St Leonard’s Church Chesham Bois
TRUSTEES’ ANNUAL REPORT & ACCOUNTS For the Year Ended 31[st] December 2025
Registered Charity Number 1134113
Contents
Trustees’ Annual Report Pages 1-10 Independent Examiner’s Report Page 11 Statement of Financial Activities Pages 12-22
ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
ST LEONARD’S CHURCH, CHESHAM BOIS
TRUSTEES’ ANNUAL REPORT FOR THE YEAR ENDED 31[st] DECEMBER 2025
REGISTERED CHARITY 1134113
OBJECTIVES & ACTIVITIES
The primary object of the PCC is the promotion of the Gospel of our Lord Jesus Christ according to the doctrines and practices of the Church of England.
The PCC has the responsibility of co-operating with the incumbent in promoting in the ecclesiastical parish the whole mission of the Church, pastoral, evangelistic and social.
We focus on Jesus because he defines our identity. The Father shows us what to do, we trust him in all circumstances and we expect to see the Kingdom manifest. We seek to maintain the values, vision and mission of the Parish.
Quinquennial inspection repairs are normally addressed along with other items including ongoing maintenance items.
The PCC also has ongoing maintenance responsibility for the Parish Centre and 19 Stubbs End Close (1st January - 31st August).
CHURCH ACTIVITIES
January - December Sunday 10.30am Family Celebration in Church (online and in person) 7.00pm Encounter (Fortnightly) in Church
A variety of other meetings and youth and children’s activities took place during the week including other services, fellowship groups and young people’s and children’s meetings as below.
Youth and Children’s activities Home groups Training Prayer groups
We rely very heavily upon and are indebted to the voluntary effort and resources of our membership, particularly those who support the youth minister and children’s minister/co-ordinator to run all the activities on Sundays as well as during the week. We are also grateful for the voluntary effort of the teams that perform many and varied tasks in and around the parish. We continue to provide online services to those who are unwell, receiving treatment or who are away from the parish.
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ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
PUBLIC BENEFIT
The PCC has referred to the guidance in the Charity Commission’s General Guidance on Public Benefit when reviewing its aims and objectives and in planning its future activities. In particular the PCC considers how planned activities will contribute to the aims and objectives it has set.
The Church of St. Leonard’s Chesham Bois has a public duty and charge to the ‘cure of souls’ for the associated ecclesiastical parish. The overall ministry and work of the PCC, the clergy and staff routinely embraces this charge. All services and the majority of activities are accessible and open to our local and wider community with the sermons also available online. As an Anglican Church we serve parishioners through arranging baptism, funeral, and wedding ceremonies which includes wedding preparation. We recognise that in following Jesus it is possible to live in a community that not only builds up and strengthens our members but can also be a blessing to the wider community in which we live. Normal activities would include involvement and integration with Chesham Bois CE School, including curriculum support, pastoral support and school assemblies. The pupils also visit the church for services four times a year, Harvest, Christmas, Easter and end of year.
ACHIEVEMENTS & PERFORMANCE
The Electoral Roll was updated in April 2025 for the APCM and recorded 83 members.
In 2025 there were: -
| 6 | Baptisms |
|---|---|
| 0 | Dedications |
| 0 | Weddings |
| 3 | Funerals |
| 1 | Burial of ashes |
Our understanding is that as Christians, our life together is expressed in community and this is most readily realised in smaller group meetings beyond Sunday services. These groups are committed to realising in practice the values of the church. We have 5 adult home groups and 2 youth groups.
STAFF AND LEADERSHIP
The staff and leadership teams comprise:
| Laurie Clow Ruth Leach Alice Somervell Bekki Hadley Jonny Somervell Jackie Lambert Diana Wright Denise Kolb |
Rector Office Manager and Rector’s PA (January 2025 - July 2025) Freedom Prayer Coordinator Administrator and Events Coordinator Rector’s PA (August 2025- December 2025) Children & Families Worker (January 2025-May 2025) Worship Pastor/Youth Worship/Youth Pastor Licensed Lay Minister Prophet Parish Safeguarding Officer |
|---|---|
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ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
PCC
The PCC met 7 times during the year. The average level of attendance was 82%. Matters considered during the year are tabulated below.
Budgets and expenditure Health and Safety, Risk Assessments and Safeguarding Financial matters including CCT property rentals, staff costs Mission and our Kingdom Partners Children’s and Youth work Church Property Maintenance Staff Matters including office members PCC Committees Parish Centre redevelopment Parish Council Office rental in the parish centre Church weekend away One-off Financial gifts and support of Church members and other Churches, Budgets Parish Center hire Deanery Synod updates Church policies Culture Audit Policies LLM candidacy Stubbs End Close Licence Chesham Bois School Foundation Governor Vacancy
MISSION & TRAINING
The church membership were involved with the following activities during the course of the year: -
Seniors’ Ministry with other churches in Amersham Freedom Prayer Youth Ministry (including weekend away and Limitless) Junior Children’s’ Holiday Activities Homegroups
These and other activities are fully reported in the APCM Annual Report Booklet.
