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2025-12-31-accounts

The Parochial Church Council of the Ecclesiastical Parish of St Mary's Lutterworth Registered Charity 1134507 Annual Report For the year ending 31 December 2025 Administrative information ~~TT~~ in.

St. Mary’s Church is in Church Street, Lutterworth and is part of the Diocese of Leicester within the Church of England. The correspondence address is St. Mary’s Church, Church Gate, Lutterworth, Leicestershire, LE17 4AN

Rector The Rev'd N G Byard Chairman
Curates The Rev’d R E Lowdon To May‘25
Reader Ministers Mrs R Bilton
Dr P R Kent
Church Wardens Mrs P C Dean
Dr P R Kent
Representatives on
Deanery Synod
Mr B J Horrex Associate Pastor
Elected and co-opted
Members
Mr P W Armstrong From Jun‘25
Dr R J Byard
Mrs H Evans To Jun‘25
Mr P W Gray Treasurer
Mrs L Horrex To May‘25
Mrs A M B Jones
Dr P A Newmark
Mr S V Robbins To Oct‘25
Mrs C E G Topham

Structure, governance and management

The Parochial Church Council is a corporate body established by the Church of England. It operates under the Parochial Church Council Powers Measure and is a Registered Charity, Number 1134507. St. Mary’s. Lutterworth is part of a Benefice, with St. Mary’s. Bitteswell and St. Mary’s. Cotesbach.

Members of the PCC are either ex-officio trustees (Rector, Curates, Pastoral Assistants and Reader Ministers); or elected as trustees by the Annual Parochial Church Meeting (APCM), or coopted to fill vacancies during the year in accordance with the Church Representation Rules.

The Church maintains an Electoral Roll of members, which stood in January 2025 at 153 and had decreased to 108 by December. All church attendees are encouraged to register on the Electoral Roll and are able to stand for election to the PCC. Trustees are initially provided with training material from the Charity Commission and thereafter are given on-the-job training by existing members or extra training by the Diocese. The full PCC met on six occasions during the year for ordinary business. There was also an email vote which agreed to sell the house at 3 Poplar Avenue to the existing tenants in order to release the equity and provide a liquid reserve.

The PCC Standing Committee ( required by law) consists of the Rector, Churchwardens, PCC Treasurer, PCC Secretary and one other member elected by PCC, and has power to transact PCC business between meetings, subject to any directions given by PCC. Other sub-committees were structured as needed to address various aspects of the work and life of the Church.

Objectives

The PCC carries out religious activities and provides services, buildings, facilities and open space for the public. It has the responsibility for pursuing the object of promoting in the ecclesiastical parish the whole mission of the Church (pastoral, evangelistic, social and ecumenical). It has responsibility for the maintenance of St. Mary's Church and churchyard, No.3 Poplar Avenue and the Churchgate Community Centre. In exercising their duties, the trustees have had due regard to the Charity Commission Guidance on public benefit.

Page 1

St Mary's Lutterworth PCC Annual Report (continued) For the year ending 31 December 2025

Activities, Achievements & Performance

With the committed support of the personnel, both employees and volunteers, working alongside him in conducting Church activities in accordance with the guidelines and laws set out by the Government and Church of England, the Rector has fully established his own working methods, which are now familiar to the PCC and the wider Church family. He is a well-known and respected figure in the community, both to townsfolk and local leaders, not least to organisations with which the role of incumbent Rector has held a longstanding involvement. In addition to his responsibilities within the Parish and the Benefice of which it is part, the Rector has also taken on more responsibilities within the Diocese, particularly as Area Dean for the Guthlaxton Deanery and in pursuing the creation of a Minster Community in the south-west area of the Diocese.

The PCC provided regular in-person worship, some also live-streamed, with a range of Sunday, weekday and special services using traditional and contemporary liturgy, including Holy Communion, Prayer, Baptism, Marriage, Funeral and celebratory services. The attendances at the regular services are growing modestly, but steadily.

