| Themembers oft | hePCC in202O were: | |||
|---|---|---|---|---|
| Role | Name | Dates | Notes | |
| !ncumbent: | Revd Ben Lovell | Chair | ||
| Churchwardens: | Mrs KristyChow | From June 2019 | ||
| Mr Nalindra Fernando | From June 2018 | Safeguarding Officer | ||
| Vice Chair | ||||
| Representativeson | Miss Marv Collins | FromAPCM2020 | Children Chamoion | |
| theDeanerySynod: | Mr RonPettit | FromAPCM2020 | ||
| Mr David Pimm | From APCM 2020 | |||
| ElectedMembers: | MrThomas Abraham | FromAPCM2018 | ||
| Mrs Jo Adams | From APCM 2018 | |||
| MrsSamanthaBailev | UntilAPCM2020 | |||
| MrTimBailev | FromAPCM2017 | |||
| MrJohnBlackwell | FromAPCM2020 | |||
| Mrs Rosemary Cumberland Miss Lucy Fernando |
FromAPCM2018 From APCM 2019 |
Young | Person | |
| Representative. ResignedSeptember |
||||
| 2020 | ||||
| MrNiqelFrancis | FromAPCM2017 | Treasurer | ||
| Mr Michael Harris | From APCM 2018 | |||
| MrsYvonneLincoln | UntilAPCM2020 | |||
| Mrs Helen Neilan | From APCM 2020 | |||
| Mr Ron Pettit | UntilAPCM2020 | |||
| MrKel Razza | From APCM 2017 | Facilities Manaqer | ||
| Mrs Caroline Watts | From APCM 2020 | |||
| Mr David Western | From APCM 2020 | |||
| MrJonathan Williams | FromAPCM2018 | |||
| Mrs Pamela Woods | FromAPCM2019 | |||
| ExOfficio | RevdCaraLovell | AssistantCurate | ||
| RevdCatharinaOlsson | November 2020 | AssistantCurate | ||
| Gisleskoq | ||||
| PCCSecretarv | Mrs Elizabeth Bowen | From APCM 2019 |
| Bankers: | Lloyds Bank |
|---|---|
| TwickenhamBranch | |
| 17 HeathRoad | |
| Twickenham | |
| TW1 4AW | |
| Barclays Bank PLC | |
| Kingston uponThamesBusiness Centre | |
| 6 Clarence Street | |
| Kingston uponThames | |
| KT11NY | |
| lndependent | AndreaKibble FCCA |
| Examiner: | AKAccounting SolutionsLimited |
| Minster House | |
| 126a High Street | |
| Whitton | |
| Middlesex | |
| TW27LL |
THE PAROCHIAL CHURCH COUNCIL OF ST MARY'S HAMPTON
Statement of Financial Activities
For the year ending 31 December 2020
Note that the PCC has no Endowment Funds
| Unrestricted Funds Note £ INCOME AND ENDOWMENTS Voluntary income 1(a) 239,392 Activities for generating income 1(b) 13,758 Income from investments 1(c) 1,818 Church activities 1(d) 1,684 Other 1(e) 5,788 TOTAL INCOME 262,439 EXPENDITURE Church activities 2(a) 553,161 Raising Funds 2(b) 88 TOTAL EXPENDITURE 553,248 NET INCOME/(EXPENDITURE) BEFORE INVESTMENT GAINS (290,809) NET GAINS ON INVESTMENTS 0 NET INCOME/(EXPENDITURE) (290,809) TRANSFER BETWEEN FUNDS 0 NET MOVEMENTS IN FUNDS 10 (290,809) 10 769,544 10 478,734 TOTAL FUNDS BROUGHT FORWARD TOTAL FUNDS CARRIED FORWARD |
Unrestricted Funds Note £ INCOME AND ENDOWMENTS Voluntary income 1(a) 239,392 Activities for generating income 1(b) 13,758 Income from investments 1(c) 1,818 Church activities 1(d) 1,684 Other 1(e) 5,788 TOTAL INCOME 262,439 EXPENDITURE Church activities 2(a) 553,161 Raising Funds 2(b) 88 TOTAL EXPENDITURE 553,248 NET INCOME/(EXPENDITURE) BEFORE INVESTMENT GAINS (290,809) NET GAINS ON INVESTMENTS 0 NET INCOME/(EXPENDITURE) (290,809) TRANSFER BETWEEN FUNDS 0 NET MOVEMENTS IN FUNDS 10 (290,809) 10 769,544 10 478,734 TOTAL FUNDS BROUGHT FORWARD TOTAL FUNDS CARRIED FORWARD |
Restricted Funds £ 9,210 0 101 |
2020 2019 £ £ 248,602 208,465 13,758 35,010 1,919 4,151 1,684 3,997 5,788 620 271,751 252,243 565,637 262,098 88 850 565,724 262,948 (293,974) (10,705) 0 0 (293,974) (10,705) 0 0 (293,974) (10,705) 798,637 809,341 504,663 798,637 TOTAL FUNDS |
|---|---|---|---|
| 0 0 9,311 12,476 0 12,476 |
|||
| (290,809) 0 (290,809) 0 (290,809) 769,544 478,734 |
(3,164) 0 (3,164) 0 (3,164) 29,093 25,929 |
Page 1
Annual Accounts 2020
THE PAROCHIAL CHURCH COUNCIL OF ST MARY'S HAMPTON
Balance Sheet at 31 December 2020
| Unrestricted Funds Note £ FIXED ASSETS 7 Tangible Office Equipment 0 Audio Visual Equipment 47,612 Property: St Mary's Church Community Hall 210,019 Investments 11 0 257,631 CURRENT ASSETS Investments 0 Debtors and prepayments 8 70,177 Short term deposits 11 136,956 Cash at banks and in hand 11 32,538 239,671 LIABILITIES Creditors - amounts falling due within one year 9(a) (18,567) NET CURRENT ASSETS/(LIABILITIES) 221,104 TOTAL ASSETS LESS CURRENT LIABILITIES 478,734 Creditors -amounts falling due after one year 9(b) 0 TOTAL NET ASSETS 10/11 478,734 REPRESENTED BY PARISH FUNDS: Unrestricted Funds: 10 Restricted Funds: 10 |
Restricted Funds £ 0 0 0 5,365 5,365 0 1,255 25,106 (5,797) 20,564 0 20,564 25,929 0 25,929 |
2020 2019 £ £ 0 753 47,612 0 210,019 212,560 5,365 5,365 262,996 218,678 0 0 71,432 40,325 162,062 510,144 26,741 35,248 260,235 585,716 (18,567) (5,757) 241,668 579,959 504,663 798,637 0 0 504,663 798,637 478,734 769,544 25,929 29,093 504,663 798,637 TOTAL FUNDS |
|---|---|---|
Approved by the Parochial Church Council on 16 March 2021
Signed on its behalf by Rev'd Ben Lovell (Vicar) and Nalindra Fernando (Churchwarden)
Page 2
Annual Accounts 2020
