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2021-08-31-accounts

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DANE & TRENT METHODIST CIRCUIT

FINANCIAL STATEMENTS

For the Year ending 31[st] August 2021

1

Introduction

The Trustees of the Dane & Trent Circuit present their annual report together with financial statements for the year ended 31[st] August 2021.

Mission Statement

As a Circuit we are committed to building up thriving and effective Christian communities which aim to love God, serve Christ and love people - in whatever different ways that demands and takes.

Aims and organisation

The purposes of the Methodist Church are and shall be deemed to have been since the Date of Union and are defined in the 1976 Methodist Church Act 1976 (Section 4). They are the advancement of –

It will achieve these aims through –

2

Public Benefit

We confirm the trustees have had regard to the Charity Commission's guidance on public benefit.

Structure, Governance and Management

The governing document for the circuit is the Deed of Union (1932) and Methodist Church Act (1976)

Detailed governance arrangements are outlined within the Constitutional Practice and Discipline of the Methodist Church by order of the annual conference (CPD).

Day to day management of the circuit is undertaken by the Circuit Leadership team.

Trustee Training

A range of guidance produced by Methodist Connexion to support the effective running of the circuit, specifically the leaflet The Role of a Trustee in The Methodist Church is available to all new Circuit meeting members as induction to their role as trustees.

3

Related Parties

The Circuit is part of the Chester & Stoke-on-Trent District and is also accountable to the Methodist Conference.

The following Methodist Churches are linked to the circuit:

Biddulph

Bosley

Bradshaw Brook

Brookhouse Green

Cloud

Davenport

Goostrey Hill Top (Biddulph Moor)

Holmes Chapel

Key Green

Lower Withington

Middlewich

Mow Cop

New Road (Biddulph Moor)

Rood Lane (Congleton)

Trinity (Congleton)

Wellspring (Congleton)

The members of the Dane & Trent Methodist Circuit meeting are the Charity Trustees, membership being made up of circuit office holders, ministers and representatives appointed by the local churches.

4

Fully membership is shown as Appendix A to this report.

Circuit Ministers and officers
Active Circuit Ministers: Rev Yvonne Pearson (Superintendent Minister)
Rev Anne Coates
Rev Nic Langton-Miller
Rev Margaret Eaton (Part Time)
Rev William Arthur Wakelin (Part Time)
Circuit Lay Workers: Julia Tomes
Kathleen Salt
Administrators: Rebecca Taylor
Circuit Stewards: Lisa Kennerley (Senior Steward)
Brian Donlon
Rose Goodwin
Mark Owens
Amanda Peters
Circuit Treasurer John Duley

John Duley Circuit Treasurer acted as the principal officer overseeing the day to day financial management and accounting for the circuit during the year.

Independent examiner

Michael John Collier, 59 Ravenscroft, Holmes Chapel, Cheshire

Bankers

Bankers
Investment Bankers
Central Finance Board of the Methodist Church
Trustees for Methodist Church purposes
Bankers National Westminster Bank pic

5

Risk Management

The major risks have been identified and recorded by the Circuit leadership Team with professional advice taken as required.

There is a regular review process undertaken and recorded.

Income and Expenditure is being monitored in total and is compared with the approved annual budget on a half yearly basis to detect trends as part of the risk management process to avoid unforeseen calls on reserves.

Safeguarding

Every person has a value and dignity which comes directly from the creation of male and female in God's own image and likeness. Christians see this potential as fulfilled by God's re-creation of us in Christ. Among other things this implies a duty to value all people as bearing the image of God and therefore to protect them from harm.

Methodist Connexional practice outlines commitment to the following principles:

6

The Dane & Trent Circuit commits itself to ensuring the implementation of Connexional Safeguarding Policy; government legislation, guidance and safe practice in the circuit and in the churches.

The Dane & Trent Circuit commits itself to the provision of support, advice and training for lay and ordained people that will ensure people are clear and confident about their roles and responsibilities in safeguarding and promoting the welfare of children and adults who may be vulnerable.

Data Protection (GDPR)

The circuit has undertaken extensive reviews of all documentation held by the circuit and its churches. This has identified all data which would be available to the wider public so that formal agreement could be obtained in respect of the publication of personal information.

There are ongoing reviews to ensure that data is accurately maintained. Details of the required retention periods has been provided along with the means to destroy data which is no longer required.

7

Brief financial review of the year

The financial outcome of the year in terms of the main expenditure area of salaries, manse utilities, were in line with the budget.

The national lockdown and the closure of churches had a significant impact on other budget areas with the majority out turning below the anticipated levels. Other expenses did increase to support the move to on line services and meetings

Income trends

Circuit income is primarily drawn from the assessment paid by the circuit churches. Furlough payments and income from the rent of the Ennerdale Manse were also collected during the year.

