THE PARISH OF
ST MAThHEW WITH ST PAUL, WINCHESTER
Charlty Reglstratlon number." 1133040
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 OECEMBER 2023

ST MAThHEW WITH ST PAUL WINCHESTER
REGISTERED CHARITY In England and Wales no. 1133040
ANNUAL REPORT OF THE PAROCHIAL CHURCH COUNaL
FOR THE YEAR ENDED 31 DECEMBER 2023
Admlnlstratlve Informatlon
The Ecclesiastical Parish of St Matthew, Winchester, is part of the Diocese of Winchester
within the Church of En8land. It comprises the churche5 of St Matthew, Stockbridge Road,
and St Paul. St Paul's Hill. Wlnchester. The working name of the parish is St Matthew with St
Paul, Winchester.
The Corresponden￿ address Is: Parfsh Offlce. St Paul's Church, St Paul's Hill, Wlnchester
S022 SAB. The website is: vmw.
aul.or
The Parochial Church Council IPCCI was registered as a charity in Enpjand and Wales on
l December 2W9 under registration number 1133040.
PCC members who have served at any time from l January 2023 until the date thls report
was approved are:
Incumbent land PCC Choir)..
Associote Prlest..
Curate..
Revd Dr Jonathan Rowe
Revd Canon Professor Liz Stuart
Revd Rhiannon Wilrnott {from 9 July 2023)
Churchwardens St M¢?tthe￿S.'
DAike Russell-smlth
Oick Wilklnson luntll 22 May 20231
Anne Odling {from 22 May 2023}
Churchwardens. St Pauys..
B511 Lucas {Vlc&Chairl
Christopher Seaman
Representatlve5 on the
Deonery Synod..
Vicky Scott
Sandra Lèwis (from 22 May 2023)
Elected membets of the PCC."
Stephen Adam
Helen Chambers (until 22 May 20231
Kathleen Freeman
Alexa Heady
Talia Hedstrom
Kelth Jones
Sandra Lewis (until 22 May 2023)
Ltnda Russell-5mith
Nathalie Sthulz {PCC Secretary, until 22 May 2023)
Dick Wilkinson (from 22 May 20231
Attends meetings..
rim Stannard (a)air of Finance Committee and PCC
Treasurer)
Charlotte Darter {Secretsryl

Independent examiners..
Knlght Goodhead Limited, 7 Bournemouth Road,
Chandlerfs Ford, Hampshire, S053 3DA
Structurep governance and management
The governing documents are the Parochial Church Councils (Powers) Measure 1956 a5
amended and the Church Representation Rules (contained in Schedule 3 to the Synodical
Government Measure 1969 as amended).
Members of the PCC are elected by the Annual Parochial Church Meetings {APCMs} in
accordance with the Church Representation Rules or are COwOPted by the PCC. Members of
the congregations and those who attend our servi￿$ are encouraged to reglster on the
electoral roll and stand for election to the PCC. In 2023 the electoral roll was revised and listed
244 people. of whom 104 were resident in the parish and 140 non-resident.
The membershlp of the PCC in 2023 consisted of the incumbent. the assoclate priest, the
curate. the churchwardens, the Deanery Synod representatives and the elected members.
The incumbent and the curate are remunerated by the Diocese. to whom the church
contributes its agreed share of the Common Mission Fund. The Associate Prlest Is a Self-
Supportin8 Minister. The Treasurer and the Secretsry attend meetings as non-votlng
members. The PCC met Six times during 2023. Meetings were chalred by the Vlce-chair.
The PCC has a number of committee5. the organisation of which was reviewed durlng the
year. The minutes of each are included with the PCC a8enda5 and discussed as necessary. The
current committees with delegated powers are: Building for Lrfe Committee; Finan
Committee: People Committee; Safeguarding Committee and the Beyond Ourselves
Committee. In addition, a number of groups coordinate aspects of the work of the parish;
these also report to the PCC.
The PCC has complled wfth our duty under sertion S of the Safeguardingand Clergy Disclpllne
Measure 2016 to have due regard to House of Bishops. guidance on safe8uardin8 children
and vulnerable adults.
Objectlves, alms and purpo
The PCC of St Matthew with St Paul. Winchester. promotes the whole mission of both
churches in the parish and is responsible for the maintenance of the buildings. It also looks
after the Parish Hall and Parish Rooms adjacent to St Paul's Church.
St Matthew's and St Paul's churches are indusive. welcomin8 and vibrant with
congregations which span the whole age-range. Our mlssion is encapsulated in the strapline,
'Pilgrims on a journev: as we travel, we catch glimpses of heaven. share abundant lrfe and
take Steps of faith.
The PCC has had regard to the Charity Commission's Public Benefrt guidance, where
relevant, when determlnlng and overseelng the thurcheg activities.

