|TRUSTEES’ ANNUAL REPORT FOR THE YEAR ENDED 31STAUGUST 2024|TRUSTEES’ ANNUAL REPORT FOR THE YEAR ENDED 31STAUGUST 2024|
|---|---|
|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<br>automatcallytrustees.|
|Structure|Part of the Wales Synod;accountable to the Methodist Conference|
|C. Objectves and Actvites||
|Summary of the objects of the<br>charity set out in its governing<br>document|The purposes of the Methodist Church are and shall be deemed to<br>have been since the Date of Union the advancement of:<br>a) The Christan faith in accordance with the doctrinal standards and<br>discipline of the Methodist Church;<br>b) Any charitable purpose for the tme being of any Connexional,<br>District, Circuit, local or other organisaton of The Methodist Church;<br>c) Any charitable purpose for the tme being of any society or<br>insttuton subsidiary or ancillary to The Methodist Church;<br>d) Any purpose for the tme being of any charity being a charity<br>subsidiaryor ancillaryto The Methodist Church.|
|Summary of the main actvites<br>undertaken for the public<br>beneft in relaton to these<br>objects|The circuit produces a quarterly preaching plan to ensure regular acts<br>of worship take place at each of the 9 Methodist Churches and 2 Local<br>Ecumenical Partnerships in its geographical area. These are open to all<br>people, without charge. The circuit supports the Open the Book<br>initatve in local primary schools and is actvely involved with<br>ecumenical partners in teams serving schools in Buckley, Mold and<br>Penyfordd.Most of the churches make their church halls available to<br>their local communites as a resource, and we also host cofee mornings,<br>luncheon-clubs and warm-hubs, which are a much-valued meetng place<br>for people from the wider community.Many churches collect for the<br>local foodbank and one church acts as a local distributon point. One<br>church collects items for SHARE (refugees and asylum seekers) and<br>SPIN (the homeless). Another church runs ‘Friday Kitchen’, a popular<br>weekly market ofering near-date food at very low prices to people in<br>Connah’s Quay. All of the churches support the T4U shoe box appeal<br>with one of the churches actng as a collecton point for the charity. A<br>variety of other charites are supported by the eforts of individual<br>churches. We confrm that the trustees have had regard to the Charity<br>Commission’sguidance onpublic beneft.|
|D. Achievements andperformance||
|Summary of the main<br>achievements of the charity<br>during the year|The circuit exists to support its eleven churches in their mission to<br>their local communites. The weekly patern of worship has been<br>maintained throughout the year by circuit staf and lay people<br>working together and planning/fundraising is progressing with a view<br>to turningthe Connah’sQuaychapel into a communityhub.|





E. Financial Review ~~pT~~ 

Brief statement of the charity’s The circuit seeks to hold approx. fifty per cent of budgeted policy on reserves. expenditure as a reserve, in addition to funding for specific purposes. This is deemed sufficient to meet any unforeseen item of major expenditure on manses and/or to be able to continue, in the short term, the funding of planned activities in the event of the closure of a large church or inability to raise the full Circuit Assessment from churches. Details of any funds materially None in deficit Overview of the accounts The circuit’s income during the year to August 2024 totalled almost £300,000, with assessments from churches providing around £130,000 of this. Income was unusually high this year due to the receipt of approx. £100,000 from the sale of Emaus Chapel, Flint and just over £30,000 in the form of a one-off refund from the Methodist Church’s pension fund. Total expenditure for the year was approx. £200,000, of which 54% was ministerial stipends and related costs. A further 27% was paid to synod and connexion in the form of assessments and levies, which are used to fund the work of the wider Methodist Church. ~~fo~~ F. Further informaton ~~et~~ G. Declaraton The trustees declare that they approved the trustees’ report above ~~a~~ Signed on behalf of the charity’s trustees Signature ~~a~~ Full name Phillip Terence Poole ~~rs ee a~~ Position Chair/Superintendent Minister 

