| TRUSTEES’ ANNUAL REPORT FOR THE YEAR ENDED 31ST AUGUST 2023 | TRUSTEES’ ANNUAL REPORT FOR THE YEAR ENDED 31ST AUGUST 2023 |
|---|---|
| A. Reference and Administraton Details | |
| CharityName | Buckleyand Deeside Methodist Circuit |
| Registered CharityNumber | 1133745 |
| Principal Address | Grosvenor Manse,Grosvenor St,Mold,Flintshire,CH7 1EJ |
| B. Structure, Governance and management | |
| Type ofgoverningdocument | Deed of Union(1932)and Methodist Church Act(1976) |
| How is the charityconsttuted | Act of Parliament |
| Trustee selecton methods | Appointed by local churches and existng trustees: Ministers are automatcallytrustees. |
| Structure | Part of the Wales Synod;accountable to the Methodist Conference |
| C. Objectves and Actvites | |
| Summary of the objects of the charity set out in its governing document |
The purposes of the Methodist Church are and shall be deemed to have been since the Date of Union the advancement of: a) The Christan faith in accordance with the doctrinal standards and discipline of the Methodist Church; b) Any charitable purpose for the tme being of any Connexional, District, Circuit, local or other organisaton of The Methodist Church; c) Any charitable purpose for the tme being of any society or insttuton subsidiary or ancillary to The Methodist Church; d) Any purpose for the tme being of any charity being a charity subsidiaryor ancillaryto The Methodist Church. |
| Summary of the main actvites undertaken for the public beneft in relaton to these objects |
The circuit produced a quarterly preaching plan to ensure regular acts of worship take place at each of the 9 Methodist Churches and 2 Local Ecumenical Partnerships in its geographical area. These are open to all people, without charge. The circuit supports the Open the Book initatve in local primary schools and is actvely involved with ecumenical partners in teams serving schools in Buckley, Mold and Penyfordd.Most of the churches make their church halls available to their local communites as a resource, and we also host cofee mornings and luncheon-clubs, which are a much-valued meetng place for people from the wider community.Many churches collect for the local foodbank and one church acts as a distributon point. One church collects items for SHARE (refugees and asylum seekers) and SPIN (the homeless). Another church runs ‘Friday Kitchen’, a popular weekly market ofering near-date food at very low prices to people in Connah’s Quay. A number of the churches support the T4U shoe box appeal with one of the churches actng as a collecton point for the charity. A variety of other charites are supported by the eforts of individual churches. We confrm that the trustees have had regard to the CharityCommission’sguidance onpublic beneft. |
| D. Achievements andperformance | |
| Summary of the main achievements of the charity during the year |
The circuit exists to resource and support its eleven churches in their mission to the communites in which they are situated. There is a shortage of accredited preachers in the circuit, however a number of lay people are trained as worship leaders and the weekly patern of worshiphas been maintained. |
| E. Financial Review | E. Financial Review | E. Financial Review |
|---|---|---|
| Brief statement of the charity’s policy on reserves. |