Artlvttles and Achlevements
During 2023 our actlvltles Included the followln8:
Worshlp. Sunday and weekday sÈrvlce5 at St Matthew's (ln the BCP tradltlon) and St
Paul's. In additlon. the major festlvals. baptlsms and marrlages were celebrated; and
clergy officlated at funerals, both in thurch and other locations.
Prayer and growln8 In falth. Groups for Bible study, dlscusslon, and Chrlstlan
meditation continued. Advent and Lent courses were offered.
Chlldren, Youth & Famllies. Our vlslon for chlldren and youth is that St Paul's 15
splrltual home. an Intergeneratlonal comrnun￿, and where curlosity Is encouraged.
We offered Sunday Groups, a monthly Youth Group wlth a meal, and a Toddler
Group. The church continues to host the St Paul's Pre-school. Durfng 2023. the parlsh
appolnted a new Children, Youth and Families Leader. There was more involvement
with Western School: 3 members of the parfsh are Foundation Governors.
En8a8ement wlth the local communlty. Over 1,2CK) attended the Community Day at
St Paul's In May 2023. At Advent we hosted a communlty Advent calendar, In church
and onllne. Many people from the area vislt the churches, which are usually open
throughout the week (St Matthew's was obll8ed to close for a period due to
vandallsm towards the end of 2023).
Beyond Ourselves. We focussed our Invofvement upon 8 charltles, 8lvln8 upwards of
£12,LX)O. Includlng Chrlstmas collectlons. We contlnued enga8lng wlth Green Issues:
among the Initlatlves was the prov151on of cycle racks at St Paul's.
Concerts and events. St Paul's Is a venue of cholce for a growlng number of classlcal
concert performances. We contlnue to seek ways of u51ng the renovated bulldln8.
Communications. As part of a strateglc refocusln8 of our engagement wlth both
church members and the wider communtty. the parlsh appolnted a Communlcatlons
Officer wlth expertlse In dlgital communlcatlons.
PCC. Durin8 the year. the PCC started each meetlng with lectio divino. and foCu￿ed
dlscusslons upon strateglc Issues. It clarrfied responsiblllties, Indudlng delegated
powers, and it established Several new committees, including a Safeguarding
Commlttee.
Flnanclal revlew
The thurches. Income (before investment Income and investment valuatlon movements) and
expendlture relatln8 to its on80in8 activities broadly matched each other in 2023. Income was
hlgher than In 2022 due to hl8her. legacy receipts, fundralsing Income. Community Oav
Income and facllltles hlre. although re8ular glvlng was at approximately the same level.
Expenditure was lower than In 2022 due to a lower requested dlocesan Common Mlsslon
Fund contributlon, gaps between staff employment and lower energy costs. Some of the
churches, expenditure was borne, a5 appropriate. by the restritted Chlldren's Work and
Friends funds. As a result the General Fund recorded a surplus for the year of approxlmately
£3,000 12022: deficlt of £22,OCKII before taking account of movements in investment
valuations.

The overall resultwas betterthan budgeted and. despite anticipated headwinds, the churches
alm to malntain a sustainable financial position in which their income fully covers thelr day-
to4ay expenditure.
The churches, General Fund reserves and total reser4es (including the Scott Bequest) were
approximately £119.0(N) and £623.0(K> respectively at the end of the year. a Ilttle higher than
last year mainly due to the increase in value of long-term stock market related investments.
particularly in the Scott Bequest fund. durin8 the year. The General Fund reserves at the year
end were equlvalentto approximatelyfive rnOnth￿ expendlture whereasthe churches, policy
Is that they should In prlnclple be a minimum of the equlvalent of slx months, expendlture.
The churches aim to restore the General Fund reserves to that level as soon as is reasonably
possible.
Investment pollcy and objectlves
The churches continued to hold a mixture of pooled investment funds and bank deposits,
principally to invest the remainin8 Scott Bequest fund, with a view to maintaining the real
value of its reserves over the medium to long temi ali8ned with the churches, evolving
objectives and plans but wtth a prudent degree of risk. The churches. pollcy Is to Invest in
accordance with appropriate ethical criteria and in doin8 so has regard to the guidance in the
Church of England's Statement of Ethical Policy issued by the Church of England Ethical
Investment Advisory Group.
Rlsks
The churches continued to monitor its financial. operational, reputational, regulatory, and
safeguarding rlsks. We regularly assessed the financlal risks as alluded to In the financial
summaryabove. We belleve these risks were mana8ed prudently and appropriately.
Plans for future perioth
We plan to continue pursuingthe Churche￿ mission based on thetheme 'Pilgrims on a
journew in our servlces. pastoral work and other activities. This is planned to include further
development of our children's and youth work and further enhanced utllisation of the
refurbished St Paul's church for community engagement. music and arts and other events.
We will continue to review the best future use of the overall St Paul's slte. includln8 the
Parish Rooms.