Date     12[th] April 2025 



CIRCUIT
RECEIPTS AND PAYMENTS
ACCOUNTS
THE METHODIST CHURCH
STANDARD FORM OF ACCOUNTS
Buckley & Deeslde Methodlst Clrcult
FOR THE YEAR ENDED
31 August 2024
WALES SYNOD DISTRICT
Clrcult no
02107
Reglstsred Charlty - Charity Roglstratlon number
1133745
If not a registered charity Hor Majesty's Revenue and Customs Glft Ald number
(The HMRC number is equivalent to a registered charity number in terms of evidence of charFtable status
and may be used to give to donors or grant funders wishing to see evidence of the organisation's
charitable slalus. Methodist charrties in England and that are not registered charities are excepted from
registration under Statutory Instrument 2014 No. 242)
Mlnlstsr8:
REVD. P POOLE
REVD. AJ BRADLEY
REVD. PAT CHRISTOPHER
Clrcuft Stewards:
MS M JONES
MRS A NOLAN
REVD. E HODGE
MRS M MATKIN
Treasurer:
MR D FARNSWORTH

8uckley & Deeslde Methodist Circuit
ACCOUNTS FOR THE YEAR ENDED
31 August 2024
Un-
Re8trict•d Clrcult Model Re•trlct•d
Funds
Trust Fund
Fund•
Total• th1•
y•ar
Totals last
year
SECTION A
a1
RECEIPTS
Note
Assessment
129,169.00
129,169.00
130,C66.00
83
Capital Receipts
BankJCFB Interest & Investment Inc
97,484.00
97,484.00
a4
517.54
9,519.11
10,036.65
5,459.15
a5
Grants & Donations
9,345.15
2,000.00
11,345.15
8,500.00
a6
Oth8r R8c81Pts
TOTAL RECEIPTS
22,880.00
22,880.00
270,914.80
26.893.52
a7
161,911.69
107,003.11
2.000.00
la71
170,918.67
SECTION B
b1
PAYMENTS
Stipends, Salaries, NIC, Pension and
Travel Costs
tr- Manse Costs
Administration Costs & Levies
b2
108,682.91
108.682,91
101,051.71
8,741.24
15,381.59
8,741.24
8,484.81
21,150.27
36.531.86
20,518.84
30,396,00
b5
District & Connexional Assessment
31,828.00
31,828.00
b6
Grants & Donations
0.00
1,160.00
1,160.00
7,350.00
b7
b8
Other Payments
TOTAL PAYMENTS
6,873.79
5,250.00
12,123.79
199,067.80
19,055.49
b9
171,507.53
22,310.27
5,250.00
(b9)
186,856.85
SECTION C
NET RECEIPTSIPAYMENTS FOR
THE YEAR
c1
a6-b8
-9,595.84
84.692.84
-3,250.00
71,847.00
-15,938.18
Total funds brought forward from last
year
174,906.22
190,844.40
20,630.61
154,275.61
(c6)
Sub total
¢1+c2
11,034.77
238,968.45
-3,250.00
246,753.22
174,906.22
Tr8nsf8rs and adjustments
0.00
(c7)
TOTAL FUNDS AT END OF YEAR
Ic3+c4)
11,034.77
238,968.45
-3,250.00
246,753.22
(c8)
174,906.22
SECTION D
FOR INFORMATION ONLY: MONEY RECEIVED AND PASSED ON TO EXTERNAL ORGANISATIONS
(the88 amounts are not to be Included In total recelptslpayments flgurns above)
d1
Balance brou
ht forward from last
ear
0.00
d2
Offerin
sIGifts - received for extemal or
anisations
d3
OfferingslGifts - passed to extemal organisations
d4
BALANCE STILL TO BE PAID
{d1 +d2-d3)
0.00
0.00