Page 5
ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
FINANCIAL REVIEW
The PCC accounts for the year 2025 are attached and have been duly examined and approved.
The accounts indicate a decrease in the level of income and expenditure in 2025 over 2024.
At the end of 2025 the overall normal expenditure is less than normal income.
The ongoing financial commitments of the PCC are related to the continued ministry of the church, its members and payment of employed staff that support them and to the maintenance and fabric of the buildings.
Until May 2025, one children and families worker was housed in 19 Stubbs End Close. Council tax for 19 Stubbs End Close was met by the PCC. This property is occupied by annual licence from the Chiltern Christian Trust, which ended 31 August 2025.
Due to the maintenance of the Church fabric and buildings the PCC paid the Parish Share until 30 September 2025.
RESERVES POLICY
In January 2021, the PCC set the General Fund reserve policy level at £60,000 following the annual review.
This was set at a suitable amount to cover general operational expenditure for three months excluding the Parish Share. However the operational costs have reduced since 2021.
At the end of 2025 the general unrestricted funds available to the PCC amounted to £43,328.73. The PCC recognises that this figure is below the stated reserve policy level, but considers the church viable.
Restricted Funds are those received by the PCC, subject to special conditions imposed by the donor. These funds may only be used for the particular purposes for which they were given.
Designated Funds are unrestricted fund that have been earmarked by the donor or PCC for specific future purposes or projects. While designated funds are not restricted, they are set aside to reflect the PCC’s intentions.
Page 6
ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
STRUCTURE, GOVERNANCE & MANAGEMENT
The Parochial Church Council (PCC) is a corporate body established by the Church of England. The PCC operates under the Parochial Church Council Powers Measure. The PCC became a registered charity with the Charity Commission on the 5[th] February 2010.
Members of the PCC are either ex-officio, elected by the Annual Parochial Church Meeting (APCM) or co-opted in accordance with the Church Representation Rules.
Policies and procedures for Health & Safety, Disability Discrimination legislation and Safeguarding are regularly reviewed. The PCC applies the Diocese of Oxford Safeguarding Policy and the Safeguarding Representative is Denise Kolb.
A review of the major risks was undertaken and a risk register with action plan exists and is held by the Office Manager.
Illustrative diagram showing the current structures, roles and responsibilities.
Page 7
ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
The PCC operated with two main committees in 2025
| Standing Committee Chair: Rector (January-August) Church Warden (September-December) Mission Committee Chair: Rector (January-May) On rotation (June-December) |
Standing Committee is the executive committee of the PCC. It has power to transact the business of the PCC between PCC meetings, subject to any parameters set by the Council including spending up to £400. Standing Committee shapes the agenda for PCC meetings. This committee oversees the mission support function of the Church, supporting individuals, societies and projects at home and overseas. It recommends the allocation of funds to the PCC and is responsible for the distribution of these monies. |
|---|---|
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ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
REFERENCE & ADMINISTRATIVE DETAILS
Full Name The Parochial Church Council of St. Leonard’s Chesham Bois Church Address High Bois Lane, Chesham Bois, Amersham, Buckinghamshire, HP6 6DG Correspondence The Church Office, Parish Centre, Glebe Way, Chesham Bois, Amersham, Address Buckinghamshire, HP6 5ND Bank Address TSB Bank, PO Box 373, Leeds, LS14 9GQ Independent David Steel Examiner Rector Revd Laurie Clow
MEMBERSHIP OF THE PAROCHIAL CHURCH COUNCIL DURING 2025
Rector (Chairman) Revd Laurie Clow Licensed Lay Ministers Jackie Lambert Churchwardens Alison Greenhalgh ~ Choi Van Rest ° PCC Secretary Gillian Hafner PCC Treasurer Samantha McEwen “ Diocesan Representatives Deanery Representatives Jackie Lambert Lay Representatives Elected 2021 Samantha McEwen “ 2022 Alan Lewis ~ 2023 Stephen Pimenta Gillian Hafner Paul Evans ~ Jennifer Sawyer ~ 2024 Paul Chiappetti 2025 Philip Crispin * Anna Rabindrakumar * Matthew Palmer * Daniel Stocker ^
~ Until 28[th] April 2025 * From APCM Meeting 28[th] April 2025 ^ From APCM Meeting 28[th] April 2025 until 12[th] January 2026 ° From APCM Meeting 28[th] April 2025 until 18[th] February 2026 “ Until 23[rd] February 2026
Page 9