THE PAROCHIAL CHURCH COUNCIL OF ST MARY'S CHURCH HAMPTON
Notes to the Financial Statements
For the year ending 31 December 2020
Accounting Policies
Basis of preparation
The PCC is a public benefit entity within the meaning of FRS102. The financial statements have been prepared under the Charities Act 2011 and in accordance with the Church Accounting Regulations 2006 governing the individual accounts of PCCs, and with the Regulations’ “true and fair view” provisions, together with FRS102 (2016) as the applicable accounting standards and the 2016 version of the Statement of Recommended Practice, Accounting and Reporting by Charities (SORP(FRS102)).
The financial statements have been prepared under the historical cost convention except for the valuation of investment assets and gifts in kind which are shown at fair value.
The financial statements include all transactions, assets and liabilities for which the PCC is responsible in law. They do not include the accounts of groups such as St Mary’s Drama Group and Hampton Bell Ringers which are not controlled by the PCC.
INCOMING RESOURCES
Recognition of income and endowments
These are included in the Statement of Financial Activities (SOFA) when:
-
the PCC becomes legally entitled to the use of the resources;
-
and inflow of economic benefit is probable;
-
and the monetary value can be measured with sufficient reliability.
Fundraising costs
Funds raised from events and trading activities (e.g. a fete) are reported gross in the SOFA – i.e., before any related costs that may have been deducted from the gross proceeds.
Grants and donations
Grants and donations are included in the SOFA when any pre-conditions preventing their use by the PCC have been met. For collections and planned giving this is when the funds are received.
Gift Aid, Tax claims, etc., on cash donations
Gift Aid and other tax claims are included in the SOFA at the same time as the cash donations to which they relate.
Gifts in kind
Gifts in kind are accounted for at a reasonable estimate of their fair value at the time of gift, if feasible, or else at the amount actually realised from their disposal.
Gifts in kind for sale to fund the PCC are included in the accounts at their estimated fair value at the date of gift, if feasible – or else recognised when sold by the charity.
Gifts in kind for the PCC’s own use are included in the SOFA as incoming resources at their fair value when receivable, and expensed as and when consumed in use. Gifts of fixed assets, if material, are included in the balance sheet at their fair value and expensed over the asset’s useful economic life.
Donated services and facilities
These are included in income (and at the same time in resources expended) at the estimated fair value to the PCC of the service or facility received.
Volunteer help
The value of any voluntary help received is not included in the accounts but is described in the trustees’ annual report.
Rental income
Rental income from the letting of the church and hall is recognised when the rental is due.
Investment income
This is included in the accounts when receivable.
Investment gains and losses
This includes any gain or loss on the sale of investments and any gain or loss resulting from revaluing investments to market value at the end of the year.
Page 3
Annual Accounts 2020
THE PAROCHIAL CHURCH COUNCIL OF ST MARY'S HAMPTON
Notes to the Financial Statements (continued)
For the year ending 31 December 2020
EXPENDITURE AND LIABILITIES
Liability recognition
Liabilities are recognised as soon as there is a legal or constructive obligation and settlement is probable and quantifiable.
Governance costs
Include costs of the preparation and examination of statutory accounts, the costs of trustee meetings and cost of any legal advice to trustees on governance or constitutional matters.
Grants payable without performance conditions
These are recognised in the accounts when a commitment has been made externally and there are no pre-conditions still to be met for entitlement to the grant which remain within the control of the PCC.
ASSETS
Consecrated and benefice property
In so far as consecrated and benefice property of any kind is excluded from the statutory definition of “charity” by Section 10(2) (a) and (c) of the Charities Act 2011 such assets are not capitalised in the financial statements.
Moveable church furnishings
These are capitalised at cost and depreciated over their useful economic life other than where insufficient cost information is available. In this case the item is not capitalised, but all items are included in the Church’s inventory in any case.
Tangible fixed assets for use by charity
These are capitalised if they can be used for more than one year, and cost at least £1,500. They are valued at cost or else, for gifts-in-kind, at a reasonable estimate of their open market value on receipt.