Buckley & Deeside Methodlst Clrcutt
SUMMARY OF CHURCH ACCOUNTS AND INTERNAL ORGANISATIONS REPORTING TO THE C
SECTION E
Please follow the Guidance Notes to com
lete this
Summary of the Clrcuit accounts for the year ended 31 August 2024 and Inlemal Organisations reporting to the Circuit Meeting. Note that the funds of an
Irrtemal Organisation would normaty be Restricted funds unle8S it could be cleady shown that they could be u8ed for any Methodist purpose. Th￿ section
m￿t be completed to arrive at the gross recelpts and payments totslB of the Clfcutt. If gr088 income exceeds the Accrua￿ threshold of £250,000, then the
Accrua￿ method of accounting AND A DIFFERENT FORM must be used lo Teport the a¢counts l¥ee method￿ website). Please refef to the guidance
notes regarding tran8fer8 beiween Ihe Ciruit and connected Clrcuit OrganMlion8.
RCUIT ME
TIN
INTERNAL
ORGANISATIONS
Nel Recelp
Payments
Openlng
balonces
C1081ng
bglances
Receipts
Payments
Adju8tments
e1
82
e3
Sub total of Inlemal
Organisalions funds
Ircu
accoun
brought forward from
pag• 2 -total• column)
TOTAL CASH FUNDS
HELD BY CIRCUIT
011
270,915
199,068
(b
71,847
(c8)
174.906
c6
246,753
e10
270,915
199,088
71,847
174,906
246,753
Continue on a separate
sheet if necessary and
bring thé lolalj fopward
TOTAL
RECEIPTS
TOTAL
PAYMENTS
SECTION F
8T
TEMENT OF ASSETS AND LIABILITIES
CIRCUIT- CASH FUNDS HELD a• at
31 Augu•t 2024
OPENING
BALANCE
CLOSING
BALANCE
f1
CAF Current Account
11,763.88
10,106.06
CFB De
osit Account
3,242,97
32,248.11
f5
Circuit Mod81 Trust Fund
154,275.61
199,236.59
Creditors
12,101 001
12,800.741
Dèbtors
7,724.96
7,963.20
SUB TOTAL - Clrcult Accounts
ola
un
nterna
rganisations (I
closing balance total from abov81 le12)
174,906.22
c6)
246,753.22
0.00
11)
0.00
TOTAL CASH FUNDS HELD BY CIRCUIT
174.906.22
Ix)
246.753.22
SECTION G
At
01-Sep23
At
31-Aug-24
OTHER ASSETS and LIABILITIES
Investments
indude Endowments
notes re Insurance value)
Other Assets
Loan{sl - show amount
oulslanding al ytsar end
Other Liabilities
f4 Include only Funds held at the Central Finance Board
f5 Include only Funds held at Trustees for Melhodist Church Purposes
g1 Include any other investments (not the cash élement of TMCP tnJstS accounts this is included in line f5

Buckley & Doeside Meth¢xlist Circuit
Unrestricted Funds analysis as at
IncomelGain8
Incomln
Resources
Circuit A55e3sment
Circuit Assessment
31-Aug-24
Previous
Period
Current
Period
ExpendlturelLosses
Resources Ex
ended
Minist Ex
enditure
Stipends
Lay Worker
Supemumeraries
Apprenticeship Levy
Connexion81 Assessment
District Assessment
Travel Costs
Current
Period
Previous
Perlod
129,169.00
130,C66.00
102,713.60
95,016.93
790.00
382.47
28,384.00
3,444.00
4,796.84
825.00
353.89
27,108.00
3,288.00
4,855.89
Ital Recel
Sale of Emaus
Manse Costs
Council Tax
Green Waste Collection Charge
Water Charges
Insurance
Quinquennial Inspections
Repairs and Maintenance
97,484.00
5,751.89
70.00
1,073.50
1,237.21
S,445.84
64.00
542.00
1,185.41
608.64
1,247.56
Interes
CFB Deposit Interest
It Model Trust Fund Interest
CA￿ Bank Interest
Admlnlstratlon Costs
Administration Assistant
Telephones
Postage
Stationery & Software Licences
Copying
Circuit Office
Circuit Website
505.14
9,519.11
12.40
246.52
5,189.03
23.60
9,390.45
1,922.29
247.40
1,723.59
6*.26
1,200.00
201.60
8,282.43
1,741.10
301.67
1,252.27
750.67
1,240.54
154.80
rants
Synod - Ministry
Donations
Donatl
ran
& Donatlo
GrantslDonations
8,500.00
845.15
8,500.00
1,160.00
7,350.00
TMCP Char
TMCP Admin Charges
CircuiVDistrict PYT
CPF L8vy - Sale of Emaus
439.69
5,213.78
15,496.80
501.26
6,294.10
her R￿05 t8
Rental Income - 60 Linthorpe Road
Rental Income - 3 Taylorfs View
Js Closure
Bequest
her Pa
ments
60 Linthorpe Road - Letting Costs
3 Taylor's View- Letting Costs
Emaus Closure
Bank Charges
Hospitality & Sm811 Giftslcards
Mission & Worship Resource
Property Items
Quinquennial Inspections
Church Inspections
Pat's Assistant - Highway
British Sign Languag8 Int8rpret8r
"Refusing to the Enemies
3 Taylofs View- Prior Year 20-21
10.320.00
11,560.00
9,780.00
11,400.00
4,713.52
1,000.00
1,968.39
2,686.17
-1,803.98
60.00
16.05
1,869.77
19.99
2,659.65
7,678.57
5,907.57
60.00
56.64
533.07
99.99
2,060.00
1,000.00
400.00
918.00
125.00
333.51
280.89
Total Income
Excess of Ex
Grand Totals
268,914.80
170,918.67
15,938.18
186,856.85
Total Ex
enditure
Excess of Income
Grand Totals
193,817.80
75,097.00
268,914.80
186.856.85
enditure
268,914.80
186,856.85