Smaller groups, such as Alpha and Life Groups (for home Bible study) continued their in-person meetings. The Church building is open on a daily basis for personal prayer and contemplation. The Church continued to teach and promote Christianity through meetings and events, including holding Bible Study sessions after weekday services. Bereavement courses were held to support those coming to terms with grief, both longstanding and recent. The Church also carried out pastoral work including visiting the sick and bereaved, for which training was available. A Summer Club for younger children was well attended and the Church is committed to regular youth work with older children. The Church hosts a term-time pre-school playgroup, which fosters relationships with the children's parents and carers in the community. The Church is proud of its historical connection with John Wycliffe, remembered as the 14th century translator of the Bible into English. Many visitors, especially those from overseas, seek out the Church for that reason.

Following the Churchgate Community Centre’s opening, it is becoming a well-known and wellused venue, a hub for social interaction between the Church and the people of the town and local villages. Established users include the Foodbank, with its in-person sessions having a Citizens’ Advice worker also in attendance. A weekly Open Kitchen, a Veterans group, an Age Concern group and a District Council grants surgery continue to use the building and have been joined by others, including a Health Hub. The building is also used for Church activities, such as youth groups and PCC meetings.

The whole mission of the Church is promoted by providing activities for senior citizens, adults, families and children and young people. Religious assemblies and other activities are provided in the local schools and this outreach is expanding. Support is given to other charities. The Church Café is open five days a week, offering a warm space for social interaction with refreshments, where visitors can seek spiritual support, if wanted. Social action in the community was undertaken through the ongoing provision of a Foodbank, and other activities taking place in the Churchgate Community Centre. In addition, a very successful Open Christmas meal, with games and entertainment, was held in the Church building. The Church bells are rung regularly and traditional and contemporary forms of music are encouraged. Over 100 volunteers support activities and the regular worshipping community at December was about 300. The facilities are hired out for a range of community groups and events, and the PCC appoints school governors.

The Church maintains an office, open 10 to 12 Monday to Friday, and during the year employed a Church Administrator, an Associate Pastor, a Foodbank Manager, a Foodbank Pathfinder Project Learning Lead and a Community and Funding officer. In addition to the Rector, the Ministry Team included a Curate, an Associate Pastor, an ordinand, two licensed Reader Ministers and a Reader Minister in training.

Page 2

St Mary's Lutterworth PCC Annual Report (continued) For the year ending 31 December 2025

Our Vision as a Church

St Mary’s Lutterworth is part of the Wycliffe Fellowship that has the aim to be a unified team of congregations supporting one another in our mission to Worship God, to Grow as Disciples of Jesus and to Serve the Local and Wider Community.

The PCC has placed particular emphasis on Children and Young People as we aim to be church for all ages, both now and into the future.

Joining these three aims is a ‘Hub’, which includes prayer and governance across the team. It encompasses governance through the PCC and its various sub-committees. It also stewards our shared resources, including occasional offices, finance, church buildings and fabric, administration and pastoral care. These resources support and empower the whole team. The ‘Hub’ also includes the Church Office which provides administrative and practical support to the team.

Financial review

Total receipts on unrestricted and restricted funds were £180,890 (down £33,493) and £169,866 (down £244,165) respectively, and are detailed in the financial statements. The freehold house at 3 Poplar Avenue and the field off Boneham’s Lane continued to be let; together they provided a gross income of £14,409 unrestricted (up £600). Planned giving (including payroll and regular web site giving) raised £93,837 unrestricted (down £2,278) and £17,881 restricted (down £5,543) after tax recovery. Other notable items are grants (just over half for restricted funds) totalling £73,783 (down £95,992) in support of various activities. In particular, grants for the Foodbank were £15,891 (£118,907 in 2024), £13,801 (£16,784 in 2024) was received towards the running of the Church Gate Centre and running Community Action activities, and £21,619 was given to upgrade audiovisual equipment. £68,985 worth of food was donated for the Foodbank (down £6,202). Statutory fees due to the PCC at £10,826 increased by £2,960. Collections in Church were up £819 at £4,679 and unplanned web site giving increased to £8,277 from £5,417. Sundry donations decreased from £44,245 to £35,774; this included £20,323 towards the Churchyard and Building appeals. Following completion of its refurbishment in 2024, the Church Gate Centre was revalued; the £167,000 increase was treated as other incoming resources; there were no other incoming resources in 2025.

Overall income decreased by £277,657.