Depreciation is calculated to write off the capitalised cost of fixed assets less their currently anticipated residual fair value over their estimated useful lives as follows: Land Nil Buildings 100 years Fixtures & Fittings 20 years Office and audio-visual Equipment 4 years
Investments
Investments quoted on a recognised stock exchange or whose value derives from them are valued at market value at the year end. Other investment assets are included at trustees’ best estimate of market value.
Trading Stocks
These are valued at the lower of cost (or gift value) or year end fair value.
Short term deposits
Include cash held on deposit either with the CBF Church of England Funds or at the bank.
FUNDS
Unrestricted Funds
These represent the income funds of the PCC that are available for spending on the general purposes of the PCC, including amounts designated by the PCC for fixed assets for its own use or for spending on a future project and which are therefore not included in its ‘free reserves’ as disclosed in the trustees’ report.
Restricted Funds
These are income funds that must be spent on restricted purposes and details of the funds held and restrictions provided are shown in the notes to the accounts.
Annual Accounts 2020
Page 4
Notes to the Financial Statements (continued)
For the year ending 31 December 2020
THE PAROCHIAL CHURCH COUNCIL OF ST MARY'S HAMPTON
Income and Endowments are analysed in Note 1.
Expenditure is analysed in Note 2.
Fixed Assets
As explained above, all assets used by the church that are classified as consecrated, beneficed or inalienable (including the church land and buildings and fixtures in them) are not listed in these accounts. The Church Hall and Office and Audio-visual equipment are treated as listed above and are analysed in Note 7.
Net assets by fund are analysed in Note 11.
PCC Funds
a) Lloyds & Barclays Bank Current Accounts
These are used for the day-to-day running of the church.
b) CBF Church of England Deposit Fund (PCC Funds) (1D)
This fund contains funds designated by the PCC, free reserves and funds for extraordinary items.
c) CBF Church of England Deposit Fund (Fabric Fund etc) (4D)
The PCC operates the following funds held on deposit in this account: Fabric Fund for capital works on the Church and Hall. Churchyard Account for the maintenance of the churchyard. Bells Appeal Rosoman Tomb Fund for the maintenance of the Rosoman Tomb. Herbert Broome Fund for the support of children in church. Choir Trust for raising the standard of the choir including development of the children. Annett’s Bequest for the support of Hampton Bell ringers. Pastoral Care Fund for the pastoral care of older folk. Mandimba Fund for supporting the link with St Paul’s in Mandimba, Mozambique. John Greg Tomb Fund for the upkeep and maintenance of this grade II listed tomb. Picture Restoration Fund for the restoration of a copy of The Madonna da Foligno. These are all analysed in Note 12(b).
d ) Other Accounts
These accounts contain the gross income and expenditure of the funds administered separately for the Hall, Fête and Parish Link.
Payments to and by Members of the PCC are given in Notes 5(b) and 5(c).
Governance Costs are analysed in Note 4.
Charitable Grants and Donations are listed in Notes 13 and 14.
Debtors are analysed in Note 8.
Creditors are analysed in Note 9.
Contingent Liabilities : in the opinion of the PCC there were none at 31 December 2020.
Annual Accounts 2020
Page 5
Notes to the Financial Statements (continued)
For the year ending 31 December 2020
THE PAROCHIAL CHURCH COUNCIL OF ST MARY'S HAMPTON
1 INCOME AND ENDOWMENTS
| 1(a) Voluntary income Planned giving: Gift Aid donations Tax recoverable Other planned giving Collections (open plate) GASDS Other Gift Aid donations Tax recoverable Donations, appeals etc. Tax recoverable Legacies Grants 1(b) Activities for Generating Income Church Hall lettings etc. Fȇte and Fayre Parish Magazine (advertising) Churchyard Maintenance 1(c) Income from investments Interest: CBF Deposit Funds London Missional Housing Bond 1(d) Income from Church Activities Fees for weddings and funerals Other 1(e) Other TOTAL INCOME |
Unrestricted Funds £ 120,980 30,245 5,918 1,332 333 14,116 3,529 3,708 200 12,000 47,031 239,392 12,740 0 0 1,018 13,758 1,818 0 1,818 1,638 |
Restricted £ 0 0 0 521 0 0 0 7,634 1,055 0 0 9,210 0 0 0 0 0 101 0 101 0 |
2020 2019 £ £ 120,980 127,514 30,245 31,878 5,918 3,944 1,854 8,821 333 2,041 14,116 14,747 3,529 3,687 11,342 12,340 1,255 2,526 12,000 838 47,031 130 248,602 208,465 12,740 26,180 0 3,674 0 4,185 1,018 971 13,758 35,010 1,919 3,786 0 365 1,919 4,151 1,638 3,508 TOTAL FUNDS |
2020 2019 £ £ 120,980 127,514 30,245 31,878 5,918 3,944 1,854 8,821 333 2,041 14,116 14,747 3,529 3,687 11,342 12,340 1,255 2,526 12,000 838 47,031 130 248,602 208,465 12,740 26,180 0 3,674 0 4,185 1,018 971 13,758 35,010 1,919 3,786 0 365 1,919 4,151 1,638 3,508 TOTAL FUNDS |
|---|---|---|---|---|
| 46 1,684 5,788 262,439 |
0 0 0 9,311 |
46 1,684 5,788 271,751 |
489 3,997 620 252,243 |
Page 6
Annual Accounts 2020
Notes to the Financial Statements (continued)
For the year ending 31 December 2020
THE PAROCHIAL CHURCH COUNCIL OF ST MARY'S HAMPTON
2. EXPENDITURE
----- Start of picture text -----
Unrestricted Restricted TOTAL FUNDS
2020 2019
Note £ £ £ £
2(a) Church activities
Missionary and charitable giving:
Overseas 318 3,795 4,113 8,849
Home 1,000 671 1,671 15,065
1,318 4,466 5,784 23,914
Diocesan quota 111,000 0 111,000 108,000
Other ministry costs 1,936 0 1,936 2,676
Church running and maintenance 14,630 0 14,630 20,116
Education, Training & Mission 1,830 278 2,108 3,610
Salaries and wages 5 69,183 0 69,183 53,735
Office Expenses 2,888 0 2,888 4,677
Upkeep of churchyard 795 174 969 1,351
Parish Magazine Costs 7 0 7 4,171
Hall running costs 7,464 0 7,464 13,526
Church major works 306,353 7,558 313,911 2,555
Hall - major works 12,449 0 12,449 1,000
Depreciation on equipment 16,624 0 16,624 753
Depreciation on property 2,541 0 2,541 2,541
Equipment (church & office) 2,293 0 2,293 510
Governance Costs 4 1,200 0 1,200 1,144
Other 650 0 650 17,817
553,161 12,476 565,637 262,098
2(b) Raising Funds
Stewardship envelopes 68 0 68 66
Fete and Fayre 20 0 20 784
88 0 88 850
TOTAL EXPENDITURE 553,248 12,476 565,724 262,948
----- End of picture text -----
3. ALLOCATION OF SUPPORT COSTS
The support costs have been allocated in their entirety to the unrestricted expenditure (church running).