Buckley & Deeside Methodist Circult
Restricted Funds analysis as at
IncomelGains
Incomln
Resources
31-Aug-24
Previous
Period
Current
Period
ExpenditurelLos8es
Resources Ex
ended
Current
Perlod
Previous
Period
ua
stone Pro
Flintshire CC Grant
ect
tone Pro
ect
Design Work IPN Hewitt Ass Ltd)
Fundraising (Chell Perkins)
2,000.00
1,800.00
3,450.00
Total Income
Excess of Ex
Grand Totals
2,000.00
3,250.00
5,250.00
0.00
Total Ex
endituro
Excess of Income
Grand Totals
5,250.00
0.00
endlture
0.00
5,250.00

DECLARATIONS
Treasurer
I confirm that I have prepared the accounts from the records of the Circuit and that they include all funds under the control of
the Circuit.
Signature of
Treasurer
Date
Name
DAVID FARNSWORTH
Address
12 LINDERICK AVENUE, BUCKLEY, FLINTSHIRE CH7 2NP
Presentatlon to tho Clrcult Trustees for approval.
I confirm that the Accounts have been presented to the Circuit Trustees on
and were approved.
Sign8ture of the Chair of the meeting
Name of the Chair of the Meeting
REVD P POOLE
Date
Independent ExamIne￿5 Reportto the Trustses ofthe
BUCKLEY AND DEESIDE METHODIST CIRCUIT
This Report is on the Circuit Accounts for the year ended 31 August 2024
under Section 43 of the Charities Act 1993.
Respectlve responslbllltles of Trustses and Examlner
¢ Trustees, you are responsible for the preparation of the accounts. The Charity's Trustees consider that an audit is not
.Ired for this year under Section 43{2) of the Charities Act 1993 (the 1993 Act) and that an independent examination is
needed
It is my responsibility to:
examine the accounts under section 43 and section 44(11 of the Charit16s Act 1993;
to follow the procedures laid down in the general Directions given by the Charity Commission under Section
43(7)(b) of the 1993 act., and
to State whether particular matters have come to my attention.

Basls of Ind•pendent ExamIne￿8 Report
My examination was carried out in accordance with the general Dir8Ctions giv8n by the Charity
Commission . An exarnination includes a review of the accounting records kept by the charity and
comparison of the accounts presented with those records. It also includes consideration of any
unusual items or disclosures in the accounts, and seeking explanations from you as Trustees
concerning any such matters. The procedures undertaken do not provide all the evidence that would
be required in an audit and consequently no opinion is given as to whether the accounts present
'true and fair Vie￿ and the report is limited to those matters set out in the slatement below.
Independent Examlnerfs Statsment
In connection with my examination, no matter h88 come to my attention..
(1)
which gives me reasonable cause to believe that in any material respect the requirements..
. to keep accounting records in accordance with Section 41 of the
1993 Act and Section 44 (1)(a) of the 2005 Act and Regulation 4 of
. to prepare accounts which accord with the accounting records and
comply with the accounting requirements of the 1993 Act and
Section 4411)9bl of the 2005 Act and Regulation { of the 2006
have not been met., or
(2)
to which, in my opinion, attention should be dravm in order to enable a proper understanding
of the accounts to be reached.
Name
D Bevan
Signature
Any Relevant Professional qualification or body
A..¢ess
The Saltlng8, Marnh Lane, Fllnt CH6 5PJ
Date