Statement of responslbllltles of the trustees
The trustees are responsible for preparlng the Annual Report and the flnanclal statements in
accordance with appllcable law and the United Klngdom Generally Accepted Accountlng
Practice {UK GAAPI.
The Charltles Act requires the Trustees to prepare financial ststements for each financial year
whlch glve a true and fair view of the state of affairs of the charity at the end of the year and
of the surplus or deflclency for the year then ended.
In preparlng those financial Statements, the Trustèes are required to:
select sultable accountlng policles and then apply them conslstently
make Judgements and estlmates that are reasonable and prudent
observe the methods and prlnclples Sn the charltles SORP
state whether appllcable accountlng standards have been followed, subject to any
materlal departures disclosed and explained In the flnanclal ststements: and
prepare the ftnanclal statement5 on the golng concern basls unless It Is Inapproprlate
to presume that the charlty will contlnue In operatlon
The Trustees are responslble for keepln8 proper accountlng records whlch dlsclose wlth
reasonable accuracy at any tlme the financial posltion of the charlty and to enable them to
ensure that the flnanclal statements comply wlth the Charltles Act 2011. The Trustee5 are also
responslble for safeguardlng the asset5 of the charlty and hence for takln8 reasonable steps
for the preventlon and detertlon of fraud and other Irregularltles.
Approved by the trustees and $18ned on their behalf by
Tn8te•
ZQ Ai-1204

INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF sr MATfHEW sr PAU4 WINCHEsfER
I report to the trustees on my examlnallon of the accounts of St Matthew wlth St Paul. Wlnchester. forthe
year ended 31 December 2023, whlth are set out on pages 7 to 20.
RESPONSIBILMES AND BASIS OF REPORT
A5 the trustees of the Charlty you are responslble for the preparatlon of the accounts In accordance wlth
the requlrements ofthe Charttles Art 2011.
I report In respect of my examlnayon of the Trustee's accounts carrled out under settion 145 of the 2011
Act and In carrySn8 my examlnation I have followed all the appllcable dlrertSons glven by the Charlty
Comm1551on under 5ectlon 14515llbl of the 2011 ACL
INDEPENDENT EXAMINER'S STATEMENr
Slnce the charlty'5 8ross Income exceeded £250.(MK) your ¢xJmlner must be a member of a body Ilsted In
sertlon 145 of the 2011 Art. I confimi th* i •m qualrfled to undertake the examlnatlon because l am
member of the Instltute of Chèrtered Act￿ntants In England and Wales. ¥thlch1s one of the Ilsted bodles.
I have completed my examlnatlon. I confirm that no materlal matters have come to my attentlon In
connertlon the txamlnatlon 8lvln8 me taust to belleve that In ary materlal respert:
11 accountln8 records were not kept In re5pett of the Ch•rny •s requlred by sertlon 130 of the Act.. or
21 the accounts do not accryd wlth those records: or
31 the accounts do nrt comply wjth the applloble requlrements concern1r￿ the forn) ènd content of
accounts set out In the Char￿18$ (Accounts ar*d Reports) Re4ulatl¢)ns 2(N)8 other than any
requlrement that the accounts gfve a *rue and falr vlw whlth Is not a matter consldered as part of
an Independent eXamIna￿On.
I have no concerns and have come across no other matters In connethon with the examlnatlon to whlch
atterrtlon should be drawn In thls report In order to enable a proper understsndln8 of the accounts to be
reKhed.
•4f 4 3Q2+
C J Goodhead FCA
Knight Goodhead Limlted
Chartered Accountants
7 Bournernouth Road
Chandler's Ford. EastEel8h
Hampshire S053 3DA