£199,901 (down £14,719) was spent from unrestricted funds and £234,300 (up £18,710) from restricted funds to provide the Christian ministry from St. Mary’s Church. In addition to services, this includes mission and charity, children youth and schools work, social action, administration, Churchyard maintenance and improvement, and buildings. The Diocesan Parish Gift, which largely provides stipends and housing for the clergy, was £51,700 (unchanged). Personnel costs were £127,559 (down £4,885); the decrease was due reduced staff numbers offset by salary increases. Apart from the foodbank, personnel costs are paid mostly from the general fund, with a small contribution from the Ministry Staff fund. The Foodbank issued £68,027 worth of food to clients and other charities (down £1,795); its running costs were £46,483 (up £5,063), this was dominated by provision for a Citizens Advice worker to attend distribution sessions. We spent £43,046 on Buildings Management (down £29,617); this was mostly running costs and maintenance (last year included £16,388 to finish refurbishing the Church Gate Centre). Overall Discipleship costs were £2,954 (down £1,242); There were no costs for courses (£974 last year), the rest was mostly services. Regular support for overseas mission, through the Crosslinks organisation, continued at £6,000. We also spent £3,500 (£12,000 last year) to support two of our members training for overseas mission, and continued the support when they moved overseas

Page 3

St Mary's Lutterworth PCC Annual Report (continued) For the year ending 31 December 2025

through UFM Worldwide at £1000. Office costs were £4,322 (down £1,585). Costs for Outreach and Welcome were £6,152 (up £2,226), and Community Action activities cost £3,348 (up £1,728). Work with under-18s cost £4,077 (down £225). £16,903 (down £1,458) was spent on Churchyard maintenance and improvement; this is mostly a mowing contract with a grounds maintenance company, (supported by grant aid from the Town Council). Other resources spent included £42,536 of grants was returned to the donor following our withdrawal from the Trussell Trust Pathfinder project, and £1.380 in preparation for the sale of the house at 3 Poplar Avenue.

Overall expenditure increased by £3,991

There was a deficit before transfers of £19,010 in unrestricted funds and a deficit of £64,435 in restricted funds.

The PCC is continuing to take steps to improve its income and control costs, including emphasis on the need for increased regular giving from our members, and has actively sought most of the grants mentioned above.

In preparation for its sale, the house at 3 Poplar Avenue, it was valued at the agreed selling price of £265,000, and that value was transferred to the general fund.

The net results for the year, after various transfers between funds and gains or losses on investments (detailed in the financial statements), were an increase of £243,373 unrestricted funds, a decrease of £344,789 restricted funds and a decrease of £525 endowment funds. The balances carried forward (including tangible and investment fixed assets) were £405,504 of unrestricted funds, £349,811 of restricted funds and £14,096 of endowment funds.

Reserves policy

The PCC holds a number of funds, balances and details of which are set out in notes 9e and 14 on pages 18, 19, 21 and 22 of the accounts. Restricted and endowment funds can by law only be applied to the purpose specified; unrestricted funds are available to the PCC to use for any purpose within its objects.

The PCC has adopted a policy to set aside from unrestricted funds a General Reserve fund. This fund is held in reserve to cover risks of significant decline in income, theft of lead from the roof, unplanned repairs to the Church and other properties, unplanned work on trees in the Churchyard and other unplanned expenditure. The risks will be reviewed annually, and the reserve adjusted accordingly. The reserve fund stood at £34,941 at the beginning of the year; By 31 December it was £36,489, after accrual of interest.

It is our policy to invest our funds balances with CBF Church of England Deposit Fund.

Approved by the Parochial Church Council on 16 March 2026 and signed on its behalf by:

Rev. Nigel Gordon Byard, Rector, PCC Chairman

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x
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Page 4

St Mary's Lutterworth PCC Statement of Financial Activities For the year ending 31 December 2025

St Mary's Lutterworth PCC
Statement of Financial Activities
For the year ending 31 December 2025
Note Unre-
stricted
Funds
£
Re-
stricted
Funds
£
Endow-
ment
Funds
£
TOTAL FUNDS
2025
£
2024
£
INCOMING RESOURCES
Voluntary income 2(a) 147,890 155,326
303,216 418,184
Activities for generating funds 2(b) 1,095
3,328

4,423
3,135
Investment income 2(c) 16,130
7,679

23,809
25,169
Church activities 2(d) 15,775
3,533

19,309
14,908
Other incoming resources 2(e) 0
0 167,018
TOTAL INCOMING RESOURCES 180,890 169,866
350,756 628,413
RESOURCES EXPENDED
Costs of generating funds 3(a) 137
330