CIRCUIT
RECEIPTS AND PAYMENTS
ACCOUNTS
THE METHODIST CHURCH
STANDARD FORM OF ACCOUNTS
Buckley & Deeslde Methodlst Clrcult
FOR THE YEAR ENDED
31 August 2024
WALES SYNOD DISTRICT
Clrcult no
02107
Reglstsred Charlty - Charity Roglstratlon number
1133745
If not a registered charity Hor Majesty's Revenue and Customs Glft Ald number
(The HMRC number is equivalent to a registered charity number in terms of evidence of charFtable status
and may be used to give to donors or grant funders wishing to see evidence of the organisation's
charitable slalus. Methodist charrties in England and that are not registered charities are excepted from
registration under Statutory Instrument 2014 No. 242)
Mlnlstsr8:
REVD. P POOLE
REVD. AJ BRADLEY
REVD. PAT CHRISTOPHER
Clrcuft Stewards:
MS M JONES
MRS A NOLAN
REVD. E HODGE
MRS M MATKIN
Treasurer:
MR D FARNSWORTH

8uckley & Deeslde Methodist Circuit
ACCOUNTS FOR THE YEAR ENDED
31 August 2024
Un-
Re8trict•d Clrcult Model Re•trlct•d
Funds
Trust Fund
Fund•
Total• th1•
y•ar
Totals last
year
SECTION A
a1
RECEIPTS
Note
Assessment
129,169.00
129,169.00
130,C66.00
83
Capital Receipts
BankJCFB Interest & Investment Inc
97,484.00
97,484.00
a4
517.54
9,519.11
10,036.65
5,459.15
a5
Grants & Donations
9,345.15
2,000.00
11,345.15
8,500.00
a6
Oth8r R8c81Pts
TOTAL RECEIPTS
22,880.00
22,880.00
270,914.80
26.893.52
a7
161,911.69
107,003.11
2.000.00
la71
170,918.67
SECTION B
b1
PAYMENTS
Stipends, Salaries, NIC, Pension and
Travel Costs
tr- Manse Costs
Administration Costs & Levies
b2
108,682.91
108.682,91
101,051.71
8,741.24
15,381.59
8,741.24
8,484.81
21,150.27
36.531.86
20,518.84
30,396,00
b5
District & Connexional Assessment
31,828.00
31,828.00
b6
Grants & Donations
0.00
1,160.00
1,160.00
7,350.00
b7
b8
Other Payments
TOTAL PAYMENTS
6,873.79
5,250.00
12,123.79
199,067.80
19,055.49
b9
171,507.53
22,310.27
5,250.00
(b9)
186,856.85
SECTION C
NET RECEIPTSIPAYMENTS FOR
THE YEAR
c1
a6-b8
-9,595.84
84.692.84
-3,250.00
71,847.00
-15,938.18
Total funds brought forward from last
year
174,906.22
190,844.40
20,630.61
154,275.61
(c6)
Sub total
¢1+c2
11,034.77
238,968.45
-3,250.00
246,753.22
174,906.22
Tr8nsf8rs and adjustments
0.00
(c7)
TOTAL FUNDS AT END OF YEAR
Ic3+c4)
11,034.77
238,968.45
-3,250.00
246,753.22
(c8)
174,906.22
SECTION D
FOR INFORMATION ONLY: MONEY RECEIVED AND PASSED ON TO EXTERNAL ORGANISATIONS
(the88 amounts are not to be Included In total recelptslpayments flgurns above)
d1
Balance brou
ht forward from last
ear
0.00
d2
Offerin
sIGifts - received for extemal or
anisations
d3
OfferingslGifts - passed to extemal organisations
d4
BALANCE STILL TO BE PAID
{d1 +d2-d3)
0.00
0.00