THE PAR15H OF ST MATTHEW wiTh sr PAUL WINCHESTER
STATEMENT OF FINAMaAL ACTWMES FOR THE YEAR ENDED 31 DECEMBER 2023
Totsl
2022
lynds
hJnd5
Not*5
INCOME
Donations* grants and legacies
Income from charftable actryltSes
Intomefrom other tradlng xtlvStles
Investment Income
191.744
33.226
39,267
117
6,452
820
198,313
34,046
39.267
15,235
199,992
20,447
34,560
9,216
11.545
Totsl Incom•
267.927
IL662
7272
216,861
264215
EXPENOITURE
Expendlture on ¢h•rltable ictlv(tles
265,215
19,782
15.618
300,615
303,239
Totsl •xp•ndlturn
265215
19.782
15.611
Jrxi.615
303239
NET INCOME I (EXPENDITURE)
8EFOA£TAA14SFERS
2.712
18.1201
18,3461
113.7541
139,0241
TAANSFEAS BETWEEN FUNDS
li
NEf INCOME I IEXPEP4DrruRII
BEFORE OThER 6￿￿$/ ILOSStsI
i&uoi
18J461
113,7541
139.0241
rJAINS I IL05SESI ON INVESTMV4T A55EWS
4,175
23.571
27.746
141,9151
NEf MOVEMENT IN FUI•)S
Asi
13.992
Ilk).939}
FUND 8ALANCES AT I JANVARY 2023
111.797
479,587
17,988
609,372
690,311
FUND BALANCES AT31 DECEMBER Z023 11
I￿.684
495.038
9,642 623,364
609.372

THE PARISH OF ST MAThHEW WITH ST PAU4 WIN(IIESTER
Charlty nwnber. 1133010
BALANCE SHEEfAS AT 31 DECEMBER 2023
2022
Notes
FIXED ASSErs
Tan8ible assets
8.743
19.683
CURRENT ASSEts
Debtors
Investments
Cash at bank and in hand
13,9J6
283.Tr33
338.312
635.311
22.251
254.023
327,796
604,070
CREDrroRS: amounts fallln8
due wfthin ontyear
io
120,6901
114,3811
CURREPff ASS￿5
614,621
589.689
609Jn
FUNDS
li-
Unrestricted..
De5iBnated
Other unrnstricttd
495.038
118.684
479.587
111,797
613.722
591,384
Restrfcted
17.988
TOTAL FUNDS
609372
5iBned on behall of the PCC trr.
LLL
Trustee
Date..

THE PARISH OF ST MATfHEW wmi ST PAUI WINCHESTER
NOTES TO THÉ ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2023
I ACCOUNTING POUCIES
lal 8asls of accountlng
The flnanclal statements habE txen prepared In 8cc(Kdance wlth appllcable accountln8 standarts. the Cha￿tIeS Art
2011 and the Statement ol Recommended Prathce applIca￿e to th•rfjil*s [￿￿rIn& their accounts In accordance
with FAS 102 leffective January 20191.
The accounts hjve been prepared on the golni Contem basis. There Jre no rnaterial uncertalntles about the
charty's abllty to contlnue. The charltyls a pvblk benefft oryanlsatlon.
Ibl Fund Jccountl
General fvnd5 reprwnt the fund5 of the PCC that are not sublert to •ny re5trktbns Is to thdr use •nd •re avallabJ*
for appllcalSon on the i*ner•l purposes of the PCC Fvnd5 d￿￿nated for a plrtlcular pury>ose by th• PCC are also
unrestrlcted.
Re51rlcted lund5 Jre those fynds th•t must be spent on restrlcted purposes and the detalh of the funds held and
restrlctlons are provlded In notes 11-12.
Icl Income
The finan¢l•l st•ternents In¢lude •ll tr•h￿¢t10n$. •55ets and liJbilltles for whlth the PCC Is re5ponslble In l•w.
Don•tlNs •nd
Collectloni are reco8nlsed when Tecdved byor on behalf of th• PCC
Planned 81￿n8 recelvable under pled6e Is recognlsed On￿ vhben rffdved.
lTrcome tax recovèrable on itft ald donatlons Is reC￿nIsed when the Income Is rec￿nIsed.
fjrants and le8acles to the PCC ore •ccounted for a5 soon as the PCC Is notlfled of tts legal entltlement.
Where grants condltk)nil on future events they ore recwilsed •s defured Il•bllltles untll thè ¢ond115on can be
fulfilled.
Inuxn• from th•rliabl• •ciMI
Income Is accounted for when roCefva￿e.
Inc•fft• frorn oth•rtr•dk¥ xlMtI•s
Funds ralsed from church events are accounted lor Wh￿ rKel¥able.
IN¥*rtment In¢ome
06vldends are accounted for then rece￿ble ¥nd depostt Intertst Is •¢¢ounted for kn the pwlod to whlch It rdites.
Grants and donation5 jre acwunted for when declded on.