4. GOVERNANCE COSTS
| PCC costs Independent Examiner's fee Adjustment for 2018 accrual 5. STAFF COSTS 5(a) Gross Wages and salaries Pension Costs Less Furlough Grants |
2020 £ 0 1,200 0 1,200 |
2019 £ 14 1,200 (70) 1,144 2019 £ 52,891 844 53,735 0 53,735 |
|---|---|---|
| 2020 £ 68,047 1,136 |
||
| 69,183 (2,171) |
||
| 67,012 |
During the year the PCC employed a Youth Pastor, Parish Manager, Organist and Parish Administrator (all these part-time) and a full time Children and Families Pastor. There were also three Hall cleaners. No Employer's National Insurance was paid.
No employee received total emoluments above £60K. The Government provided £2,171 in Furlough Grant.
Page 7
Annual Accounts 2020
Notes to the Financial Statements (continued)
For the year ending 31 December 2020
THE PAROCHIAL CHURCH COUNCIL OF ST MARY'S HAMPTON
5(b) PAYMENTS TO PCC MEMBERS AND THEIR FAMILIES
Mr D Pimm is a member of the PCC and was paid £5,105 (2019: £4,980) as church organist and choirmaster. This payment was made in accordance with the Charities Act 2006, the Church Representation Rules and the PCC Powers (1956) as amended. No pension contributions or any other benefits were paid. No other member of the PCC was employed by the PCC.
Book grants were paid to Rev'd B Lovell £400 (2019: £400) and Mrs R Cumberland £50 (2019: £50). Mr N Neilan, husband of PCC member Mrs H Neilan, was employed part time as a Youth Pastor. His total pay, including pension contributions, was £12,955 (2019:£12,531).
No other payments or expenses were paid to any other PCC member, persons closely connected to them or related parties.
5(c) DONATIONS BY PCC MEMBERS AND THEIR FAMILIES
These amounted, when Gift Aid is included, to £83,921 (2019: £78,318).
6 ANALYSIS OF TRANSFER BETWEEN FUNDS
There were no transfers between restricted and unrestricted funds during the year.
7. FIXED ASSETS
| Tangible Cost Cost at 1 January 2020 Additions at cost Cost at 31 December 2020 Depreciation Accumulated depreciation at 1 January 2020 Depreciation charge for the year Accumulated depreciation at 31 December 2019 Net Book Value at 31 December 2020 Net Book Value at 31 December 2019 |
Audio -Visual Equipment 0 63,482 63,482 0 15,871 15,871 47,612 0 |
Office Equipment £ 3,013 0 3,013 2,260 753 3,013 0 753 |
Land £ 670 0 670 0 0 0 670 670 |
Hall Building £ 308,770 0 308,770 96,880 2,541 99,421 209,349 211,890 |
Total £ 312,453 63,482 375,935 99,140 19,165 118,305 257,631 213,313 |
|---|---|---|---|---|---|
St Mary's Church Community Hall
The Hall is owned by the London Diocesan Fund and the PCC are Management Trustees. The carrying value has been calculated using the Historical Cost convention. The Hall buildings are depreciated over 100 years and the lift over 20 years. In 2020 the Hall was fully insured for: Building £736,660 and Contents £56,126.
(The church and its contents are not part of the PCC's fixed assets but were fully insured in 2020 by the PCC for: Building £14,225,073 and Contents £438,696).