The circuit seeks to hold approx. ffy per cent of budgeted expenditure as a reserve, in additon to funding for specifc purposes. This is deemed sufcient to meet any unforeseen item of major expenditure on manses and/or to be able to contnue, in the short term, the funding of planned actvites in the event of the closure of a large church or an inabilityto raise the full Circuit Assessment from churches. |
|
| Details of any funds materially in defcit |
None | |
| Overview of the accounts | In the 2022/23 accounts: Just under 80% of the Circuit’s income was provided by the local churches, with the remainder coming mostly from property rentals, grants and donatons. 56% of the Circuit’s expenditure was on ministerial stpends and related costs, and a further 17% was our contributon to the Synod, of which part is used to fund the work of the wider Methodist Church. |
|
| F. Further informaton | ||
| G. Declaraton | ||
| The trustees declare that they approved the trustees’ report above Signed on behalf of the charity’s trustees |
||
| Signature | ||
| Full name | PhillipTerence Poole | |
| Positon | Chair/Superintendent Minister | |
| Date 26thJune 2024 |
Date 26[th] June 2024
CIRCUIT RECEIPTS AND PAYMENTS ACCOUNTS THE METHODIST CHURCH STANDARD FORM OF ACCOUNTS Buckloy & Deeslde Methodlst Clr¢ult FOR THE YEAR ENDED 31 August 2023 WALES SYNOD DISTRICT Clrcult no 02107 Regl$ter•d Charlty - Charlty ReghtraOn numb•r 1133745 . If not a registered chanty H•r M•JMty'• R•v•nu• •nd Custom• Gfft Ald number (The HMRC numb¢r 1$ equpialent to a registered chanty number in temi8 of evidence of charitable status and may be used to give to donor8 Of grant funders *ishing to see evidence of the organisation's charitable status. Methodist charrties in England and that are not registered charitses are excemed from registralion under Statutory Instrument 2014 No. 242) Mlnlstsrs: REVD. P POOLE REVD. AJ BRADLEY REVD. PAT CHRISTOPHER Clrcult St•w•rd•: MS M JONES MRS A NOLAN REVD. E HODGE MRS M MATKIN Treasurer. MR D FARNSWORTrI
Buckley & Doasldo Mothodl8t Clrcult ACCOUNTS FOR THE YEAR ENDED 31 August 2023 Un- R•¥trict•d Clrcull Mod•l Flè¥trl¢t•d T¢Jt•l• th1• Fund• Tru•t Fund Funds Tot&l8 l&•t SECTION A a1 RECEIPTS Note Assessment 130,.0) 130.066.00 133,848.TrJ a3 Ca ital Rece ts a4 88nkJCFB Interest & Inv•stmont Inc 270.12 5,189.03 717.41 a5 Grants & Donation8 8.5. 8.600.00 26,893.52 170.918.67 10,792.60 24,4C6.11 169,764.12 Other Receipts TOTAL RECEIPTS 26,893.52 165,729.64 a7 5,189.03 0.00 la71 SECTION B b1 PAYMENTS Stipends, Salarie$, NIC, Pansion and b2 101,051.71 101.051.71 98.309.30 tr3 Manse Costs 8,484.81 19 490.03 Adminislralion Costs & Levi88 13,723.48 6.795.36 20,S18.84 23,212.C6 b5 District & Conn8xional Assessmont 30,396 CQ 30 707.92 Grants & Donations 7 350.CXJ o.c 31421.60 b7 b8 Other P8yments TOTAL PAYMENTS 19,0SS 49 180,061.49 19,055.49 186,856.85 13,128.91 216.269.82 b9 6,795.36 0.00 Ib91 SECTION C NET RECEIPTSIPAYMENTS FOR THE YEAR c1 -14 331.85 .1.608.33 .15.938.18 46 505.70 Total funds brought forward fr<#n188t year 98146 175 881.94 c6 237 350.10 Gq Sub total ¢1+c2 630.61 174 275.61 0.00 174,906.22 190,844.40 Transfers and ad'u8lmenl$ c7 TOTAL FUNDS AT END OF YEAR (c3+c4 630.61 174.275.61 174,906.22 {c8) 190,844.40 SECTION D FOR INFORMATION ONLY: MONEY RECEIVED AND PASSEO ON TO EXTERNAL ORGANISATIONS lth•M amnts ar• not lo b• Includ•d In total r•c•lpt•lpaym•nt• llguros abov•) d1 Balance brou hl forward trom last ear 0.00 d2 Offerin sIGrfts - racknivgd for gxternal or nisalions d3 OfferingslGrft$ - passed lo extemal organisations d4 BALANCE STILL TO BE PAID (d1 +d2-d31 0.00