THE PARISH OF ST MAThHEW WITH 5T PAUL WINCHESTER
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2023
I ACCOUNTING POUCIES Icontlnuedl
lel fixed assets
Both the consecrated Church buildings at St Matthew'5 and St Paul's are exduded from accountatility by the PCC
Consecrated property is excluded from the financi81 statements by s.1012llal and It) of the Charities Act 2011. AII
expendlture Incurred durfng the year on consecrated bulldlng5 Is written off as empendtture In the SOFA and
separately dlsclosed.
Movable church furnishings held by the Church Wordens on special trtJ5t forthe PCC and whlch requlre a facU￿for
dlsposal are re8arded as inallenable property.
Expenditure on movable church ftbrnishings and other functional equipment Is capltallsed where tlte cost exceeds
Depreclatlon Is on a stralght Ilne basls over the followlng periods..
Church or8an- 5 years
Flxtures and IlttinB5- 3 years
IT equlpment. 3 years
lfj Investments
Investments are valued at market value at 31 December. Realised 8aln5 and105ses ore reco8nlsed when Investmeftts
are sold. Unreallsed galns and losses are a¢¢ounted for on the Tevaluatlon of Investments annually at 31 Oecember.
181 PeTh540ns
The PCC partlclpates In the Penslon Bullder 2014 subsettion tsf the Penslon 8ullder Scherne sectlon of the Church
Workers Penslon Fund for three currently and one previously employed lay staff. The scheme is administered by the
Church of England Penslons Board. whlth holds the assets of the scheme separately from those of the Employer and
the other participating ernployers.
The Church Workers Penslon Fund has two sectitsns,. the Defined Benefits Scheme and the Pension Builder Scheme.
which has two 5ubsertions'. a deferred annuity section known as Pension Builder aassic and a cash balance settion
known as P?nslon Bullder 2014.
nslon Bulldersthemt
Both sectiOll5 of the Penslon Bullder Scherne are classed as deflned benefit s¢hemes.
Pen51on 8ullder Classlc provlde5 a pen51on. accumulated from contributions paid and converted into a dtferred
aThnuity during employment based on terms set and revlewed by the Church of England PeTrslons Board from time to
time. Discretionary increases may a150 be added, dependin8 oft inve5trnent returns and otherfactors.
Penslon Bullder 2014 Is a cash balante scheme that provlde5 a lump sum that members use to provlde beneffts at
retlrement. Pension contributions are recorded In an acco¢Jnt for each member. Discretlonary bonuses may be
added before reurement, dependlng on In¥estrnent retums and other fattots. The account. plus any bonuses
declared. Is payable, unreduced, from age 65.
There Is no sub-d1￿S1On of assets between employers In eath settlon of the Penslon 8ullderScheme.
10

THE PARISH OF ST MATTHEW WITH ST PAUI WINCHESTER
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 DECEM8ER 2023
I ACCOUNTING POLICIES Itontlnuedl
Igl Penslons Icontlnuedl
The stheme Is consldered to be a multi*rnployer scheme as descrtbed In 5tttlon 28 of FRS 102. Thls Is because it IS
not possible to attribute the Penslon Bullder kheme's assets and liabiltties to specific employers and mean5 that
ontributions are actounttd for as If the Scheme were a defined contribution schem•. Th? pensions Costs tharged In
the SOFA In the year are the contributlons payable of £S,30112022: £2,242).
A valuation of the Penslon Bullder Scheme is carried out once everythree years. The most recent valuation was
carrled out as at 31 December 2019. The next valuation is due as at 31 Oecember 2022. Calculatlons are underway
but the valuation has not yet been recelved.
For the Pension Bullder 2014 section, the valuation revealed a 5urplu5 of £5.5m on the on8oln8 assumptlons used.
There ts no requlrement for deftclt payments at the current tSme.
The legal structure of the scheme15 such that if another employer fails, The Parlsh of St Matthew wf(h St Paul,
Winchester could become responslble for payin8 a share of that employerfs pension liabilities.
2 ADMINISTRATIVE INFORMATION
The charSty Is a 5tstutory corporatlon under PCC Iwwers) measure 1956 and was re8lstered on l December2009
The reglstered offlte of the tharlty Is The Partsh Offlce, St Paul's Church, St Paul's HS11, Wlnchester, S022 SAB.