Expenditure trends

Stipend expenditure has increased each financial year in line with conference approved ' increases. Likewise Lay Worker salaries were increased in line with the Living Wage.

Circa £51k is the Circuit contribution to the District and Connexion, of which a significant part is used to fund the work of the wider Methodist Church.

Fund balances

As at 31 August 2021 the net current assets of the Circuit were £159k, giving approximately 12 months cover for expenditure.

Plans for 2021/22

In view of the uncertainty that the current pandemic brings it was agreed that the circuit would absorb projected increase, specifically salaries and maintain assessments at current rates. Following the appointment to the vacant Ministerial post the level of supernumerary ministry has been reduced. Sums of monies have been ring fenced to aid churches with short term financial issue and to support further lay worker employment.

Basis of preparation and legal framework

The Charity's annual report and accounts for the year ended 31 August 2021 have been prepared in accordance with the Charities Act 2011 and the Charities: Statement of Recommended Practice 2015 as applicable to the Financial Reporting Standard(FRS) 102

8

Statement of Financial Activities (SOFA) for the year ended 31[st] August 2021 Statement of Financial Activities (SOFA) for the year ended 31 August 2021

Statement of Financial Activities (SOFA) for the year ended 31 August 2021 Statement of Financial Activities (SOFA) for the year ended 31 August 2021 Statement of Financial Activities (SOFA) for the year ended 31 August 2021 Statement of Financial Activities (SOFA) for the year ended 31 August 2021 Statement of Financial Activities (SOFA) for the year ended 31 August 2021 Statement of Financial Activities (SOFA) for the year ended 31 August 2021 Statement of Financial Activities (SOFA) for the year ended 31 August 2021
Notes to
the
accounts

General Fund
(Unrestricted)
Circuit Model
Trust
(Unrestricted)
Designated
Funds
(unrestricted)
Restricted
Funds
Endowment
Funds

Total
2020-21
£ £ £ £ £ £
Income
1 Donations andlegacies 105
474
8,420
251,064
15,784
149,501
1,734
1,873
20
0
2 Incomefrom monetaryinvestments 579
3Incomefrom investment properties 8,420
4 Assessments onChurches 251,064
5 Capital Receipts 165,285
6 Grantsreceived 1,734
7Othercharitableincome 1,893
8Total income 278,980 149,975 20 - - 428,975
Expenditure
9 Grants and donations 167,458
21,886
42,718
55,154
1,992
15,185
540
0
10 Salaries and associated costs 167,458
11 Propertymaintenance 21,886
12Connexionalassessment &modeltrustlevy 42,718
13DistrictAssessment &Levy 55,154
14 Depreciation 0
15 Office expenses 1,992
16 Otheroutgoings 15,725
17Total charitable expenditure 261,675 42,718 540 0 0 304,933
18 Gains/(losses) on monetaryinvestments 0
19 Gains/(losses) on investment properties
20Net income/(expenditure) 17,305 107,257 -520 0 0 124,042
21 Transfers between funds 780
-
780
0
22Othergains/(losses)
23 Net movement in funds 16,525 107,257 260 0 0 124,042
24 Total funds brought forward 142,657
104,182
567
247,406
25 Total funds carried forward 159,182 211,439 827 - - 371,448

9

BALANCE SHEET 31[ST] AUGUST 2021

Notes to the General Fund
(Unrestricted)
Circuit Model
Trusts
(Unrestricted)
Designated
Funds
(Unrestricted)
Restricted
Funds
Endowment
Funds
Totals
2020/21
Totals
2019/20
Accounts £ £ £ £ £ £ £
Fixed Assets
Circuit Manses & Equipment 1,221,611 1,221,611 1,391,611
Investmentproperties 0
Investments 0
Total fixed assets 1,221,611 0 0 0 0 1,221,611 1,391,611
Current Assets
Debtors 24,738 24,738 22,627
Loans bythe Circuit 0 0
Investments with TMCP 211,439 211,439 104,182
Central Finance Board Deposits 53,783 53,783 79,642
Cash at Bank and in hand 111,149 827 111,976 64,807
Total current assets 189,670 211,439 827 0 0 401,936 271,258
Current liabilities
Creditors (due in under 1 year) 5,749 5,749 657
Grantspayable within 2018-19 0 0
Total current liabilities 5,749 0 0 0 0 5,749 657
Net current assets/liabilities 183,921 211,439 827 0 0 396,187 270,601
Total assets less current liabilities 1,405,532 211,439 827 0 0 1,617,798 1,662,212
Long term liabilities
(due after more than one year)
Grantspayable after 2018-19 0 0 0
Loans to the Circuit 0 0 0
0 0
Net assets 1,405,532 211,439 827 0 0 1,617,798 1,662,212
Funds of the Circuit
General Fund(Unrestricted) 1,405,532 1,405,532 1,557,463
Circuit Model Trust Fund (Unrestricted) 211,439 211,439 104,182
Designated Funds(Unrestricted) 827 827 567
Total Unrestricted Funds 1,617,798 1,662,212
Restricted Funds 0 0
Endowment Funds 0 0
Total Funds 1,405,532 211,439 827 0 0 1,617,798 1,662,212