Bu¢W & O•Mld• hl•thodl•t Circult H ACCOUNTS AN INTERNAL ORGANISATIONS RE CIRCUIT MEETING SECTION E Pla• follow th• GuidrKe Not•¥ to ¢om Summary of Cfail accots Icrf the year ended 31 W 2023 and Or9ar¥&akn rep(Mw to the Meekng Note Ihtyt Ihe knd8 of be completed to am atlho rectyts •j paynerts tot•bJ of I 11 èxceedbthe Accru fver11 of É250,000. thpn the AccNob& method ol acc AND A DIFFERENT FORM be wed t• rwt the acctuts laee Melhoth•lwetdt•l. PIBa•¢ refe¥to thè Wdance INTERNAL ORGAN18ATION8 bIr•I e2 03 Sub tot81 of IntemAI Or ani31ti¢ns lunds r¢u ecou brought forrd from pag• 2- totsl ¢olumnl TOTAL CASH FUNDS HELD BY CIRCUIT •8 170,919 1M.•57 Ib -15.938 {c•l 190.844 ¢8 174,906 010 170.919 186,857 -15.936 190,844 174,908 Continu• on a s•p•rnt• $h••l if n•S8ry and bring th• toil$ 1oN40rd TOTAL REceipTS TOTAL PAYMENTS SECTION F CIRCUIT - CASH FUND8 HELD •• at 31 Auqu•t 2023 OPENING CLOSING &4LANce fl CAF Current A¢¢ounl 15,738.51 11,763.88 CFB 81t Account 196.45 3 242.97 f5 Circuit Model TnJ$l Fund 175,881.94 154,275.61 Loan to North Hall 2.5.00 Loan to Qua stone 4.274.34 Cr•dilors 1,C60 50 2,101 00 D•btors 860.82 SUB TOTAL - Clr¢ult Accounts ola un ntema rqanis•tion$ {t ¢losing balan total fffjm 8bow•}1•12} 190,844.40 174.906.22 •11 0.00 TOTAL CASH FUND8 HELD BY CIRCUIT 190.B44.40 174.906.22 SECTION G Al 01•22 Al 31-Aug-23 OTHER ASSETS ind LIABIUTies Inv•stm•nts indud• Endowmenls note5 re Insurance valu•l Other Asse15 Loanlsl_ show amount outsl•ndi at year end Other knabilili•$
Buckley & Deeslde Methodlst Circuit Unrn•trlcted Fund$ analysis as al IncomdGalns Incomln Rosourc Ircult A Circuit Assessment 31Aug-23 Prnvious Current Period Current Period Previous Perlod Resour¢o8 Mlnis Stipends Lay Wts8r Supemurwaries Apprenticeship Levy Conn8xional Assessmont District Assessmwl Travel Costs ndgd 130,C66.CK) 133,848.00 95,016.93 91,994.77 825.00 353.89 27,108 CIJ 3,286.00 4.855.89 1,150IJO 314.58 27,383.52 3.324 40 4.849.95 IRe C(yJnal Tax Green Waste Collecli¢)n Charge Walor Char Insurance QuinqL1nlal Insp•Xion• Repairs and Maintenan 5,445.84 4,519.83 64.00 741.00 1,030.38 542.00 1,185.41 1,247.56 13.134.82 mlnls Adminisiralion Assistant Teloph¢)n88 Posi898 Stationary & Software LICx4$ Copyirvj cir11 Offic4 Circuit Web8rt0 CFB Dep06it Inleresl Jit Model Trust Fund Interest CAF Bank Interest 246.52 5.189.03 23.60 8,282.43 1,741.10 301.67 1,252.27 750.67 1,240.54 154.80 7,624.72 1.499.27 1.202.28 1,428.45 826.76 1,2CQ.00 372.37 714.69 on Synod - Ministry Donations 8.5CK).Tr) 8,550. 2,242.60 Pen$icm Fund GranlslDonation8 28,C.00 3.421.60 7.350.00 TMCP Admin Charges Cir()JitlDistrid pyr CPF Lovy - Sale of Emgus 501.26 6.294.10 496.94 8.S61.27 Rental Income - 60 Linthorp8 Road .81 Income - 3 Taylorfs ViAf Synod Secretary's AIIcftw8nce Emaus Closure Bequest 9.780 00 11,4CQ.00 9.780.IXI 11,7LX).tsJ 1,476.11 1,450.CX) 60 Linth Road - Lotting Costs 3 Taylorfs Vithv- Letting Cogts BIre Closure Emaus Closure 8ank Charges Hospitality & Small GMCard$ Mission & Worship Resource ProFerty Items Quinquennial InsF4cli¢X TrainirKJ Courses Removals 2,659.85 7,678.57 1,814.19 2.160.52 -1062 2,076.30 94.$0 85.11 1,346.41 1,452.C 1,600.00 112.50 2,598.00 4.713 52 1.CW.IX) S,7.57 533.07 99.99 2,CW IY) Total Incomo Exc$ of Ex Grand Total$ 170,918.67 15,938.18 186,856.85 169,764.12 46.505.70 216,269.82 Total Ex ndlture Excess of Income Grand Totals 186,856.85 216 269.82 endlturo 186,856.85 216.269.82