467
888
Church activities 3(b) 197,815 191,273
389,088 427,253
Governance costs 3(c) 355
355
356
Other resources expended 3(d) 1,594
42,697

44,291
1,713
TOTAL RESOURCES EXPENDED 199,901 234,300
434,201 430,210
NET INCOMING/(OUTGOING) RESOURCES
BEFORE TRANSFERS
(19,010) (64,435)
(83,445) 198,203
TRANSFERS BETWEEN FUNDS
Transfers from other funds 6(a) 271,147
21,142

292,289
30,044
Transfers to other funds 6(b) 9,792 282,496
292,289
30,044
NET TRANSFERS FROM/(TO) OTHER FUNDS 261,354 (261,354
)



NET INCOMING/(OUTGOING) RESOURCES 242,344 (325,789
)

(83,445) 198,203
GAINS (LOSSES) ON INVESTMENTS 7(a) 1,030 (19,000)
(525)
(18,495) (14,228)
NET MOVEMENT IN FUNDS 243,373 (344,789
)

(525)
(101,940
)

183,975
BALANCES BROUGHT FORWARD AT
1 JANUARY
162,130 694,600
14,621
871,352 687,377
BALANCES CARRIED FORWARD AT
31 DECEMBER
405,504 349,811
14,096
769,411 871,352

Page 5

St Mary's Lutterworth PCC Balance Sheet at 31 December 2025

Notes 2025
£
2024
£
FIXED ASSETS
Tangible fixed assets 8(a), 9(a) 241,000 241,000 241,000
243,999
243,999
Investment assets 8(b), 9(b) 325,921 325,921 325,921
344,417
344,417
566,921 566,921 566,921
588,416
588,416
CURRENT ASSETS 9(c)
Debtors 10 34,167 34,167 19,885
Short term deposits 125,942 125,942 125,942
212,121
212,121
Cash at bank and in hand 32,948 32,948 59,065
Foodbank stock 16,973 16,973 14,396
210,030 210,030 210,030
305,467
305,467
LIABILITIES: AMOUNTS FALLING DUE WITHIN
ONE YEAR
9(d),11 7,540 7,540 22,531
NET CURRENT ASSETS 202,491 202,491 202,491
282,936
282,936
NET ASSETS 769,411 769,411 769,411
871,352
871,352
FUNDS 9(e)
Unrestricted 405,504 405,504 405,504
162,130
162,130
Restricted 349,811 349,811 349,811
694,600
694,600
Endowment 14,096 14,096 14,621
769,411 769,411 769,411
871,352
871,352

Approved by the Parochial Church Council on 16 March 2026 and signed on its behalf by:

Rev. Nigel Gordon Byard, Rector, PCC Chairman

x

Mr. Peter William Gray (treasurer)

x . #0 Cray

The notes on pages 7 to 23 form part of these accounts

Page 6

St Mary's Lutterworth PCC Notes to the Financial Statements For the year ending 31 December 2025

1 ACCOUNTING POLICIES

The financial statements have been prepared in accordance with the Church Accounting Regulations 2006 together with applicable accounting standards and the SORP 2005

The financial statements have been prepared under the historical cost convention except for the valuation of investment assets, which are shown at market 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 church groups that owe their main affiliation to another body, nor those that are informal gatherings of church members.

All amounts shown in the financial statements are rounded to the nearest whole pound.

Funds

Endowment funds are funds, the capital of which must be maintained; only income arising from investment of the endowment may be used either as restricted or unrestricted funds depending upon the purpose for which the endowment was established.

Restricted funds represent (a) income from trusts or endowments which may be expended only on those restricted objects provided in the terms of the trust or bequest, and (b) donations or grants received for a specific object or invited by the PCC for a specific object. The funds may only be expended on the specific object for which they were given. Any balance remaining unspent at the end of each year must be carried forward as a balance on that fund.

Unrestricted funds are funds which can be used for PCC ordinary purposes. They include the General fund and funds designated by the PCC for specific purposes.

Incoming resources

Collections are recognised when received by or on behalf of the PCC. Planned giving receivable under Gift Aid 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.

Funds raised by fetes, garden parties and similar events are accounted for gross.