Buckley & Deeside Methodlst Clrcutt
SUMMARY OF CHURCH ACCOUNTS AND INTERNAL ORGANISATIONS REPORTING TO THE C
SECTION E
Please follow the Guidance Notes to com
lete this
Summary of the Clrcuit accounts for the year ended 31 August 2024 and Inlemal Organisations reporting to the Circuit Meeting. Note that the funds of an
Irrtemal Organisation would normaty be Restricted funds unle8S it could be cleady shown that they could be u8ed for any Methodist purpose. Th￿ section
m￿t be completed to arrive at the gross recelpts and payments totslB of the Clfcutt. If gr088 income exceeds the Accrua￿ threshold of £250,000, then the
Accrua￿ method of accounting AND A DIFFERENT FORM must be used lo Teport the a¢counts l¥ee method￿ website). Please refef to the guidance
notes regarding tran8fer8 beiween Ihe Ciruit and connected Clrcuit OrganMlion8.
RCUIT ME
TIN
INTERNAL
ORGANISATIONS
Nel Recelp
Payments
Openlng
balonces
C1081ng
bglances
Receipts
Payments
Adju8tments
e1
82
e3
Sub total of Inlemal
Organisalions funds
Ircu
accoun
brought forward from
pag• 2 -total• column)
TOTAL CASH FUNDS
HELD BY CIRCUIT
011
270,915
199,068
(b
71,847
(c8)
174.906
c6
246,753
e10
270,915
199,088
71,847
174,906
246,753
Continue on a separate
sheet if necessary and
bring thé lolalj fopward
TOTAL
RECEIPTS
TOTAL
PAYMENTS
SECTION F
8T
TEMENT OF ASSETS AND LIABILITIES
CIRCUIT- CASH FUNDS HELD a• at
31 Augu•t 2024
OPENING
BALANCE
CLOSING
BALANCE
f1
CAF Current Account
11,763.88
10,106.06
CFB De
osit Account
3,242,97
32,248.11
f5
Circuit Mod81 Trust Fund
154,275.61
199,236.59
Creditors
12,101 001
12,800.741
Dèbtors
7,724.96
7,963.20
SUB TOTAL - Clrcult Accounts
ola
un
nterna
rganisations (I
closing balance total from abov81 le12)
174,906.22
c6)
246,753.22
0.00
11)
0.00
TOTAL CASH FUNDS HELD BY CIRCUIT
174.906.22
Ix)
246.753.22
SECTION G
At
01-Sep23
At
31-Aug-24
OTHER ASSETS and LIABILITIES
Investments
indude Endowments
notes re Insurance value)
Other Assets
Loan{sl - show amount
oulslanding al ytsar end
Other Liabilities
f4 Include only Funds held at the Central Finance Board
f5 Include only Funds held at Trustees for Melhodist Church Purposes
g1 Include any other investments (not the cash élement of TMCP tnJstS accounts this is included in line f5

Buckley & Doeside Meth¢xlist Circuit
Unrestricted Funds analysis as at
IncomelGain8
Incomln
Resources
Circuit A55e3sment
Circuit Assessment
31-Aug-24
Previous
Period
Current
Period
ExpendlturelLosses
Resources Ex
ended
Minist Ex
enditure
Stipends
Lay Worker
Supemumeraries
Apprenticeship Levy
Connexion81 Assessment
District Assessment
Travel Costs
Current
Period
Previous
Perlod
129,169.00
130,C66.00
102,713.60
95,016.93
790.00
382.47
28,384.00
3,444.00
4,796.84
825.00
353.89
27,108.00
3,288.00
4,855.89
Ital Recel
Sale of Emaus
Manse Costs
Council Tax
Green Waste Collection Charge
Water Charges
Insurance
Quinquennial Inspections
Repairs and Maintenance
97,484.00
5,751.89
70.00
1,073.50
1,237.21
S,445.84
64.00
542.00
1,185.41
608.64
1,247.56
Interes
CFB Deposit Interest
It Model Trust Fund Interest
CA￿ Bank Interest
Admlnlstratlon Costs
Administration Assistant
Telephones
Postage
Stationery & Software Licences
Copying
Circuit Office
Circuit Website
505.14
9,519.11
12.40
246.52
5,189.03
23.60
9,390.45
1,922.29
247.40
1,723.59
6*.26
1,200.00
201.60
8,282.43
1,741.10
301.67
1,252.27
750.67
1,240.54
154.80
rants
Synod - Ministry
Donations
Donatl
ran
& Donatlo
GrantslDonations
8,500.00
845.15
8,500.00
1,160.00
7,350.00
TMCP Char
TMCP Admin Charges
CircuiVDistrict PYT
CPF L8vy - Sale of Emaus
439.69
5,213.78
15,496.80
501.26
6,294.10
her R￿05 t8
Rental Income - 60 Linthorpe Road
Rental Income - 3 Taylorfs View
Js Closure
Bequest
her Pa
ments
60 Linthorpe Road - Letting Costs
3 Taylor's View- Letting Costs
Emaus Closure
Bank Charges
Hospitality & Sm811 Giftslcards
Mission & Worship Resource
Property Items
Quinquennial Inspections
Church Inspections
Pat's Assistant - Highway
British Sign Languag8 Int8rpret8r
"Refusing to the Enemies
3 Taylofs View- Prior Year 20-21
10.320.00
11,560.00
9,780.00
11,400.00
4,713.52
1,000.00
1,968.39
2,686.17
-1,803.98
60.00
16.05
1,869.77
19.99
2,659.65
7,678.57
5,907.57
60.00
56.64
533.07
99.99
2,060.00
1,000.00
400.00
918.00
125.00
333.51
280.89
Total Income
Excess of Ex
Grand Totals
268,914.80
170,918.67
15,938.18
186,856.85
Total Ex
enditure
Excess of Income
Grand Totals
193,817.80
75,097.00
268,914.80
186.856.85
enditure
268,914.80
186,856.85