Baslz of Indopendont Examlnorfs Rowt My examination was carried out in acCOrdar with the general Direcaions given by the Charity Commission . An examination includes 8 review of the accounting records kept by the charily and a CA)mparison of th& accounts pr•s•nlod with those re(tsd$ It also includès c4Jnsideration of any unusual Items or disclosures in th8 accounts, and seeking explanations from you as Trustees conceming any such matters. The prcKedures undertaken do not provide all the evidenca that would be required in an audit and ¢onsequently no opinion is given as to ether the ac4x)unts present a 'Irue and fair vi6vf and tha report is limited to thos6 matters set out in the stement bel. Ind•pend•nt Examln•rfs Statsmont In connection with my examination, no matter has to my attention: whic gives m8 reasonobl8 cau88 to bolieve that in any material respect the requiremant$.' . to keop acctyJntiThJ rogyds in acoxdanct wth SectiM 41 of tho 1993 Act and Section 44 {1 Ila) of the 2C#)5 Act and Rewlation 4 of * to prepare accounts whi¢ acoxd w¢th accounting rKords and comply wlh the actounling requirefnents of tho 1993 Act and Section 441119b) of the 2DJS and Regulation l of th8 21X Ragulatiol havo not been met: or 12} lo which, in my ¢)pinion, 8ttention •hould be dr•n in rxdfjr lo enable a propor undornlanding of the accounts lo ba reached. N8mo D 8•van Signatur• Any Rolovanl Profos$ional qualrficAtiM or Addro8$ Th• S4ltlng•, Marnh L4n•, Fllnt CH8 SPJ Date
DECLARATIONS Treasurer I confirm that I have prepared the ac(xJunts the re(xYds of the cir11 and that irdtyje all funds under the control of tho Circuit. Signature of Tre8sur8r Date LLk Name DAVID FARNSWORTH Addre8$ 12 LINDERICK AVENUE, BUCKLEY. FLINTSHIRE CH7 2NP Presentstlon to th• Clrcult Trustw• for approval. I confirm that the Accoants have been weaented lo the Cirwrt Trustees on 20 Septembor 2023 and wer8 approved. Signature of the Chair of tho mooting Name of tho Chair of tho maèting REVO P POOLE Date 21 lilly Independent Examlnefs Report to th• Tru•t••s of th• BUCKLEY AND DEESIDE METHODIST CIRCUIT This Raport ig on t Circuit Accounts for the yr ondod 31 August 2023 under Section 43 of the Charities Act 1993. R•8POCtlvo r•sponslbllltlM of Tru•to•8 and Exmln•r A Trustees, you are re$pon¥ible for tho preparation of accounts. Tha Charity's Trustee8 0)nsider that an audit is not r6.Jired for this year un¢J•r Seclion 43121 of tho Charities Ad 1993 Ith6 1993 Act) and that an irKlapend8nl examination is needed It is my responsibility to.. examine th8 accounts under sedion 43 and SOL*'on 4411 } of the Charities Acl 1993; to follim the cdure8 laid d(fy in Ihe genoral Direction5 given by tho Charity Commission under Section 43171{bl of 1993 act., and to state wfiethgr DartiLyJlar matters have coma to mv attanti.