8. CURRENT ASSETS
8(a) Debtors (Unrestricted Funds)
| General Fund HM Revenue & Customs Gift Aid Castle Water Oasis Payments in Advance PCC Funds (1D) Listed Places of Worship Grant Hall Payments in advance |
£ 2020 22,496 35 18 597 23,146 47,031 70,177 0 70,177 |
£ 2019 37,189 597 37,786 0 37,786 0 37,786 |
|---|---|---|
Page 8
Annual Accounts 2020
THE PAROCHIAL CHURCH COUNCIL OF ST MARY'S HAMPTON
Notes to the Financial Statements (continued)
For the year ending 31 December 2020
----- Start of picture text -----
£ £
8(b) Debtors (Restricted Funds) 2020 2019
HM Revenue & Customs
Gift Aid
Various funds in CBF 4D Deposit a/c 1,225 2,309
Special Collections/Appeals 30 230
1,255 2,539
----- End of picture text -----
| 9. LIABILITIES 9(a) Amounts falling due within one year (Unrestricted Funds) General Fund Gas and electricity accruals 909 Independent Examiner's fee accrual 1,200 Income in advance 489 Special Items Rich in Years 24 Bookstall 119 Retirement Gift 180 PCC Funds (Architect's Fees) 8,153 PCC Funds (Final AV invoice) 2,868 Hall Returnable deposits 700 Accruals 681 Income in advance 428 Magazine Income in advance |
£ 2020 2,598 323 11,021 1,809 2,817 18,567 |
£ 2019 3,136 158 2,463 0 5,757 |
|---|---|---|
9(b) There are no liabilities falling due after one year.
10. SUMMARY OF FUND MOVEMENTS
| Account General Account PCC Funds CBF Fund 4D: Fabric Fund Churchyard Bells Appeal Rosoman Tomb H Broome Bequest Choir Trust Annett's Bequest Pastoral Care Mandimba Fund John Greg Tomb Picture Restn Fund Hospitality Fund Oasis Fund Fȇte Hall Magazine Fixed Assets* |
Unrestricted Restricted £ £ 65,163 0 435,210 135 3,926 5,022 (596) 753 0 0 0 599 0 1,147 0 1,134 0 217 0 190 6,548 5,107 0 4,751 0 10,038 29 0 0 0 407 0 45,529 0 14 0 213,313 0 769,544 29,093 Brought forward from 31/12/19 |
Unrestricted Restricted £ £ (26,718) 0 (297,435) (135) (3,926) (5,022) 524 (171) 0 828 0 0 0 (0) 0 (103) 0 1 0 1 (298) 1,415 0 0 0 23 (49) 0 491 0 (20) 0 (7,688) 0 (7) 0 44,318 0 (290,809) (3,164) net movement of funds +/- 2020 |
Unrestricted Restricted £ £ 38,445 0 137,774 0 0 0 (72) 582 0 828 0 599 0 1,147 0 1,031 0 218 0 190 6,250 6,521 0 4,751 0 10,061 (20) 0 491 0 387 0 37,841 0 7 0 257,631 0 478,734 25,929 Balance at 31/12/20 |
|---|---|---|---|
| Unrestricted £ 38,445 137,774 |
|||
| 0 (72) 0 0 0 0 0 0 6,250 0 0 (20) 491 387 37,841 7 257,631 478,734 |
*See note 7.
Page 9
Annual Accounts 2020
Notes to the Financial Statements (continued)
For the year ending 31 December 2020
THE PAROCHIAL CHURCH COUNCIL OF ST MARY'S HAMPTON
11. ANALYSIS OF NET ASSETS BY FUND
| Unrestricted Fund £ Long Term Loan Missional Housing Loan 0 Short Term Deposits Church of England Deposit Funds: 1D (PCC Funds) 98,774 3D (Community Hall) 32,005 4D (Fabric Fund etc) 6,178 136,956 Cash at banks and in hand Lloyds/Barclays Banks 21,682 Parish magazine 2,824 Hall 13 7,645 Fȇte 387 32,538 Other current assets 70,177 Fixed Assets 257,631 Current liabilities (18,567) Fund Balance 478,734 |
Restricted Fund £ 5,365 0 0 25,106 25,106 (5,797) 0 0 0 (5,797) 1,255 0 0 25,929 |
Total £ 2020 5,365 98,774 32,005 31,284 162,062 15,885 2,824 7,645 387 26,741 71,432 257,631 (18,567) 504,663 |
Total £ 2019 5,365 460,294 31,869 17,981 510,144 18,703 14 16,124 407 35,248 40,325 213,313 (5,757) 798,637 |
|---|---|---|---|
Page 10
Annual Accounts 2020
THE PAROCHIAL CHURCH COUNCIL OF ST MARY'S HAMPTON
Notes to the Financial Statements (continued)
For the year ending 31 December 2020
12(a).