Sales of books and magazines from the church bookstall are accounted for gross.

Rental income from the letting of church premises is recognised when the rental is due.

Dividends are accounted for when due and payable. Interest entitlements are accounted for as they accrue. Tax recoverable on such income is recognised in the same accounting year.

Realised gains or losses are recognised when investments are sold. Unrealised gains or losses are accounted for on revaluation of investments at 31 December.

Resources used

Grants and donations are accounted for when awarded, whether or not that creates a binding obligation on the PCC.

The parish gift is both accounted for and paid by instalments. Any parish gift unpaid at 31 December is provided for in these financial statements as an operational (though not a legal) liability and is shown as a creditor in the Balance Sheet. Any parish gift overpaid at 31 December is provided for in these financial statements as an asset and is shown as a debtor in the Balance Sheet

All other expenditure is generally recognised when incurred and is accounted for gross.

Fixed assets

Consecrated property and movable church furnishings

Consecrated and beneficed property is not included in the accounts in accordance with s.10(2)(a) and (c) of the Charities Act 2011.

Page 7

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

Movable church furnishings held by the Rector and Churchwardens on special trust for the PCC, and which require a faculty for disposal, are accounted as inalienable property unless consecrated. They are listed in the church's Inventory which can be inspected (at any reasonable time). For inalienable property acquired prior to 2000 there is insufficient cost information available and therefore such assets are not valued in the financial statements. Items acquired since 1 January 2000 at a cost of £1,000 or more have been capitalised and depreciated in the financial statements over their currently anticipated useful economic life on a straight-line basis.

For Service Books, the anticipated life is 10 years.

All expenditure incurred in the year on consecrated or beneficed buildings, individual items under £1,000 or on the repair of movable church furnishings acquired before 1 January 2000 is written off.

Other fixtures, fittings and office equipment

Equipment used within the church premises is depreciated on a straight line basis over 5 years. Individual items of equipment with a purchase price of £1,000 or less are written off when the asset is acquired.

Investments

Investments are valued at market value at 31 December.

Current assets

Amounts owing to the PCC at 31 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 either with the CBF Church of England Funds or at the bank.

2 INCOMING RESOURCES

All incoming resources went to the General fund
unless otherwise noted
Unre-
stricted
Funds
£
Re-
stricted
Funds
£
Endow-
ment
Funds
£
TOTAL FUNDS TOTAL FUNDS
2025
£
2024
£
2(a) Voluntary income
Annual Appeals
Other Donations 161
Planned giving
Gift aided planned giving

General fund
60,559
60,559
58,130

Foodbank (R) fund
1,930
1,930
3,890

Ministry Staff (R) fund
3,557
3,557
4,708
Income tax recoverable

General fund
15,140
15,140
14,533

Foodbank (R) fund
483
483
973

Ministry Staff (R) fund
889
889
1,177
Regular Web Giving

General fund
7,830
7,830
7,520

Foodbank (R) fund
6,723
6,723
6,536
Regular Web Tax recovered

General fund
247
247
227

Foodbank (R) fund
1,326
1,326
1,288
Payroll Giving

General fund
3,932
3,932
8,868

Ministry Staff (R) fund
128
128
412

Mission and Charity (R) fund
1,500
1,500
3,000
Other planned giving

General fund
6,129
6,129
6,837

Foodbank (R) fund
1,345
1,345
1,440

Page 8

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

All incoming resources went to the General fund
unless otherwise noted
Unre-
stricted
Funds
£
Re-
stricted
Funds
£
Endow-
ment
Funds
£
TOTAL FUNDS TOTAL FUNDS
2025
£
2024
£
2(a) Voluntary income (continued)
Web Site Giving
Donations

General fund
2,093
2,093
2,802

Events (D) fund
100

Building Appeal (R) fund
1,175
1,175

Churchyard Appeal (R) fund
500
500

Community Action (R) fund
100

Foodbank (R) fund
3,561
3,561
2,072
Tax Recovered

General fund
21
21
31

Building Appeal (R) fund
242
242

Churchyard Appeal (R) fund
41
41

Foodbank (R) fund
643
643
311
Collections (open plate)