CIRCUIT RECEIPTS AND PAYMENTS ACCOUNTS THE METHODIST CHURCH STANDARD FORM OF ACCOUNTS Buckloy & Deeslde Methodlst Clr¢ult FOR THE YEAR ENDED 31 August 2023 WALES SYNOD DISTRICT Clrcult no 02107 Regl$ter•d Charlty - Charlty ReghtraOn numb•r 1133745 . If not a registered chanty H•r M•JMty'• R•v•nu• •nd Custom• Gfft Ald number (The HMRC numb¢r 1$ equpialent to a registered chanty number in temi8 of evidence of charitable status and may be used to give to donor8 Of grant funders *ishing to see evidence of the organisation's charitable status. Methodist charrties in England and that are not registered charitses are excemed from registralion under Statutory Instrument 2014 No. 242) Mlnlstsrs: REVD. P POOLE REVD. AJ BRADLEY REVD. PAT CHRISTOPHER Clrcult St•w•rd•: MS M JONES MRS A NOLAN REVD. E HODGE MRS M MATKIN Treasurer. MR D FARNSWORTrI
Buckley & Doasldo Mothodl8t Clrcult ACCOUNTS FOR THE YEAR ENDED 31 August 2023 Un- R•¥trict•d Clrcull Mod•l Flè¥trl¢t•d T¢Jt•l• th1• Fund• Tru•t Fund Funds Tot&l8 l&•t SECTION A a1 RECEIPTS Note Assessment 130,.0) 130.066.00 133,848.TrJ a3 Ca ital Rece ts a4 88nkJCFB Interest & Inv•stmont Inc 270.12 5,189.03 717.41 a5 Grants & Donation8 8.5. 8.600.00 26,893.52 170.918.67 10,792.60 24,4C6.11 169,764.12 Other Receipts TOTAL RECEIPTS 26,893.52 165,729.64 a7 5,189.03 0.00 la71 SECTION B b1 PAYMENTS Stipends, Salarie$, NIC, Pansion and b2 101,051.71 101.051.71 98.309.30 tr3 Manse Costs 8,484.81 19 490.03 Adminislralion Costs & Levi88 13,723.48 6.795.36 20,S18.84 23,212.C6 b5 District & Conn8xional Assessmont 30,396 CQ 30 707.92 Grants & Donations 7 350.CXJ o.c 31421.60 b7 b8 Other P8yments TOTAL PAYMENTS 19,0SS 49 180,061.49 19,055.49 186,856.85 13,128.91 216.269.82 b9 6,795.36 0.00 Ib91 SECTION C NET RECEIPTSIPAYMENTS FOR THE YEAR c1 -14 331.85 .1.608.33 .15.938.18 46 505.70 Total funds brought forward fr<#n188t year 98146 175 881.94 c6 237 350.10 Gq Sub total ¢1+c2 630.61 174 275.61 0.00 174,906.22 190,844.40 Transfers and ad'u8lmenl$ c7 TOTAL FUNDS AT END OF YEAR (c3+c4 630.61 174.275.61 174,906.22 {c8) 190,844.40 SECTION D FOR INFORMATION ONLY: MONEY RECEIVED AND PASSEO ON TO EXTERNAL ORGANISATIONS lth•M amnts ar• not lo b• Includ•d In total r•c•lpt•lpaym•nt• llguros abov•) d1 Balance brou hl forward trom last ear 0.00 d2 Offerin sIGrfts - racknivgd for gxternal or nisalions d3 OfferingslGrft$ - passed lo extemal organisations d4 BALANCE STILL TO BE PAID (d1 +d2-d31 0.00
Bu¢W & O•Mld• hl•thodl•t Circult H ACCOUNTS AN INTERNAL ORGANISATIONS RE CIRCUIT MEETING SECTION E Pla• follow th• GuidrKe Not•¥ to ¢om Summary of Cfail accots Icrf the year ended 31 W 2023 and Or9ar¥&akn rep(Mw to the Meekng Note Ihtyt Ihe knd8 of be completed to am atlho rectyts •j paynerts tot•bJ of I 11 èxceedbthe Accru fver11 of É250,000. thpn the AccNob& method ol acc AND A DIFFERENT FORM be wed t• rwt the acctuts laee Melhoth•lwetdt•l. PIBa•¢ refe¥to thè Wdance INTERNAL ORGAN18ATION8 bIr•I e2 03 Sub tot81 of IntemAI Or ani31ti¢ns lunds r¢u ecou brought forrd from pag• 2- totsl ¢olumnl TOTAL CASH FUNDS HELD BY CIRCUIT •8 170,919 1M.