ST LEONARtrS CHURCH. CHESHAM BOIS TRusfEES' REPORT&ACCOUNTS FOR THE YEAR ENDED 314t DECEMBER2025 INDEPENDENT EXAMINER'S REPORT TO THE PAROCHIAL CHURCH COUNCIL OF ST LEONARIYS CHURCH. CHESHAM BOIS Charlty number 1134113 Responsiblllties and basis of report I report to the tn15tees on my examination of the accounts of the above charty l*he Trusfl for the year ended 31 December 2025. A5 the charlty's trustees. you are reSnSible forthe preparation of the accounts In accordance with the requirements of the Charities Act 20111.the ACVI. I report in respect of my examination of the Trusvs accounts carried out under section 145 of the 2011 Act and in carryin8 Out my examination, I have followed all the applicable Directions given by the Char5ty Commission under section 14515llbl of the Art. Independent examlnerfs statement I have completed my examination. I confirm that no material matters have come to my attentwjn in connettion wf(h the examination which gwes me cause to believe that in. any material Spect.. the accounting records were not kept in accordance with section 130 of the Charities Act: or the accounts did not accord with the accounting records; or the accounts did not comply with the applicable requirements concerning the form and content of accounts Set out in the Charllles (Accounts and Reportsl Regulation5 2008 other than any requlrement that the accounts give a 'true and fail view which is not a matter considered as part of an independent examinatlon. I have no toncerns and have come ac ss no other matters in connection with the examination to which attention should be drawn in this report in er to enable a proper understanding of the accounts to be reached. Signe Date: Name: IfvID 9( Page 11
ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
STATEMENT OF FINANCIAL ACTIVITIES
| Unrestricted Designated Restricted funds funds funds Receipts 2(a) Incoming resources from donors 202,206.11 -239.75 5,145.00 2(b) Other voluntary incoming resources 38.05 - 2,921.45 2(c) Income from charitable and ancillary trading 2,270.00 8,986.53 - 2(d) Other ordinary incoming resources - - 2,562.20 2(e) Income from investments 3,240.54 - - 207,754.70 8,746.78 10,628.65 Payments 3(a) Grants 25.00 17,880.00 448.25 3(b) Activities directly relating to the work of the church 178,562.93 - 9,642.55 3(c) Costs of generating funds 418.88 18,064.63 - 179,006.81 35,944.63 10,090.80 28,747.89 -27,197.85 537.85 Transfers: - 27,849.93 8,411.15 -36,261.08 - - - - - - - - -7,513.19 652.08 8,949.00 50,841.92 55,560.03 3,365.00 43,328.73 56,212.11 12,314.00 Represented by Unrestricted General Fund 43,328.73 - - Designated Mission Fund - 6,212.11 - Parish Centre Build - 50,000.00 - Restricted Parish Centre Build - - 5,240.00 Events - - 7,074.00 43,328.73 56,212.11 12,314.00 Total funds Reconciliation of funds Total funds brought forward Total funds carried forward Gross transfers between funds - out Gains/losses on investment assets Gains on revaluation, fixed assets, charity's own use Net movement in funds Other recognised gains / losses Total expenditure Net income / (expenditure) resources before transfer Gross transfers between funds - in Total income For the period from 01 January 2025 to 31 December 2025 |
Unrestricted Designated Restricted funds funds funds Receipts 2(a) Incoming resources from donors 202,206.11 -239.75 5,145.00 2(b) Other voluntary incoming resources 38.05 - 2,921.45 2(c) Income from charitable and ancillary trading 2,270.00 8,986.53 - 2(d) Other ordinary incoming resources - - 2,562.20 2(e) Income from investments 3,240.54 - - 207,754.70 8,746.78 10,628.65 Payments 3(a) Grants 25.00 17,880.00 448.25 3(b) Activities directly relating to the work of the church 178,562.93 - 9,642.55 3(c) Costs of generating funds 418.88 18,064.63 - 179,006.81 35,944.63 10,090.80 28,747.89 -27,197.85 537.85 Transfers: - 27,849.93 8,411.15 -36,261.08 - - - - - - - - -7,513.19 652.08 8,949.00 50,841.92 55,560.03 3,365.00 43,328.73 56,212.11 12,314.00 Represented by Unrestricted General Fund 43,328.73 - - Designated Mission Fund - 6,212.11 - Parish Centre Build - 50,000.00 - Restricted Parish Centre Build - - 5,240.00 Events - - 7,074.00 43,328.73 56,212.11 12,314.00 Total funds Reconciliation of funds Total funds brought forward Total funds carried forward Gross transfers between funds - out Gains/losses on investment assets Gains on revaluation, fixed assets, charity's own use Net movement in funds Other recognised gains / losses Total expenditure Net income / (expenditure) resources before transfer Gross transfers between funds - in Total income For the period from 01 January 2025 to 31 December 2025 |