THE PARISH OF ST MAThHEW WITH ST PAU4 WINCHESTER
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2023
3 INCOME
Unr•strlcted Restrktsd
fvnds
funds
Totsl
2023
Totsl
Donatlons* y¥Trts and le￿￿eS
ReBular 8lvln8
Collectlons
Envelopes
Donations
Le8acies
Gift ald
Grant Income
132,670
4,805
132,670
4,805
148
19,286
7,117
32,113
2,174
198,313
132,227
5316
15.286
7,117
31,113
722
191061
4,000
26,720
32,786
2,943
199,992
1,452
6N52
Income from tharltsbl• aclmlles
Parochial fees
Parish & Farnily Actlvitles Intome
Communty & Fundraising Event incorne
Miscellaneous Sale5 income
Ma8a2ine subs
Hire St Pauls Preschool
St Paul'sflowers Income
TOGS Income
Friends Subscriptlon Intomt
Friend5 Event Income
7,678
6.740
7,106
7,678
6,740
7,106
so
895
10,192
422
143
B20
6,532
2,804
895
10,192
422
143
676
9,091
75
252
975
820
820
20A47
Income from other ￿dID8 aLthiltle5
agazine adverts
Facllltie5 Hlre
Hlre Florlan Dance School
Parklng
886
24,022
2.710
11.649
39267
1,068
17,204
4,508
11,780
34,$60
24,022
2,710
11,649
39,267
In¥e5trnent kncome
Intere51
Dfvldends
7,725
7,510
15.235
7,725
7,510
15,Z35
S33
8,683
9216
TOTAL INCOME
279.589
7.27Z
286.861
264,215
12

THE PARISH OF ST MATTHEW wiTh sr PAUL WINCHEsfER
NOTES TO THE Accourirs FOR THE YEAR ENDED 31 DECEMBER 2023
4 EXPENDITURE
U*r•rtrid•d R•strkt•d
fvnd%
hds
T￿al
Total
20U
CHARITABLE ACTivmES
Expendlture on ¢h•rltabl• actMtI•s
Diocesan Cornmon M1$51on fund
Parochlal Fees- Diocesan Share
Parlsh & Famlly Art5vltles tXpend￿Ur•
Communlty Day exptndlture
Prfntln& postaie and 5tatlonery
Computer runnlng expen
Insurance
Admln salartes
Worklni costs
Malnten¥n¢e Ind relurblshment
ae•nln8 and 8ardenln
Utllttles
Mu51¢
Prof*sslon•l fees
Youth & Chlldren's work expendlture
Mlsslon gl￿nI
Other glv5nB (Allry Be4uestl
St Matthew5 FlowefS expendlture
St Pauls Flowers •xp•ndltur•
H95Pltallty expendlture
Bulldlng for Llfe ￿pendItUre
Bank charges
Oepretlatjon
136,449
2,974
3,954
3,178
136,449
2,974
3,954
3,178
4,842
143,596
2.325
2,953
6,125
2,182
5,517
36,214
12.S76
14.589
2,983
5.854
5,854
38.384
6,716
21,231
9.299
15.796
5,499
1,950
6.236
9.580
6,7
14.779
9,299
15.796
5.499
1,950
16
6,452
18,311
4,577
2.250
14.931
6,6C
6,130
704
1,059
12731
1.3LTr)
1.3C
19.682
19.682
19,680
15.611
3NI.615
303,239
Tot•1 •xp•ndltur•
214.997
15.611
3(Kl,615
303,239
Profe551tsnal fees Include Ind*wdent ex•mlA•tlon fees of £1,95012022: £2,2SOI.
13