•57 Ib -15.938 {c•l 190.844 ¢8 174,906 010 170.919 186,857 -15.936 190,844 174,908 Continu• on a s•p•rnt• $h••l if n•S8ry and bring th• toil$ 1oN40rd TOTAL REceipTS TOTAL PAYMENTS SECTION F CIRCUIT - CASH FUND8 HELD •• at 31 Auqu•t 2023 OPENING CLOSING &4LANce fl CAF Current A¢¢ounl 15,738.51 11,763.88 CFB 81t Account 196.45 3 242.97 f5 Circuit Model TnJ$l Fund 175,881.94 154,275.61 Loan to North Hall 2.5.00 Loan to Qua stone 4.274.34 Cr•dilors 1,C60 50 2,101 00 D•btors 860.82 SUB TOTAL - Clr¢ult Accounts ola un ntema rqanis•tion$ {t ¢losing balan total fffjm 8bow•}1•12} 190,844.40 174.906.22 •11 0.00 TOTAL CASH FUND8 HELD BY CIRCUIT 190.B44.40 174.906.22 SECTION G Al 01•22 Al 31-Aug-23 OTHER ASSETS ind LIABIUTies Inv•stm•nts indud• Endowmenls note5 re Insurance valu•l Other Asse15 Loanlsl_ show amount outsl•ndi at year end Other knabilili•$
Buckley & Deeslde Methodlst Circuit Unrn•trlcted Fund$ analysis as al IncomdGalns Incomln Rosourc Ircult A Circuit Assessment 31Aug-23 Prnvious Current Period Current Period Previous Perlod Resour¢o8 Mlnis Stipends Lay Wts8r Supemurwaries Apprenticeship Levy Conn8xional Assessmont District Assessmwl Travel Costs ndgd 130,C66.CK) 133,848.00 95,016.93 91,994.77 825.00 353.89 27,108 CIJ 3,286.00 4.855.89 1,150IJO 314.58 27,383.52 3.324 40 4.849.95 IRe C(yJnal Tax Green Waste Collecli¢)n Charge Walor Char Insurance QuinqL1nlal Insp•Xion• Repairs and Maintenan 5,445.84 4,519.83 64.00 741.00 1,030.38 542.00 1,185.41 1,247.56 13.134.82 mlnls Adminisiralion Assistant Teloph¢)n88 Posi898 Stationary & Software LICx4$ Copyirvj cir11 Offic4 Circuit Web8rt0 CFB Dep06it Inleresl Jit Model Trust Fund Interest CAF Bank Interest 246.52 5.189.03 23.60 8,282.43 1,741.10 301.67 1,252.27 750.67 1,240.54 154.80 7,624.72 1.499.27 1.202.28 1,428.45 826.76 1,2CQ.00 372.37 714.69 on Synod - Ministry Donations 8.5CK).Tr) 8,550. 2,242.60 Pen$icm Fund GranlslDonation8 28,C.00 3.421.60 7.350.00 TMCP Admin Charges Cir()JitlDistrid pyr CPF Lovy - Sale of Emgus 501.26 6.294.10 496.94 8.S61.27 Rental Income - 60 Linthorp8 Road .81 Income - 3 Taylorfs ViAf Synod Secretary's AIIcftw8nce Emaus Closure Bequest 9.780 00 11,4CQ.00 9.780.IXI 11,7LX).tsJ 1,476.11 1,450.CX) 60 Linth Road - Lotting Costs 3 Taylorfs Vithv- Letting Cogts BIre Closure Emaus Closure 8ank Charges Hospitality & Small GMCard$ Mission & Worship Resource ProFerty Items Quinquennial InsF4cli¢X TrainirKJ Courses Removals 2,659.85 7,678.57 1,814.19 2.160.52 -1062 2,076.30 94.$0 85.11 1,346.41 1,452.C 1,600.00 112.50 2,598.00 4.713 52 1.CW.IX) S,7.57 533.07 99.99 2,CW IY) Total Incomo Exc$ of Ex Grand Total$ 170,918.67 15,938.18 186,856.85 169,764.12 46.505.70 216,269.82 Total Ex ndlture Excess of Income Grand Totals 186,856.85 216 269.82 endlturo 186,856.85 216.269.82