Unrestricted Designated Restricted funds funds funds Receipts 2(a) Incoming resources from donors 202,206.11 -239.75 5,145.00 2(b) Other voluntary incoming resources 38.05 - 2,921.45 2(c) Income from charitable and ancillary trading 2,270.00 8,986.53 - 2(d) Other ordinary incoming resources - - 2,562.20 2(e) Income from investments 3,240.54 - - 207,754.70 8,746.78 10,628.65 Payments 3(a) Grants 25.00 17,880.00 448.25 3(b) Activities directly relating to the work of the church 178,562.93 - 9,642.55 3(c) Costs of generating funds 418.88 18,064.63 - 179,006.81 35,944.63 10,090.80 28,747.89 -27,197.85 537.85 Transfers: - 27,849.93 8,411.15 -36,261.08 - - - - - - - - -7,513.19 652.08 8,949.00 50,841.92 55,560.03 3,365.00 43,328.73 56,212.11 12,314.00 Represented by Unrestricted General Fund 43,328.73 - - Designated Mission Fund - 6,212.11 - Parish Centre Build - 50,000.00 - Restricted Parish Centre Build - - 5,240.00 Events - - 7,074.00 43,328.73 56,212.11 12,314.00 Total funds Reconciliation of funds Total funds brought forward Total funds carried forward Gross transfers between funds - out Gains/losses on investment assets Gains on revaluation, fixed assets, charity's own use Net movement in funds Other recognised gains / losses Total expenditure Net income / (expenditure) resources before transfer Gross transfers between funds - in Total income For the period from 01 January 2025 to 31 December 2025 |
Unrestricted Designated Restricted funds funds funds Receipts 2(a) Incoming resources from donors 202,206.11 -239.75 5,145.00 2(b) Other voluntary incoming resources 38.05 - 2,921.45 2(c) Income from charitable and ancillary trading 2,270.00 8,986.53 - 2(d) Other ordinary incoming resources - - 2,562.20 2(e) Income from investments 3,240.54 - - 207,754.70 8,746.78 10,628.65 Payments 3(a) Grants 25.00 17,880.00 448.25 3(b) Activities directly relating to the work of the church 178,562.93 - 9,642.55 3(c) Costs of generating funds 418.88 18,064.63 - 179,006.81 35,944.63 10,090.80 28,747.89 -27,197.85 537.85 Transfers: - 27,849.93 8,411.15 -36,261.08 - - - - - - - - -7,513.19 652.08 8,949.00 50,841.92 55,560.03 3,365.00 43,328.73 56,212.11 12,314.00 Represented by Unrestricted General Fund 43,328.73 - - Designated Mission Fund - 6,212.11 - Parish Centre Build - 50,000.00 - Restricted Parish Centre Build - - 5,240.00 Events - - 7,074.00 43,328.73 56,212.11 12,314.00 Total funds Reconciliation of funds Total funds brought forward Total funds carried forward Gross transfers between funds - out Gains/losses on investment assets Gains on revaluation, fixed assets, charity's own use Net movement in funds Other recognised gains / losses Total expenditure Net income / (expenditure) resources before transfer Gross transfers between funds - in Total income For the period from 01 January 2025 to 31 December 2025 |
Total Prior year funds total funds |
|---|---|---|---|---|
| 202,206.11 38.05 2,270.00 - 3,240.54 207,754.70 25.00 178,562.93 418.88 179,006.81 28,747.89 - -36,261.08 - - -7,513.19 50,841.92 43,328.73 43,328.73 - - - - 43,328.73 |
-239.75 - 8,986.53 - - 8,746.78 17,880.00 - 18,064.63 35,944.63 -27,197.85 27,849.93 - - - 652.08 55,560.03 56,212.11 - 6,212.11 50,000.00 - - 56,212.11 |
5,145.00 2,921.45 - 2,562.20 - 10,628.65 448.25 9,642.55 - 10,090.80 537.85 8,411.15 - - - 8,949.00 3,365.00 12,314.00 - - - 5,240.00 7,074.00 12,314.00 |
207,111.36 331,118.97 2,959.50 7,664.53 11,256.53 10,086.80 2,562.20 25,698.72 3,240.54 624.88 227,130.13 375,193.90 18,353.25 21,961.39 188,205.48 249,527.25 18,483.51 19,911.08 225,042.24 291,399.72 2,087.89 83,794.18 36,261.08 64,220.44 -36,261.08 -64,220.44 - - - - 2,087.89 83,794.18 109,766.95 25,972.77 111,854.84 109,766.95 43,328.73 50,841.92 6,212.11 5,560.03 50,000.00 50,000.00 5,240.00 3,365.00 7,074.00 - 111,854.84 109,766.95 |
Page 12
Note |
General |
Designated |
Restricted |
At 31/12/2025£ |
At 31/12/2024£ |
|
|---|---|---|---|---|---|---|
Fixed assets |
||||||
Assets |
5 |
|||||
Current assets |
||||||
Debtors |
4,861.52 |
1,100.20 |
8,383.56 |
14,345.28 |
7,361.87 |
|
Cash At Bank And In Hand |
39,124.12 |
55,846.39 |
3,930.44 |
98,900.95 |
107,713.17 |
|
43,985.64 |
56,946.59 |
12,314.00 |
113,246.23 |
115,075.04 |
||
Liabilities |
||||||
Creditors: Amounts Falling Due In One |
656.91 |
734.48 |
1,391.39 |
5,308.09 |
||
656.91 |
734.48 |
1,391.39 |
5,308.09 |
|||
Net current assets less current liabilities |
43,328.73 |
56,212.11 |
12.314.00 |
111,854.84 |
109.766.95 |
|
Total assets less current liabilities |
43,328.73 |
56,212.11 |
12,314.00 |
111,854.84 |
109.766.95 |
|
Liabilities |
||||||
Total net assets less liabilities |
43,328.73 |
56,212.11 |
12,314.00 |
111,854.84 |
109,766.95 |
|
Represented by |
||||||
Unrestricted |
||||||
Unrestricted - General Fund |
43,328.73 |
43,328.73 |
50,841.92 |
|||
Designated |
||||||
Designated - Mission Fund |
6.212.11 |
6,212.11 |
5,560.03 |
|||
Designated - Parish Centre |
||||||
Designated - Parish Centre Build |
50.000.00 |
50,000.00 |
50,000.00 |
|||
Restricted |
||||||
Restricted - Events |
7,074.00 |
7.074.00 |
||||
Restricted - Parish Centre Build |
5,240.00 |
5,240.00 |
3.365.00 |
|||
Fund Totals |
6 |
43,328.73 |
56,212.11 |