GENERAL FUND (unrestricted/restricted funds)
----- Start of picture text -----
EXPENDITURE 2020 2019 INCOME 2020 2019
£ £ £ £ £
Diocesan Expenses Planned Giving 126,898 131,457
Common Fund 111,000 108,000 Gift Aid on above 30,245 31,878
Clergy Expenses
Vicar's expenses 836 1,532
Readers' expenses 330 330 Ad hoc Gift Aid 366 2,029
Other Clergy 21 178 Gift Aid on above 91 507
1,187 2,041
Staff Training 0 0
Cost of Services 3,388 1,601 Collections 1,332 7,938
Church Music Gift Aid on above 333 2,041
Organist 5,105 4,980
Organ maintenance 1,185 1,657 159,265 175,851
Music/licences etc. 535 466
Visiting organist 80 380 Gift Aid for 2019 income 23
Choir 220 196
Worship Band 50 1,450 Government Furlough Grant 2,171 0
7,175 9,128 MTV payment for staff costs 3,026 0
Utilities, Insurance etc
Gas 2,486 3,524 Weddings 274 1,815
Electricity 1,490 1,792 Funerals 1,364 1,693
Water 62 70
Insurance 4,716 4,547 Donations (non GA) 1,445 1,050
Cleaning 118 363
8,873 10,295 Donations 13,750 12,718
Administration Gift Aid on above 3,438 3,180
Administrative Staff 19,031 16,077
Office Supplies 329 763
Communications 2,479 3,401 Easyfundraising 63 144
Office Equipment 35 510
Stewardship Envelopes 68 66 Sundry Income 32 375
Other Office 80 513
Office Cleaning 151 358 Special Events 0 489
22,172 21,687
Governance Transfers from:
Examiner fees 1,200 1,130 PCC funds (1D) for
PCC expenses 0 14 Children's Pastor 14,000 4,000
1,200 1,144 Christmas Fayre 0 986
Youth/Children 1,755 2,246 Parish Magazine 0 0
Youth/Children (Restricted) 171 39
Children and Youth Staff 44,047 32,679 Broome Bequest 35 9
Publicity & Evangelism 48 1,325 (restricted)
Discipleship 0 0 Youth Work (restricted) 136
Maintenance 5,538 2,090 Churchyard 1,000 750
Donations 0 97
Sundries 438 446 Hall 0 9,000
Vicarage expenses 750 636
Transfer to Donations Reserve (Note 14) 19,000 18,900
226,740 212,354
(Deficit) for 2020 and 2019 (26,718) (294)
200,022 212,060 200,022 212,060
Surplus b/fwd from 2019 65,163
(Deficit) for 2020 (26,718)
Total surplus c/fwd to 2021 38,445
----- End of picture text -----
Page 11
Annual Accounts 2020
Notes to the Financial Statements (continued)
For the year ending 31 December 2020
THE PAROCHIAL CHURCH COUNCIL OF ST MARY'S HAMPTON
12(b)
CBF Church of England Deposit Fund (4D) (unrestricted/restricted funds)
| Total Funds | Total Funds | ||||||
|---|---|---|---|---|---|---|---|
| Unrestricted | Restricted | 2020 | 2019 | ||||
| £ | £ | £ | £ | ||||
| Fabric Fund | 0 | 0 | 0 | 8,948 | |||
| Churchyard Fund | (72) | 582 | 510 | 157 | |||
| Mandimba Fund | 6,250 | 6,521 | 12,772 | 11,655 | |||
| Picture Restoration Fund | 0 | 10,061 | 10,061 | 10,038 | |||
| Pastoral Care Fund | 0 | 190 | 190 | 190 | |||
| Bells Appeal Fund | 0 | 828 | 828 | 0 | |||
| Annett's Bequest (The Bell Ringers' Fund) | 0 | 218 | 218 | 217 | |||
| Broome Bequest Fund | 0 | 1,147 | 1,147 | 1,147 | |||
| Choir Trust Fund | 0 | 1,031 | 1,031 | 1,134 | |||
| John Greg Tomb Fund | 0 | 4,751 | 4,751 | 4,751 | |||
| Rosoman Tomb Fund | 0 | 599 | 599 | 599 | |||
| 6,178 | 25,929 | 32,107 | 38,836 | ||||
| FABRIC FUND | |||||||
| (Unrestricted/Restricted Fund) | |||||||
| Closing funds in CBF Deposit Fund (4D) | |||||||
| £ Transfer to 1D for Restoration Work |
£ | By Balance brought forward Unrestricted |
£ £ 3,926 |
||||
| Unrestricted | 3,926 | Restricted | 5,022 8,948 |
||||
| Restricted | 7,558 | ||||||
| To Balance carried forward | Donations (Restricted) | 2,500 | |||||
| Unrestricted | 0 | Interest | Unrestricted | 0 | |||
| Restricted | 0 | Restricted | 36 36 |
||||
| 11,484 | 11,484 | ||||||
| PICTURE RESTORATION FUND | |||||||
| (Restricted Fund) | |||||||
| Set up in 2019 with a legacy from | Miss Cooper | for the | restoration of | the picture which is a copy of the Madonna | da Foligno | ||
| Closing funds in CBF Deposit Fund (4D) | |||||||
| To Balance carried forward | 10,061 | By Balance brought forward Interest |
£ 10,038 23 |
||||
| 10,061 | 10,061 | ||||||
| CHURCHYARD FUND | |||||||
| (Unrestricted/Restricted Fund) | |||||||
| Closing funds in CBF Deposit Fund (4D) | |||||||
| Rent Charge to Hampton School | £ | £ 4 |
By Balance brought forward Unrestricted |
£ £ (596) |
|||
| (Restricted) | Restricted | 753 157 |
|||||
| Hire of Council wheelie bin | 50 | ||||||
| (Restricted) | London Borough of Richmond | ||||||
| Churchyard Upkeep (Restricted) | 120 | Grass cutting (Unrestricted) | 993 | ||||
| New Mower (Unrestricted) | 615 | Sale of Old Mower (Unrestricted) | 25 | ||||
| Irons for Benches (Unrestricted) | 180 | Donations for Benches Gift Aid on above |
1,100 200 1,300 |
||||
| Transfer to General Account | 1,000 | ||||||
| To Balance carried forward | Interest | Unrestricted | 1 | ||||
| Unrestricted | (72) | Restricted | 3 4 |
||||
| Restricted | 582 | ||||||
| 2,479 | 2,479 |
Page 12
Annual Accounts 2020
THE PAROCHIAL CHURCH COUNCIL OF ST MARY'S HAMPTON
Notes to the Financial Statements (continued)
For the year ending 31 December 2020
BELLS APPEAL FUND
(Restricted Fund)
Set up in 2020 for the restoration of the bells. Closing funds in CBF Deposit Fund (4D) £
| Closing funds in CBF Deposit Fund (4D) £ Opening Balance Donations Gift Aid on above To Balance carried forward 828 Interest 828 ROSOMAN TOMB FUND (Restricted Fund) Money originally provided in 1989 for the upkeep of the tomb. Closing funds are held as part of a Missional Housing Loan £ To Balance carried forward 599 By Balance brought forward 599 HERBERT BROOME BEQUEST FUND (Restricted Fund) Provides for the support and continuance of Sunday Schools attached to the Church and for the purchase of prizes and awards. Funds held in CBF Deposit Fund (4D) £ Transfer to General Account 35 By Balance brought forward Donation from School of Industry To Balance carried forward 1,147 Interest 1,182 |
£ 0 700 125 825 3 828 £ 599 599 £ 1,147 30 5 1,182 |
|---|---|
CHOIR TRUST FUND (Restricted Fund)
The fund is devoted to raising the standard of the choir including supporting and developing the talent of the children.