Baslz of Indopendont Examlnorfs Rowt My examination was carried out in acCOrdar with the general Direcaions given by the Charity Commission . An examination includes 8 review of the accounting records kept by the charily and a CA)mparison of th& accounts pr•s•nlod with those re(tsd$ It also includès c4Jnsideration of any unusual Items or disclosures in th8 accounts, and seeking explanations from you as Trustees conceming any such matters. The prcKedures undertaken do not provide all the evidenca that would be required in an audit and ¢onsequently no opinion is given as to ether the ac4x)unts present a 'Irue and fair vi6vf and tha report is limited to thos6 matters set out in the stement bel. Ind•pend•nt Examln•rfs Statsmont In connection with my examination, no matter has to my attention: whic gives m8 reasonobl8 cau88 to bolieve that in any material respect the requiremant$.' . to keop acctyJntiThJ rogyds in acoxdanct wth SectiM 41 of tho 1993 Act and Section 44 {1 Ila) of the 2C#)5 Act and Rewlation 4 of * to prepare accounts whi¢ acoxd w¢th accounting rKords and comply wlh the actounling requirefnents of tho 1993 Act and Section 441119b) of the 2DJS and Regulation l of th8 21X Ragulatiol havo not been met: or 12} lo which, in my ¢)pinion, 8ttention •hould be dr•n in rxdfjr lo enable a propor undornlanding of the accounts lo ba reached. N8mo D 8•van Signatur• Any Rolovanl Profos$ional qualrficAtiM or Addro8$ Th• S4ltlng•, Marnh L4n•, Fllnt CH8 SPJ Date
DECLARATIONS Treasurer I confirm that I have prepared the ac(xJunts the re(xYds of the cir11 and that irdtyje all funds under the control of tho Circuit. Signature of Tre8sur8r Date LLk Name DAVID FARNSWORTH Addre8$ 12 LINDERICK AVENUE, BUCKLEY. FLINTSHIRE CH7 2NP Presentstlon to th• Clrcult Trustw• for approval. I confirm that the Accoants have been weaented lo the Cirwrt Trustees on 20 Septembor 2023 and wer8 approved. Signature of the Chair of tho mooting Name of tho Chair of tho maèting REVO P POOLE Date 21 lilly Independent Examlnefs Report to th• Tru•t••s of th• BUCKLEY AND DEESIDE METHODIST CIRCUIT This Raport ig on t Circuit Accounts for the yr ondod 31 August 2023 under Section 43 of the Charities Act 1993. R•8POCtlvo r•sponslbllltlM of Tru•to•8 and Exmln•r A Trustees, you are re$pon¥ible for tho preparation of accounts. Tha Charity's Trustee8 0)nsider that an audit is not r6.Jired for this year un¢J•r Seclion 43121 of tho Charities Ad 1993 Ith6 1993 Act) and that an irKlapend8nl examination is needed It is my responsibility to.. examine th8 accounts under sedion 43 and SOL*'on 4411 } of the Charities Acl 1993; to follim the cdure8 laid d(fy in Ihe genoral Direction5 given by tho Charity Commission under Section 43171{bl of 1993 act., and to state wfiethgr DartiLyJlar matters have coma to mv attanti.