12.314.00 |
111,854.84 |
109.766.95 |
ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
STATEMENT OF CASH FLOWS
| 2025 | 2024 | |||
|---|---|---|---|---|
| Note | £ | £ | ||
| Cash | flows from operating activities | |||
| New | Cash provided by/(used in) operating activities | A | -12,052.76 | 93,990.62 |
| Cash | flows from investing activities | |||
| Interest | 3,240.54 | 624.88 | ||
| Changes in cash in year | ||||
| Cash | at beginning of the year | 107,713.17 | 13,097.67 | |
| Cash | at end of the year | B | 98,900.95 | 107,713.17 |
| A | Reconciliation of net income/(expenditure) to net cash flows | |||
| Purchase of Fixed Assets | - | - | ||
| Net income/(expenditure) for year per the statement of financial | activities | 2,087.89 | 83,794.18 | |
| Dividends, interest and rents from investments | -3,240.54 | -624.88 | ||
| (Increase)/Decrease in debtors | -6,983.41 | 9,395.81 | ||
| Increase/(Decrease) in creditors | -3,916.70 | -1,820.17 | ||
| Depreciation of Fixed Assets | - | 3,245.68 | ||
| Net cash provided by (used in) operating activities | -12,052.76 | 93,990.62 | ||
| B | Analysis of cash and cash equivalents | |||
| Cash in hand | - | 1.49 | ||
| Notice deposits (less than 3 months) | 98,900.95 | 107,711.68 | ||
| 98,900.95 | 107,713.17 | |||
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ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
NOTES TO THE ACCOUNTS
1 ACCOUNTING POLICIES
Basis of Preparation
The accounts (financial statements) have been prepared under the historical cost convention with items recognised at cost or transaction value unless otherwise stated in the relevant note(s) to these accounts. The financial statements have been prepared in accordance with the Statement of Recommended Practice: Accounting and Reporting by Charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) issued on 16 July 2014, the Financial Reporting Standard applicable in the United Kingdom and Republic of Ireland (FRS 102) and the Charities Act 2011.
The charity constitutes a public benefit entity as defined by FRS 102.
The trustees consider that there are no material uncertainties about the Charity’s ability to continue as a going concern.
Funds
General Funds represent the funds of the PCC that are not subject to any restrictions regarding their use and are available for application to the general purposes of the PCC. Funds designated for a particular purpose by the PCC are also unrestricted. The restricted funds are those which are given for specific purposes.
The accounts include all transactions, assets and liabilities for which the PCC is responsible in law. They do not include the accounts of church groups that owe their main affiliation to another body nor those that are informal gatherings of church members.
Income from:
Income from Donors
Collections are recognised when banked by or on behalf of the PCC. Planned giving is recognised only when received.
Income tax recoverable on Gift Aid donations is recognised when the income is recognised.
Grants and legacies to the PCC are accounted for as soon as the PCC is notified of its legal entitlement, the amount due is quantifiable and its ultimate receipt by the PCC is reasonably certain.
Income from charitable and ancillary trading
Rental income from the letting of church premises is recognised when the rental is received.
Income from investments
Bank interest entitlements are accounted for as they are received.
Page 15
ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
Expenditure on:
Liabilities are recognised as resources expended as soon as there is a legal or constructive obligation committing the charity to the expenditure. All expenditure is accounted for on an accruals basis and has been classified under headings that aggregate all costs related to the category.
Grants
Grants and donations are accounted for when paid over, and when allocated by the PCC.
Activities directly relating to the work of the church
The Diocesan parish share is accounted for when paid.
Fixed Assets
Parish Centre
The Parish Centre is held by the Oxford Diocesan Board of Finance for the beneficial ownership of the Rector and Churchwardens. No value is included in the PCC accounts for this asset. In the absence of carrying out a valuation it is not possible to accurately establish the current value of this asset.
Consecrated property and moveable church furnishings
Consecrated and beneficed property is excluded from the accounts by s.10(2)(a)&(c) of the Charities Act 2011. No value is placed on moveable church furnishings held by the Churchwardens on special trust for the PCC and which require a faculty for disposal since the PCC considers this to be unalienable property. All expenditure incurred during the year on consecrated or benefice buildings or moveable church furnishings, whether maintenance or improvement, is written off as expenditure in the SOFA.