10

NOTES TO THE ACCOUNTS

  1. The salaries paid to ministers was £102234; National Insurance £8310, Pension Contributions £24488. Lay Worker salary costs were £25434.71. We were charged an Apprentice Levy of £676.85.

  2. The water bills paid for our four manses totalled £1440; Local Authority rates were £6543 Other manse expenditure this year totalled £21886, this includes the start of work to renovate the Ennerdale Drive Manse. The Ennerdale manse has been let on a short term contract and income from this totalled £8420

  3. Other outgoings included £3136 for telephone calls/provision; £125 for supernumerary preaching fees, travel expenses of £1821. Following the sale of Harriseahead and the return of allowable expenses there was a positive balance of £11654 from closed churches.

  4. Fixed Assets – Where the actual cost of manses is known these have been used. In other cases the deemed costs established at 1[st] September 2015 have been used

Actual purchase cost of one manse in 2019, £317,500 Deemed Cost based on 1[st] September 2015, three manses £904,111 a total of £1,221,611

Harriseahead – The sale was completed during the year and following payments of the various levies £106992 was received by the circuit from the sale

  1. The Debtors figure of £24738 represents church assessments paid in advance prior to the new financial year along with two accounts paid in advance.

  2. The £827 in the designated funds is Circuit Weekend monies that are now in the Circuit accounts

Reserves Policy

The Reserves Policy for the Circuit is to hold a minimum sum of £64,000 equivalent to 3 months' average expenditure. This should be sufficient to meet any unforeseen item of major expenditure or of any inability to raise the full Circuit Assessment from churches.

A further £50000 is to be held in reserve for support to churches with short term cash flow issues

£106000 is set aside for the employment of new Lay Workers (these to be approved by the Circuit Meeting)

A benevolent fund is held with a current balance of £2,232

Following a donation a sum of money is set aside for outreach activities especially with young people with an available balance of £654

11

Declarations TREASURER I conlifm Ih8t I have prepareo the a¢￿￿￿15 from thè records ol the cl￿11 8n¢ thotlhey Irtjuoe Ell funds vnder the Conirol ol Ihe C1rcurt Meeti &gnature of TfeJ¥urei J fylav 2<)3v Naffle Duiey AQdre59 27 Ravenscroft Close Middlwich Cheshire CW10 9PX Ind&p•ndent Examingr's Report to thè Tfuttoes of 08n8 & Tignl Circuit This report 1$ on thg Circurt Funds for Ine yeareTrOett 31 August 2Dlbwhich ate set outwitnin Ihesè page5, and Is In rv¥peth ol an èxamination c3riied out undr $Écbon 43 01 the Charities Aci 1993 Rt5pethve re$wnsIbi￿I￿$ oiwe cl￿￿11 Methng sn¢ ltte Examiner As Trustee5. you are respDn5iblB loi mainLqining proppr accounting record8 Pnd Ihe piepar8lion of the ppropri8ie accounts It 18 my re5ponsibilty 1¢ 18$U8 this report those accoun15 In a￿OrdanCe with the Chamies IAc¢¢un19 gnd Report5lRegulaiw)n$ 1995 Basis ol Examiners report y examinabon vms carr0 outin occordan¢ewrth Ihe GenerBI Oire¢tsons 9iven by the Charity comm1$$1L￿er$ ThisexaFninalion includes a review of the accounting record3 kept by Ine Cifcuii Trpasurer 8nd g comparison of tne awounls with Ihp$È record5 The procedures und8rt8ken do not provide eviderte that would bg rgquThd In an audit andcon5equpniiy I do nol expiess an audii opiniDn on Ihg y￿W giv£ll by the aruunls Independtrt Examine1$ $t8témèTrt In connectson with my examination. fto mgttèr has come 10 my 8ttenkno which gives me Feasonable GYLJS¢ 10 belieYetn211n any fflaterial rt$PeCilhg rgquirem8nts lo kepp 8CCOuThbn9 records In accordan￿ with 8e¢lion 41 ollh£ Ad, and to prepare acCO￿￿ts￿￿1¢h accord With the accounting ¢cordsand to eornplyvmth tae aceounbng requiremen15 01 ￿eA¢1 hove not oeen fflél ar towhich. In my anention $houia De dravm In ordtrr to en8b19 a Proper undetsianding ol Ihebwntsto be rBach¥d S￿nature & Address RelBvani profes510nai qualiftcalion or Oy 12