Closing funds held in CBF Deposit Fund (4D)
| £ RSCM Membership Fees 107 By Balance brought forward To Balance carried forward 1,031 Interest 1,138 TRUSTEES OF ANNETT'S BEQUEST (THE HAMPTON BELL RINGERS' FUND) (Restricted Fund) Funds held at CBF Deposit Fund (4D) £ Payment to Bell Ringers* 0 By Balance brought forward To Balance carried forward 218 Interest 218 |
£ 1,134 4 1,138 £ 217 1 218 |
|---|---|
- The annual payment to the ringers has traditionally been made up to £50 by a supplementary payment from the PCC
PASTORAL CARE FUND (Restricted Fund)
This fund was created by a legacy of £5,000 left by Mr R Phillips in 2005 to St. Mary's Church for the Pastoral Care of older folk.
| To Balance carried forward | £ By Balance brought forward 190 Interest 190 |
£ 190 1 190 |
|---|---|---|
Page 13
Annual Accounts 2020
Notes to the Financial Statements (continued)
THE PAROCHIAL CHURCH COUNCIL OF ST MARY'S HAMPTON
For the year ending 31 December 2020
MANDIMBA FUND (Unrestricted/Restricted Fund)
This fund was created to further the aims stated to the PCC:a) to deepen our understanding of life in a developing country b) to establish a partnership with the local church and c) to offer any practical help we can. Closing funds in CBF Deposit Fund (4D)
| £ | £ | £ | £ | ||
|---|---|---|---|---|---|
| By Balance brought forward | |||||
| Good Seeds (Restricted) | 3,688 | Unrestricted | 6,548 | ||
| Other (Restricted) | 107 | Restricted | 5,107 | 11,655 | |
| Nursing Fees (Unrestricted) Other (Unrestricted) |
190 128 |
Various donations (Restricted) Donations (Good Seeds) Gift Aid on above |
4,271 900 |
13 5,171 |
|
| To Balance carried forward Unrestricted Restricted |
6,250 6,521 |
12,772 | Interest Unrestricted Restricted |
21 25 |
46 |
| 16,885 | 16,885 |
JOHN GREG TOMB (Grade II listed) FUND (Restricted Fund)
This fund was created in 2007 with donations sent in memory of a relative of John Greg to assist in the upkeep of the tomb.
| Closing funds are held as part | of a Missional Housing Loan | of a Missional Housing Loan | ||
|---|---|---|---|---|
| To Balance carried forward | £ 4,751 By Balance brought forward |
£ 4,751 |
||
| 4,751 | 4,751 | |||
| PCC FUNDS | ||||
| (Restricted/Unrestricted Fund) | ||||
| Closing Funds in CBF Deposit | Fund (1D) | |||
| Restoration Work | £ £ |
By Balance brought forward | £ | £ |
| Plastering & Redecorating | 145,150 | Unrestricted | 435,210 | |
| Mural | 17,934 | Restricted | 135 | 435,345 |
| Flooring | 36,050 | |||
| Lighting | 63,289 | Legacy (Joan Chapman) | 12,000 | |
| Audio-Visual | 60,699 | |||
| Furniture | 15,929 | |||
| Architect | 16,419 | Transfer from General a/c for | ||
| Electrics | 14,128 | 2020 Donations | 19,000 | |
| Miscellaneous | 5,012 374,610 |
|||
| Pastoral Grant | 1,000 Donation for Pastoral Work |
1,000 | ||
| Transfer to General a/c for Youth Work | 136 | |||
| Transfer to General a/c for Children's | Transfer from Fabric Fund for Restoration Work | 11,484 | ||
| Pastor | 14,000 | |||
| To Balance carried forward | LPoWS Grant (accrued) | 47,031 | ||
| Unrestricted Restricted |
137,774 Interest Unrestricted 0 137,774 Restricted |
1,660 . 0 |
1,661 | |
| 527,520 | 527,520 |
Page 14
Annual Accounts 2020
Notes to the Financial Statements (continued)
For the year ending 31 December 2020
THE PAROCHIAL CHURCH COUNCIL OF ST MARY'S HAMPTON
Hospitality Fund
(Unrestricted Fund)
| Hospitality Fund (Unrestricted Fund) |
||||
|---|---|---|---|---|
| Closing Funds in Lloyds Bank | ||||
| £ | £ | |||
| Beverages etc | 194 | By Balance brought forward | 29 | |
| Gift | 18 | Donations | 163 | |
| To Balance carried forward | (20) | |||
| 193 | 193 | |||
| Oasis Fund | ||||
| (Unrestricted Fund) | ||||
| Closing Funds in Lloyds Bank | ||||
| Expenses | £ 28 |
Opening Deposit | £ 473 |
|
| To Balance carried forward | 491 | Subscriptions | 46 | |
| 519 | 519 | |||
| 13. SPECIAL COLLECTIONS AND DISBURSEMENTS ACCOUNT (Restricted Funds) | ||||
| DISBURSEMENTS | COLLECTIONS/INCOME | |||
| Children's Society. | £ 229 |
Collections at Christingle service | £ 229 |
|
| Lent Appeal | 150 | for Children's Society Lent Appeal |
Donations | 120 |
| Women's World Day of Prayer | 292 | Gift Aid Women's World Day of Prayer |
30 292 |
|
| 671 | 671 |
14. DONATIONS PAID
No donations were made in 2020 but £19,000 was provided for donations which will be decided early in 2021.(2019: £18,900 was provided for donations.)