Other fixtures, fittings and office equipment
Equipment used within the premises, parish centre or other aspects of the church’s work is capitalised where this cost is more than £2,000 and depreciated over 4 years.
Current Assets
Amounts owing to the PCC at 31st December in respect of fees, rents or other income are shown as debtors less provision for amounts that may prove uncollectable. Short-term deposits include cash held on deposit with the bank.
Page 16
ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
Analysis of income and expenditure 01 January 2025 to 31 December 2025
| Receipts Bankers Orders Irregular & One-off gifts Gifts from Organisations & Trusts Gift Aid - Tax Refund GASDS Collections Card Transaction Fees Property Rent Parish Weekend Contributions Youth Activities Home Grown Worship Events Income Collaborative Ministries Specified Giving Special Collections Sundry Income Donations Parish Centre Development Income Maryland Parish Centre Bookstall Baptism Income Wedding Fees Funeral Fees Insurance Payment received Legacies Bank Interest 2(d) Other ordinary incoming resources 2(e) Income from investments 2(c) Income from charitable and ancillary Receipts Grand totals 2(a) Incoming resources from donors 2(b) Other voluntary incoming resources |
General 123,433.93 33,689.31 3,382.50 30,122.72 482.48 454.10 -11.02 10,652.09 - - - 202,206.11 - - - - 38.05 - - 38.05 - - - 19.00 112.00 2,139.00 2,270.00 - - - 3,240.54 3,240.54 207,754.70 |
Designated - - - -239.75 - - - - - - - -239.75 - - - - - - - - - 8,986.53 - - - - 8,986.53 - - - - - 8,746.78 |
Restricted - - - 435.00 - - - - - 4,710.00 - 5,145.00 20.00 752.45 2,149.00 - - - - 2,921.45 - - - - - - - 2,562.20 - 2,562.20 - - 10,628.65 |
Thisyear Lastyear 123,433.93 139,209.36 33,689.31 117,209.08 3,382.50 8,412.75 30,317.97 32,752.65 482.48 747.83 454.10 876.70 -11.02 -24.40 10,652.09 12,000.00 - 14,540.00 4,710.00 4,795.00 - 600.00 207,111.36 331,118.97 20.00 1,191.66 752.45 2,031.87 2,149.00 1,420.00 - - 38.05 300.00 - 721.00 - 2,000.00 2,959.50 7,664.53 - 230.40 8,986.53 7,474.40 - - 19.00 36.00 112.00 241.00 2,139.00 2,105.00 11,256.53 10,086.80 2,562.20 - - 25,698.72 2,562.20 25,698.72 3,240.54 624.88 3,240.54 624.88 227,130.13 375,193.90 Total |
Thisyear Lastyear 123,433.93 139,209.36 33,689.31 117,209.08 3,382.50 8,412.75 30,317.97 32,752.65 482.48 747.83 454.10 876.70 -11.02 -24.40 10,652.09 12,000.00 - 14,540.00 4,710.00 4,795.00 - 600.00 207,111.36 331,118.97 20.00 1,191.66 752.45 2,031.87 2,149.00 1,420.00 - - 38.05 300.00 - 721.00 - 2,000.00 2,959.50 7,664.53 - 230.40 8,986.53 7,474.40 - - 19.00 36.00 112.00 241.00 2,139.00 2,105.00 11,256.53 10,086.80 2,562.20 - - 25,698.72 2,562.20 25,698.72 3,240.54 624.88 3,240.54 624.88 227,130.13 375,193.90 Total |
|---|---|---|---|---|---|
| 139,209.36 117,209.08 8,412.75 32,752.65 747.83 876.70 -24.40 12,000.00 14,540.00 4,795.00 600.00 |
|||||
| 331,118.97 1,191.66 2,031.87 1,420.00 - 300.00 721.00 2,000.00 |
|||||
| 7,664.53 230.40 7,474.40 - 36.00 241.00 2,105.00 |
|||||
| 10,086.80 - 25,698.72 |
|||||
| 25,698.72 624.88 |
|||||
| 624.88 | |||||
| 375,193.90 |
Page 17
ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
Analysis of income and expenditure 01 January 2025 to 31 December 2025
| Lunchbowl Network C.M.S. - Steve Poulson Claire & Jack Bonham Cozens Tree of Life/Portals Tear Fund British Legion Poppy Appeal Specified Gifts - Non Mission Mission Giving - General Mission Expenses Parish Share LLM Costs Rectory Church Building Costs Churchyard Maintenance Flowers Service Materials Wine, Bread & Wafers Worship Ministry Worship Licences Chapel - Rent & Electricity Homegrown Worship House Group Materials Youth Ministry Children's Ministry Safeguarding Baptisms Weddings Funerals Pastoral Ministry Chesham Bois School Rector's Discretionary Payments & Gifts Lay Training Outreach 19 Stubbs End Close Costs Office Phones General Office Expenses 3(b)Activities directly relating to the work of the church 3(a) Grants Payments |