THE PARISH OF ST MAThHEW wmi ST PAUI WINCHESTER
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2023
5 Grants and donations of over £1,0￿] madeto Instltutlons and other charltles durln8 the year were a5 follows..
2023
2022
USPG
CMS
8arfiabas Fund
Tear Fund
8oaz Harnp5hlre
Spurgeons
Feed the Mlnds
Southampton and Wlnchester Vlsltors Group
other donatlons
1,8CKI
3,180
I,oco
1,000
1,000
1,000
599
9,579
4,600
6,600
Arnount5 collected on beh￿￿01 other charftles th15 year were a5 follow5:
St Martln In the Flelds Appeal
Trfnlty Centre
Chlldren'5 Soclety
Dementla UK
Southampttsn and Wln¢hester Vlslttsrs Group
Other
496
1,503
251
270
115
1,207
1,243
4,449
636
6 EMPLOYED STAFF Cosrs AND NUM8ERS
ID
2022
Salar1￿ and wages
Employer's Penslon costs
40,549
5,301
45,850
50,997
2,242
53,239
Th• average number of full tlm• and part tlme employees dur5n8 the year was $12022.. 61
No trustees rec•￿ed r•mun•ratlon durln8 the ye•r12022.. £nlll
£3,01312022.' £2,605) expenses were relmbursed to flve12022.. 51 trustees di4dn8 the ye•r.
No employee recelved remuneratlon of more than £60,000 duTln8 the current or prloryear.
Durln8 the year penslon conirlbutlons of £5,30112022'. £2.2421 were payabl•, and at the year end the amount
ovtstandlng was £62712022.. £1761.
Durlng the year no remuneT8tlon wa5 pald by thls charfty to key man¥8ement personnel 12022: Enlll. The kev
management te?m 1$ taken as belng the Parlsh Church Councsl. The Rector formalty chalrs the Parlsh Chureh Councll
but he recelves a stlpend from the Dloce5e not from the charity. Bill Lucas, vlce<halr and church warden, chalred the
meellngs of the councll durlng the year. He dld not recelve any remuneratlon.
14

THE PARISH OF ST MATfHEW WITH ST PAUI WINCHESTER
NOTES TO THE ACCOUNTS FOR THE YEAR ENDEO 31 DECEMBER 21)23
7 TANGIBLE ASS￿5
Church
organ
Flxtures and
Httln
IT
Equlpment
T•ial
COST
At be8innin8 of year
Addkions
At end of year
14,990
43.071
8,743
51,814
6,980
65.041
8,743
73,784
14,990
6,980
DEPRECIATION
At be8lnnln8 of year
Charge
At end of year
11,992
2,998
14.990
28,713
14,358
43,071
4,653
2,327
6,980
45.358
19,683
65,041
BOOK VALUE
At end of year
At beglnnlng of year
8,743
14,358
8,743
19,683
2,998
2,327
8 DEBTORS
Other debtors
Prepayments and accwed Income
9,91))
4,006
13,906
8,494
13,757
22,251
9 INVESTMENTS
Market value of Investments at l January 2023
Dfvidends reinvested
Gain on revaluation of investment assets
Market value of invèstments at ai Detember 2023
254.023
1,324
27,746
283,093
10 CREDITORS.. amounts fallln8 due wlthln one year
2023
2022
Trade credr(ors
TaxatSon and soclal seturtty
ency collectlons
Accruals
Deferred Income
7,799
783
1.762
6,046
4,300
20,590
1.762
124
9,069
3,426
14,381
15

THE PARISH OF ST MATTHEW WITH ST PAUL, WINCHESTER
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2023
11 MOVEMENTIN FUND5
Fund rnovements lorthe y•ar •ndod 31 O•c•mb•r 2023
Balanc• At
l January
2023
In¢•m•
Transf•
•l•n¢e •t
between 310ecember
fvnds
2023
G•lns Expendlture
R•strlcted
Chlldren'5 Work
Frlends of St Matthew wlth St Paul
St Matthew's
Blke racks
Llghtlng proltct
11,099
16,1461
13.0201
4,953
4,289
820
903
5,549
7,271
19031
15,5491
15.6181
17.98#
9,641
Dwkn•i•d fvndi
Capltal Fund
Bulldln8 for Llfe
Scott Bequest
19,683
2,623
457,281
479.$17
119,6831
1991
8,743
,743
2,567
483,728
495m8
43
35,190
35.133
18,7431
119,7821
Unr•rtrkt•d fundi
111,797
272,102
265215
118.684
Totsl fvnth
609.372
314.607
1300,6151
623.364
16

THE PARISH OF ST ￿Tr￿Ew wrrH sr PAUL WINCHEsfER
NOTES TO THE ACCOU14TS FOR ThE YEAR ENDED 31 DECEMBER 2023
11 MOVEMENT IN FUNDS Itontinuedl
lyTrds
Re5¢rfrted fvnd5
Children's Work
Riley 8eque5t
Friends of St Matthew wrth St Paul
St Matthew'5
11.099
11,099
5,475
1,014
17.974
17.988
Deslinated fvnds
Capltal Fund
Bulldln8 for Llfe
Scotr Bequest
39,363
1,185
486,510
527058
119,6801
273
135,5961
155.t•)31
19.683
2.623
457,281
479A87
1,165
6,367
Urwe#rkted fvnds
145279 155.669
I289.￿1)
11¥797
Totsl fvnds
6gXIJII W15 1345,154)
6093n
17