In the previous year, the following donations were made from funds set aside as follows: £2,500 in 2017, £17,000 in 2018 and £500 in 2019.
| MTV Youth Hampton St Richard's Church Open Doors TearFund Mandimba Fund (transfer) Pastoral Work (transfer) |
£3,500 £10,000 £2,000 £2,000 £2,000 £500 £20,000 |
|---|---|
And in 2019 £18,900 was provided for donations which were to be decided early in 2020.
Page 15
Annual Accounts 2020
INDEPENDENT EXAMINER'S REPORT TO THE MEMBERS OF THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH CHURCH OF ST MARY'S HAMPTON (REGISTERED CHARITY 113376BI I report lo the Member on rny examination ofthe accounts of the Parochol Churrh Coun¢il of the Parish Church of Sl Mary's Hampton IPCCI for the year ended 31 December 2020 sel OLrt on pages 1 to 15. This report on the accounts of the PCC for the year ended 31 December 2020 is in respect of an eminatI{l carried out under the Church Attouniing RegUtionS 20061'the Regulalionsl and Ihe ChariliesAct 2011 Ith8 2011 Acll. ResponsibIle$ and ba818 ol report As the members of PCC you are respLS11e for the preparation of the accoun15 in acurdance v*lh the requirements of the ChariliesAcl 20111'lhe Ath'l. I report in respect ol my examination of the PCC'S attounls cArried out under section 145 of the 2011 Act and in carrying out rny examination I h8ve followed all the applicable Directions given by the Charity CoTnmis%on under section 14515llbl of the 2011 Act. The charity's gross income exceeded £250,000 and l am gu81ified lo und8rtak8 the ex8minaton by being 8 qu81ified member ol the Institute of Cttartered Certified Accts. Independent 8xamlne¢s statement I have completed my exarninalion. I confitm that no material matters have come lo rny attention in connecbon wtt) the examination giving tne cause to lieve that in any material r8sp6¢t. acwunling records were not kept in respect of the PCC as required by sectson 130 of theAct.' or the accounts do rtot aGcord those accounting records." or the accounts do nol COmpth the applicablè rèquirements conceming the fomi and content of accounts sel OLrt in the Charities (Accounts and Reports) Regulations 2008 other than any requirementthalthe accounts give a'tru8 and fair view which is Mt a matter considered as part of an independentexaTnination. I have no concems and have come 8cross no other matters in connection vitth the exatninalion lo attention should b8 drawn In this report in er lo enable a proper understanding of the accounts lo b8 reached. Andrea L bble FCCA A KActounling Solubons Limited Chartered Certified Accwnlants Minsltr House 126a High Street, Whitton Twckenham Middlèsex T4N2 7LL 16 March 2021 Page 16 AnnualAcunIts 2020
INDEPENDENT EXAMINER'S REPORT TO THE MEMBERS OF THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH CHURCH OF ST MARY'S HAMPTON (REGISTERED CHARITY 113376BI I report lo the Member on rny examination ofthe accounts of the Parochol Churrh Coun¢il of the Parish Church of Sl Mary's Hampton IPCCI for the year ended 31 December 2020 sel OLrt on pages 1 to 15. This report on the accounts of the PCC for the year ended 31 December 2020 is in respect of an eminatI{l carried out under the Church Attouniing RegUtionS 20061'the Regulalionsl and Ihe ChariliesAct 2011 Ith8 2011 Acll. ResponsibIle$ and ba818 ol report As the members of PCC you are respLS11e for the preparation of the accoun15 in acurdance v*lh the requirements of the ChariliesAcl 20111'lhe Ath'l. I report in respect ol my examination of the PCC'S attounls cArried out under section 145 of the 2011 Act and in carrying out rny examination I h8ve followed all the applicable Directions given by the Charity CoTnmis%on under section 14515llbl of the 2011 Act. The charity's gross income exceeded £250,000 and l am gu81ified lo und8rtak8 the ex8minaton by being 8 qu81ified member ol the Institute of Cttartered Certified Accts. Independent 8xamlne¢s statement I have completed my exarninalion. I confitm that no material matters have come lo rny attention in connecbon wtt) the examination giving tne cause to lieve that in any material r8sp6¢t. acwunling records were not kept in respect of the PCC as required by sectson 130 of theAct.' or the accounts do rtot aGcord those accounting records." or the accounts do nol COmpth the applicablè rèquirements conceming the fomi and content of accounts sel OLrt in the Charities (Accounts and Reports) Regulations 2008 other than any requirementthalthe accounts give a'tru8 and fair view which is Mt a matter considered as part of an independentexaTnination. I have no concems and have come 8cross no other matters in connection vitth the exatninalion lo attention should b8 drawn In this report in er lo enable a proper understanding of the accounts lo b8 reached. Andrea L bble FCCA A KActounling Solubons Limited Chartered Certified Accwnlants Minsltr House 126a High Street, Whitton Twckenham Middlèsex T4N2 7LL 16 March 2021 Page 16 AnnualAcunIts 2020