General | Designated | Restricted | Thisyear Lastyear Total |
|---|---|---|---|---|
| - - - - - 25.00 - - - 25.00 65,733.57 - 3,428.43 6,135.96 1,280.00 21.50 301.18 46.65 - 812.00 - - 71.91 - 510.52 127.50 639.08 241.00 2,023.75 22.82 638.49 - 174.72 - 16,094.93 901.63 103.22 |
3,000.00 3,720.00 7,440.00 3,720.00 - - - - - 17,880.00 - - - - - - - - - - - - - - - - - - - - - - - - - - - |
- - - - - - 448.25 - - 448.25 - - - 2,731.20 - - - - - 154.00 - - - 4,984.75 - - - - - - - - - - - - - |
3,000.00 3,175.00 3,720.00 3,895.00 7,440.00 7,615.00 3,720.00 3,895.00 - 1,529.15 25.00 25.00 448.25 1,572.54 - 250.00 - 4.70 18,353.25 21,961.39 65,733.57 86,611.87 - 160.00 3,428.43 3,287.78 8,867.16 7,484.71 1,280.00 1,080.00 21.50 125.00 301.18 202.63 46.65 17.45 - 67.39 966.00 1,710.75 - 100.00 - 737.50 71.91 - 4,984.75 8,822.07 510.52 692.49 127.50 137.99 639.08 15.89 241.00 - 2,023.75 1,495.00 22.82 54.00 638.49 409.66 - 400.00 174.72 77.7 - 122.41 16,094.93 15,162.98 901.63 1,006.97 103.22 335.13 |
Page 18
ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
Analysis of income and expenditure 01 January 2025 to 31 December 2025
| General Office Expenses Photocopier Stationery Subscriptions & Affiliations Independent Examination Fee Publicity General Miscellaneous Insurance General Staff Costs IT - Hardware Payroll Bureau IT - Software IT - Website Equipment - General Collaborative Ministries Office & Parish Centre Broadband Professional Fees Depreciation PA & Camera Parish Weekend Other Parish Socials Parish Centre Project Fees Staff Salaries & Costs Rector Expenses Parish Centre - Telephone (Payphone) Parish Centre - Maintenance Parish Centre - Water Rates Parish Centre - Gas Parish Centre - Electricity Bookstall Bank Charges Depreciation PC Boiler Parish Centre Caretaker 3(c) Costs of generating funds Payments Grand totals |
General | Designated | Restricted | Thisyear Lastyear Total |
|---|---|---|---|---|
| 103.22 151.36 79.30 109.00 -180.00 - 75.00 4,389.04 - 537.58 826.25 895.73 447.45 300.00 - 770.95 1,274.40 - - - - 68,342.78 1,235.23 178,562.93 - - - - - - 418.88 - - 418.88 179,006.81 |
- - - - - - - - - - - - - - - - - - - - - - - - - 6,082.58 351.6 4,285.12 2,604.13 - - - 4,741.20 18,064.63 35,944.63 |
- - - - - - - - - - - - - - 652.40 - - - - - 1,120.20 - - 9,642.55 - - - - - - - - - - 10,090.80 |
103.22 335.13 151.36 448.09 79.30 108.94 109.00 381.85 -180.00 2,000.00 - 19.00 75.00 266.39 4,389.04 5,192.09 - 231.98 537.58 - 826.25 931.40 895.73 903.58 447.45 570.90 300.00 1,000.00 652.40 2,038.97 770.95 771.04 1,274.40 1,287.00 - 910.48 - 20,332.94 - 323.16 1,120.20 3,538.00 68,342.78 76,572.05 1,235.23 1,382.02 188,205.48 249,527.25 - 283.95 6,082.58 7,371.67 351.6 338.12 4,285.12 1,697.02 2,604.13 2,695.68 - 10.35 418.88 437.89 - 2,335.20 4,741.20 4,741.20 18,483.51 19,911.08 225,042.24 291,399.72 |
Categorisation of Grants 3(a)
3 Grants totalling £14,880 were made to Overseas Mission
1 Grant totalling £3,000 was made to Relief & Development Agencies
1 Grant totalling £25 was made to other charities
1 Grant totalling £448.25 was made to an individual
Page 19
ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
| 4 | 2025 2024 |
|---|---|
| £ £ |
|
| Staff Costs Salaries Employer's NI Pension costs Average Number of Staff Administrative Staff Management Stfaff Operational Staff |
71,463 78,226 0 1,343 1,413 1,724 72,876 81,293 1.0 1.0 0.6 1.0 1.3 2.0 2.9 4.0 |
5 FIXED ASSETS FOR USE BY THE PCC
The PCC does not hold any land or buildings.
Diocesan House holds conveyance documents for the Parish Centre dated 8th September 1938 which shows that the title is held in trust by the Oxford Diocesan Board of Finance for the beneficial ownership of the Rector and Churchwardens.