General fund
4,213
4,213
3,594

Events (D) fund
83
83
16

Foodbank (R) fund
90
90
92

Mission and Charity (R) fund
293
293
157
Grants received

General fund
34,759
34,759
21,144

General Reserve (D) fund
1,892

Events (D) fund
900
900
1,000

Churchyard Maintenance (R) fund
8,000
8,000
10,000

Community Action (R) fund
13,801
13,801
16,784

Foodbank (R) fund
15,891
15,891 118,907

Ministry Staff (R) fund
432
432
48
Sundry donations and appeals
Gift aided donations

General fund
2,235
2,235
6,486

Events (D) fund
60

Building Appeal (R) fund
9,000
9,000

Chaplaincy (R) fund
1,200

Churchyard Appeal (R) fund
6,550
6,550

Community Action (R) fund
100

Foodbank (R) fund
1,022
1,022
2,110
Income Tax Recoverable

General fund
559
559
1,622

Events (D) fund
15

Building Appeal (R) fund
2,250
2,250

Chaplaincy (R) fund
300

Churchyard Appeal (R) fund
1,638
1,638

Community Action (R) fund
25

Foodbank (R) fund
255
255
528
Candle Box 67
67
60
Wall Box 397
397
501
For Easter Lilies

Flower (D) fund
405
405
413
Mission appeals

Mission and Charity (R) fund
291
291

Page 9

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

All incoming resources went to the General fund
unless otherwise noted
Unre-
stricted
Funds
£
Re-
stricted
Funds
£
Endow-
ment
Funds
£
TOTAL FUNDS TOTAL FUNDS
2025
£
2024
£
2(a) Voluntary income (continued)
Sundry donations and appeals (continued)
Other Donations

General fund
6,866
6,866
28,164

Events (D) fund
52
52
23

Bell (R) fund
50
50

Building Appeal (R) fund
600
600

Churchyard Appeal (R) fund
285
285

Community Action (R) fund
1,051
1,051
801

Foodbank (R) fund
135
135
1,822

Ministry Staff (R) fund
663
663

Mission and Charity (R) fund
15
Income tax (not previously accrued) 1,404
1,404
Gifts in Kind

Foodbank (R) fund
68,985
68,985
75,187
147,890 155,326
303,216 418,184
2(b) Activities for generating funds
Functions and Events

Community Action (R) fund
2,284

Events (R) fund
3,328
3,328
Hiring out rooms 645
645
585
Charitable Trading Income 450
450
266
1,095
3,328

4,423
3,135
2(c) Investment income
Dividends on Investments

Churchyard Trusts Revenue (R) fund
365
365
356
Interest on Deposits

General fund
52
52
70

General Reserve (D) fund
1,548
1,548
2,382

Parsonage (D) fund
22
22
9

Bell (R) fund
276
276
302

Churchyard Trusts Revenue (R) fund
233
233
242

Community Action (R) fund
23
23
130

Foodbank (R) fund
5,935
5,935
6,817

Hardship (R) fund
305
305
341

Organ (R) fund
518
518
583
Rents etc. 14,409
14,409
13,809
Interest on tax reclaimed

General fund
99
99
93

Other unrestricted funds

Foodbank (R) fund
16
16
15

Other restricted funds
9
9
19
16,130
7,679

23,809
25,169

Page 10

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

All incoming resources went to the General fund
unless otherwise noted
Unre-
stricted
Funds
£
Re-
stricted
Funds
£
Endow-
ment
Funds
£
TOTAL FUNDS TOTAL FUNDS
2025
£
2024
£
2(d) Church activities
Discipleship
Courses 187
Fees due to the PCC (statutory) 10,826
10,826
7,866
Fees due to the PCC (Locally set)

General fund
600
600
861

Bell (R) fund
20
20
40
Outreach and Welcome

General fund
429
429
1,383

Community Action (R) fund
1,409
1,409

Foodbank (R) fund
160
160
Social Action
Community Action

Community Action (R) fund
1,944
1,944
459
Under 18s work
with Children

General fund
2,245
2,245
1,715

Events (D) fund
1,676
1,676
2,050
with Youth

General fund
20

Events (D) fund
327
15,775
3,533

19,309
14,908
2(e) Other incoming resources
Re-valuation of fixed assets1

Unrestricted Property (D) fund
18,543

CGC Property (R) fund
148,457
Stocktaking Adjustments

Foodbank (R) fund
0
0
Miscellaneous Adjustments 18
0
0 167,018
TOTAL INCOMING RESOURCES 180,890 169,866
350,756 628,413
3
RESOURCES EXPENDED
All resources expended came from the General fund
unless otherwise noted