THE PARISH OF ST MATfHEW WITH sr PAU4 WINCHEsfER
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2023
12 FUNDS
The r￿trIcted and designated funds are established thefdlown8 purpw.
Oulldlnitor Ufe
A restricted and a designated fund consisted of donations and 8fants wven for the redevdowent of the St Pau
s￿e uader an on80in8 appeal launched in 2017, with construttion Starting in 2019 and 5ubstantialty cofflpleted in
2020. The resrritted fund has now been closed and a srnall balance remains in the design3ted fund.
Chlldren's Work
Establlshttl through a grft from a parishioner and ernnts from the Ivheeler Jones Trust to support the Parlsh's
workwlth children.
Frfends olst Matthew wlth St P•ul
The Fdends ralse funds In supwt of the thurch buil(fings through fundral4ng events. The Frlends. alms are to
preserve and enhance bulldings for future 8enerations, to encovrage the use of the bulldin8s by the local
community and to run interesting and diversesocial ￿eThts annualtyto raisefunds.
Conslsts of8lfts spedfically a1￿Cated tost Matthvwschurth for artNltye5.
Capttal *Jnd
Thls fund repyesents the net book value of fixed assets.
Scott Beqye#
This fund relate5 to a parishonels le8acy of approxlmatety £715.COJ. was partly allocated in 2020 to 8uildin8
for Life expenditure and partly to general fund reserve5 including fundin8 of certain refvrbishment of the Church
Hall. The remalnder wa5 retalned and In¥ested for fvture dlscretlonary allocatlon. The movement in th• yèar
rdates to the commfjsslonlng ￿ a new altar. together wfth Income fmm. and chan8es In the value of, the fund's
Investments.
Rlley Bequest
This fund relatts to a pension&s legacy of £l.(¥M) wh￿h was paid out to V%tinaid in 2022 in accordance
thelr w15he5.
8lke r¥th
A grant to Instsll bike racks atthe thurch.
118htln8 Project
Gtft alded donation and DCMSVAT r￿almtOwardS the ne•J118hUng Insydlled In thechurth.
18

THE PARISH OF ST MATfHEW WITH ST PAU4 WINCIIEsfER
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2023
13 ANALYSIS OF FUNDS
Other
Total
fvnds
fvnds
Fundbulonce5 US rt31 December2023 ore rewesentedty.
Tan8lbleflxed assets
Investments
Other current assets
Current Ilabllltles
8,743
233,859
252,436
8.743
283,093
352,218
120,6901
49,234
87.746
118.2961
12.036
12,3941
oth
Totsl
xo
fvn
fvnth
Fuml boknnces Qt 31 f*cember2022 ore repre5entedty.'
Tanglble flxed issets
Inveslments
Othercurrent tssets
Current Ilabllltles
19.683
210.286
252,618
13.CWI
19,683
254,023
350,047
(14.3811
43,737
79,441
111,3811
17.988
19

THE PARISH OF ST MATfHEW WITh ST PAUL, WINCHESTER
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 DE￿BER 2023
14 COMPARATIVE STATEME1￿ OF FINANCIALAcrwmES
Unrestrlrt•d Desllnatsd Restrlctsd
fvnds
funds
fvnd5
Total
INCOME
Donatlons, 8fants and legacles
Income from charftable actlvltles
Intome from othertradlng actI￿tIeS
Investment Income
198,796
19,472
34,560
2.841
1,157
39
975
199,992
20,447
34.560
9,216
6.375
Totsl kncome
255.669
7.532
264215
EXPENDITIJRE
Expendlture on charltable ac1(v￿leS
277,348
24A91
I,coo
303.239
Totsl expendlture
277,348
24A91
1.000 303239
NEf IEXPENDMJREI IINCOME
BEFORETRANSFeRS
121,6791
117,3591
14
139,0241
TRANSFERS BETWEEN FUNDS
NET IEXPENDITUREI I INCOME
BEFORE OTHER GAINSIILOSSES)
121ffj791
1173591
14
1390241
GAINS ON INVESTMENT ASSETS
111,94J31
130.1121
141,9151
MOVEMEKf IN FUNDS
133A82)
147A71)
(80,939)
FUND BALANCES AT IJANUARY 2022
145,279
527,058
17,974
690,311
FUND eALANCES AT 31 DECEMBeR 2022
111.797
479.587
17,988
609372