The PCC did not renew the licence to occupy 19 Stubbs End Close at the end of August 2025.
| Fixed Assets Cost As at 1st January Additions Disposals As at 31st December Depreciation As at 1st January Charge for the year - PC Boiler Charge for the year - PA Equipment As at 31st December Net Book Value As at 31st December |
0.00 0.00 |
2025 2024 £ £ 16,579.18 16,579.18 0.00 0.00 0.00 0.00 16,579.18 16,579.18 16,579.18 13,333.50 2,335.20 910.48 0.00 3,245.68 16,579.18 16,579.18 0.00 0.00 |
|---|---|---|
Page 20
ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
6 FUNDS
6a FUND DETAILS 2025
For the period 01 January 2025 to 31 December 2025
| Fund | Fund balances brought forward |
Incoming Resources |
Outgoing Resources |
Transfers | Fund balances Carried forward |
|---|---|---|---|---|---|
| Unrestricted - General Fund | 50,841.92 | 207,754.70 | 179,006.81 | -36,261.08 | 43,328.73 |
| Designated - Mission Fund | 5,560.03 | -239.75 | 17,880.00 | 18,771.83 | 6,212.11 |
| Designated - Parish Centre | - | 8,986.53 | 18,064.63 | 9,078.10 | - |
| Designated - Parish Centre Build | 50,000.00 | - | - | - | 50,000.00 |
| Designated - Parish Centre Development | - | - | 1,120.20 | 1,120.20 | - |
| Restricted - Specified | - | 3,271.20 | 3,333.45 | 62.25 | - |
| Restricted - Events | - | 5,482.45 | 5,637.15 | 7,228.70 | 7,074.00 |
| Restricted - Parish Centre Build | 3,365.00 | 1,875.00 | - | - | 5,240.00 |
| Totals | 109,766.95 | 227,130.13 | 225,042.24 | - | 111,854.84 |
6b FUND DETAILS 2024
For the period 01 January 2024 to 31 December 2024
| Fund | Fund balances brought forward |
Incoming Resources |
Outgoing Resources |
Transfers | Fund balances Carried forward |
|---|---|---|---|---|---|
| Unrestricted - General Fund | 16,731.37 | 284,746.01 | 213,186.74 | -37,448.72 | 50,841.92 |
| Designated - Maryland | - | 230.40 | 230.40 | - | - |
| Designated - Mission Fund | 2,603.70 | 1,009.75 | 18,958.20 | 20,904.78 | 5,560.03 |
| Designated - Parish Centre | 2,335.20 | 7,474.40 | 20,719.05 | 10,909.45 | - |
| Designated - Parish Centre Build | - | 50,000.00 | - | - | 50,000.00 |
| Designated - Parish Centre Development | - | 2,500.00 | 3,538.00 | 1,038.00 | - |
| Restricted - Specified | - | 3,984.42 | 3,843.21 | -141.21 | - |
| Restricted - Events | 937.50 | 25,303.28 | 30,978.48 | 4,737.70 | - |
| Restricted - Parish Centre Build | 3,365.00 | - | - | - | 3,365.00 |
| Totals | 25,972.77 | 375,248.26 | 291,454.08 | - | 109,766.95 |
Page 21
ST LEONARD’S CHURCH, CHESHAM BOIS TRUSTEES’ REPORT & ACCOUNTS FOR THE YEAR ENDED 31[st] DECEMBER 2025
6 FUNDS (Cont’d)
Unrestricted and Designated Funds
The General Fund holds the operating monies of the PCC.
The Mission Fund is the money tithed by St Leonard’s for mission activities. The Mission Committee handles its distribution.
The Parish Centre Fund was created to hold the operational rolling profits or losses as well as to build up funds to do repairs and major works as may be needed, given the age of the building. Currently this fund is used as throughput to identify income and expenditure for the Parish Centre, now that planning permission has been granted to redevelop the Parish Centre.
The Parish Centre Development Fund was created to facilitate management of the funds required for the Parish Centre site project phase. This phase is now complete and this fund was only used for throughput of monies in 2025.
The Parish Centre Build Fund was created to facilitate management of the funds required for the Parish Centre site build phase. There are both designated and restricted funds to reflect the wishes of the donors.
Restricted Funds
Specified Giving is money given to St Leonard’s to pass on to individuals or other charities or for specific purposes.
The Parish Centre Build Fund was created to facilitate management of the funds required for the Parish Centre site build phase. There are both designated and restricted funds to reflect the wishes of the donors.
The Events Fund was created to facilitate the management of Church Events. This is fund is used to identify income and expenditure for events and is therefore only used as throughput for monies.
7 RELATED PARTY TRANSACTIONS AND TRUSTEES REMUNERATIONS
| 2025 | 2024 | |
|---|---|---|
| £ | £ | |
| No Lay PCC members were paid mileage expenses | 0.00 | 0.00 |
| Total giving of PCC members and their spouses | 52,185.00 | 56,478.00 |
| All related parties have signed"Interested Party Declarations"which are on file with the PCC Secretary |
Page 22