Appendix A

Dane & Trent Methodist Circuit Meeting Register of Trustees as at September 2021

Appendix A Appendix A Appendix A Appendix A
Dane & Trent Methodist Circuit Meeting Register of
Trustees as at September 2021
Name Appointed to Circuit Meeting as: vote
Revd Yvonne Pearson Superintendent Minister 1
Revd Anne Coates Minister 1
Revd Nicola Langton-
Miller
Minister 1
Revd tim Simms Minister 1
Revd Margaret Eaton SupernumeraryMinister with Pastoral Care 1
Revd Dr Keith Davies SupernumeraryMinister 1
Revd Andrew Lindley SupernumeraryMinister 1
HilaryBalsdon LWPT Secretary 1
Amanda Peters Circuit Steward Year 2 1
Brian Donlon Circuit Steward Year 1 1
Mark Owens Circuit Steward Year 2 1
Kath Salt Circuit Steward Year 1 1
Rose Goodwin Circuit Steward Year 5 1
Lisa Kennerley Snr Circuit Steward Year 4 See
L/With
John Duley Circuit Treasurer See
M/wich
Margaret
Shaughnessy
Circuit Property Secretary See
H/Chp
Christiana Caswell SafeguardingOfficer 1
Additional Persons
Linda Ashbrook CLT member 1
1
1

13

Name Appointed to the Circuit Meeting
as:
Vote
Biddulph (118 members)
Sue Millard Steward 1
Amanda Peters Treasurer 1
David Tildesley Representative elected by Church
Council
1
Ruth Pickles Representative elected by Church
Council
1
Bosley (35 members)
Isobel Worthington Steward 1
Alison Sherman Treasurer 1
Alec Needham Representative elected by Church
Council
1
Bradshaw Brook (17 Members)
David Lea Steward 1
Allan Moore Treasurer 1
Sara Williams Representative elected by Church
Council
1
Brookhouse Green ( 36 Members)
John Warren Church Steward 1
Trish Bodell Treasurer 1
MaryMoss Representative elected by Church
Council
1
Cloud (17 Members)
AudreyHaydon Representative elected by Church
Council
1
Linda Ashbrook Church Treasurer 1
Helen Bailey Representative elected by Church
Council
1

14

Davenport (23 Members)
Vacant Church Steward
John Dale Treasurer 1
BarryDale Representative elected by Church
Council
1
Name Appointed to the Circuit Meeting
as:
Vote
Goostrey (37 Members)
Brian Walker Church Steward 1
John Funnell Treasurer 1
Martin Leake Representative elected by Church
Council
1
Hill Top (40 Members)
Marilyn Beckett Church Steward 1
DorothyWickstead Treasurer 1
Eileen Philips Representative elected by Church
Council
1
Holmes Chapel (148 Members)
Jill Booth Church Steward 1
John Percival Treasurer 1
Christine Donlon Representative elected by Church
Council
1
Helen Watson Representative elected by Church
Council
1
Key Green (19 Members)
Frank Dean Church Steward 1
Julie Imber Treasurer 1
Vacant Representative elected by Church
Council

15

Lower Withington (63 Members)
Barbara Kennerley Church Steward 1
Lisa Kennerley Treasurer 1
Julie Halman Representative elected by Church
Council
1
Name Appointed to the Circuit Meeting
as:
Vote
Middlewich (62 Members)
Jane Duley Church Steward 1
John Duley Treasurer 1
Sue Davies Representative elected by Church
Council
1
Mow Cop (20 Members)
Christine Hancock Treasurer 1
Russ Bromley Church Steward 1
Myra Cowan Representative elected by Church
Council
1
New Road (16 Members)
Ann Moreton Church Steward 1
Keith Farr Treasurer 1
Sandra Tomlinson Representative elected by Church
Council
1
Rood Lane (16 Members)
Elizabeth Tweats Church Steward 1
HarveyGilbert Treasurer 1
Vacant Representative elected by Church
Council
1
Trinity (176 Members)
JennyTingle Church Steward 1
CicelyJohnson Treasurer 1
MaryJones Representative elected by Church
Council
1
John Anderson Representative elected by Church
Council
1

16

Wellspring (99 Members) Wellspring (99 Members)
Liz Clarke Church Steward 1
Geoff Butler Treasurer 1
Peter Bradley Representative elected by Church
Council
1

17