Buckley & Deeside Methodist Circult
Restricted Funds analysis as at
IncomelGains
Incomln
Resources
31-Aug-24
Previous
Period
Current
Period
ExpenditurelLos8es
Resources Ex
ended
Current
Perlod
Previous
Period
ua
stone Pro
Flintshire CC Grant
ect
tone Pro
ect
Design Work IPN Hewitt Ass Ltd)
Fundraising (Chell Perkins)
2,000.00
1,800.00
3,450.00
Total Income
Excess of Ex
Grand Totals
2,000.00
3,250.00
5,250.00
0.00
Total Ex
endituro
Excess of Income
Grand Totals
5,250.00
0.00
endlture
0.00
5,250.00

DECLARATIONS
Treasurer
I confirm that I have prepared the accounts from the records of the Circuit and that they include all funds under the control of
the Circuit.
Signature of
Treasurer
Date
Name
DAVID FARNSWORTH
Address
12 LINDERICK AVENUE, BUCKLEY, FLINTSHIRE CH7 2NP
Presentatlon to tho Clrcult Trustees for approval.
I confirm that the Accounts have been presented to the Circuit Trustees on
and were approved.
Sign8ture of the Chair of the meeting
Name of the Chair of the Meeting
REVD P POOLE
Date
Independent ExamIne￿5 Reportto the Trustses ofthe
BUCKLEY AND DEESIDE METHODIST CIRCUIT
This Report is on the Circuit Accounts for the year ended 31 August 2024
under Section 43 of the Charities Act 1993.
Respectlve responslbllltles of Trustses and Examlner
¢ Trustees, you are responsible for the preparation of the accounts. The Charity's Trustees consider that an audit is not
.Ired for this year under Section 43{2) of the Charities Act 1993 (the 1993 Act) and that an independent examination is
needed
It is my responsibility to:
examine the accounts under section 43 and section 44(11 of the Charit16s Act 1993;
to follow the procedures laid down in the general Directions given by the Charity Commission under Section
43(7)(b) of the 1993 act., and
to State whether particular matters have come to my attention.

Basls of Ind•pendent ExamIne￿8 Report
My examination was carried out in accordance with the general Dir8Ctions giv8n by the Charity
Commission . An exarnination includes a review of the accounting records kept by the charity and
comparison of the accounts presented with those records. It also includes consideration of any
unusual items or disclosures in the accounts, and seeking explanations from you as Trustees
concerning any such matters. The procedures undertaken do not provide all the evidence that would
be required in an audit and consequently no opinion is given as to whether the accounts present
'true and fair Vie￿ and the report is limited to those matters set out in the slatement below.
Independent Examlnerfs Statsment
In connection with my examination, no matter h88 come to my attention..
(1)
which gives me reasonable cause to believe that in any material respect the requirements..
. to keep accounting records in accordance with Section 41 of the
1993 Act and Section 44 (1)(a) of the 2005 Act and Regulation 4 of
. to prepare accounts which accord with the accounting records and
comply with the accounting requirements of the 1993 Act and
Section 4411)9bl of the 2005 Act and Regulation { of the 2006
have not been met., or
(2)
to which, in my opinion, attention should be dravm in order to enable a proper understanding
of the accounts to be reached.
Name
D Bevan
Signature
Any Relevant Professional qualification or body
A..¢ess
The Saltlng8, Marnh Lane, Fllnt CH6 5PJ
Date