairs and fflaintenan¢e cos18
Telephone and eompltsler costs
Printlng and sts￿onery costs
Sundrlès costs
Legal and professlonal fees
Coffe8 hub
Depreciation
33,715
375
50
257
33,972
375
so
1.471
7,268
63,091
4,358
4,744
1.315
7,341
281
3.10B
5,241
2,515
1,638
6,314
10,898
6.768
2,859
1fj3,6Q7
4Q,471
2,105
50
1,471
7,268
63,091
4,358
4,744
1,315
7,341
281
473
10,201
63.207
4,572
5,142
1,025
9,312
514
2,829
7,391
2,644
3,925
6,881
690
3.108
5.219
2,515
1,638
6,310
1,190
6,768
672
22
9708
3,5S5
2872
2187
151,429
12,178
167.899
3b Governance costs
Ely Dlocese
Accounlancy
7,029
650
67,029
650
64,137
650
67.679
67,679
64.787
Total resoufcES expènded
219,108
12,178
231,286
232,686
4 STAFF COSTS
63,091
63,091
63.207
13

MES,
EY
ESTO
EYE
DEC
025
FIXED ASSETS
ol
Cost
As al January 2025
753,165
26,307
16,91D
796,382
AddIt￿r¢S
229
899
1,128
Disposals
As al 31JL December 2025
753,165
26.536
17,8
797,510
DepreCIa￿an
As al January 2025
18,215
16,206
34,421
Charge lor the year
2.380
479
2,859
Eliminatlon on disposals
As al 315t December 2025
20,595
16,685
37,280
Nel Book Value
As al 3151 December 2025
753,165
5,941
1,124
760,230
As al 31 DecembeT 2024
753.165
8,092
704
761,961
The freehold property compriso the Parish Centre at 33 High Street, 19 Sl Ives Road and 33
Wren Close, Hemingford Grey
Although th8 properties arg 8howft on the balance sheet the deeds are h81d by The Ely Diocesan
Board of Flnance
14

SHORT TERM INVESTMENT
2025
2024
Mark6t Value blfwd as al 1st January
Invested dliring the year
GaSnllLossl on investment
79,397
77,621
13,1741
1.776
Market valus clfwd as al 31st December
76,223
79.397
15

ST JAM
INGF
TS
OR THE
DECE
DEBTORS
2025
2024
Re¢ov8rable Glrt Aid
Olhar debtors
Prepaym8nls
2,148
2,241
3,070
2,647
327
1,671
7,459
4,645
LIABILITIES
2025
2024
Accruals + dgferred paytll8llts
PAYE Credllor
Pènsion Creditor
2,610
1,526
611
5.728
1.784
337
othor Creditors
2,400
2,530
7,147
10,379
FUNDS
2025
2024
Unre5trict¢d
Devolopment
G8neral
2,903
847,556
2,903
862,974
850,459
865,877
Restrlctod
Bells
2,203
17,715
5,339
1,702
1.952
17.859
7,526
Don Brown Legacy
Garden RoL¥m
Heating system
Restricted Donations
1,487
26,959
28,624
16