Unre-
stricted
Funds
£
Re-
stricted
Funds
£
Endow-
ment
Funds
£
TOTAL FUNDS
2025
£
2024
£
3(a) Costs of generating funds
Costs of fundraising events

Community Action (R) fund
775

Events (R) fund
330
330
Charitable trading costs 73
73
55
Costs of generating voluntary income 64
64
58
137
330

467
888

1 A valuation of the Churchgate Community Centre was obtained following the completion of its refurbishment in 2024. These figures represent the increase in value from that recorded at the end of 2023

Page 11

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

All resources expended came from the General fund
unless otherwise noted

Unre-
stricted
Funds
£
Re-
stricted
Funds
£
Endow-
ment
Funds
£
TOTAL FUNDS TOTAL FUNDS
2025
£
2024
£
3(b) Church activities
Management-Buildings
New buildings or major works (CGC project)

General fund
1,600

Community Action (R) fund
11,224

Foodbank (R) fund
3,564
Church Major repairs (structure) (arising from
quinquennial report)




289
Church major repairs (installations) 6,965
Church Running Expenses 25,946
25,946
30,797
Church Maintenance

General fund
3,275
3,275
5,572

Information Technology (R) fund
108
108

Organ (R) fund
175
Church Improvements 500
500
500
Church Gate Centre Running Costs

General fund1
1,946


1,946

(9)

Unrestricted Property (D) fund
812
812
812

CGC Property (R) fund
1,688
1,688
1,688

Community Action (R) fund
6,272
6,272
7,310
Upkeep of 3 Poplar Avenue 2,421
2,421
2,102
Parsonage house

Parsonage (D) fund
79
79
75
Management-Churchyard

General fund
343
343
1,800

Churchyard Maintenance (R) fund
16,560
16,560
16,560
Management-Church Office

General fund
3,546
3,546
5,907

Community Action (R) fund
4
4

Information Technology (R) fund
772
772
Management-Communications

General fund
1,776
1,776
2,083

Community Action (R) fund
490
490
408
Discipleship
Courses 974
Church at home 46
One to One 10
Prayer Events 18
Resources 78
78
370
Services

General fund
2,324
2,324
2,450

Flower (D) fund
348
348
288

Information Technology (R) fund
39
Smallgroups 204


204

1 The negative amount in 2024 arose from the revision of a utility bill from 2023.

Page 12

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

All resources expended came from the General fund
unless otherwise noted

Unre-
stricted
Funds
£
Re-
stricted
Funds
£
Endow-
ment
Funds
£
TOTAL FUNDS TOTAL FUNDS
2025
£
2024
£
3(b) Church activities (continued)
Grants (see note 12 for policy and recipients)
Church overseas
Overseas Missions 7,000
7,000
6,000
Home Missions etc

General fund
2,025
2,025
9,092

Mission and Charity (R) fund
2,866
2,866
3,172
Secular charities

Mission and Charity (R) fund
235
235
Individuals etc.

Hardship (R) fund
126
126
20
Outreach and Welcome

General fund
1,072
1,072
3,736

Community Action (R) fund
4,677
4,677
190

Foodbank (R) fund
404
404
Parish Gift 51,700
51,700
51,700
Personnel
Gratuities etc.

General fund
60
60
87

Foodbank (R) fund
102
102
139
Honoraria 20
20
10
Staff costs
Employment costs

General fund
84,224
84,224
72,097

Foodbank (R) fund
34,180
34,180
46,835

Ministry Staff (R) fund
3,878
3,878
6,844
Recruitment

Foodbank (R) fund
459
Training

General fund
81
81
130

Foodbank (R) fund
454

Ministry Staff (R) fund
5
5
373
Human Resources

General fund
180

Foodbank (R) fund
78
Working expenses

General fund
3,960
3,960
3,839

Community Action (R) fund
72
72

Ministry Staff (R) fund
976
976
919
Prayer and Pastoral 117
Social Action
Community Action

Community Action (R) fund
3,348
3,348
1,619
Foodbank-in kind

Foodbank (R) fund
68,027
68,027
69,822
Foodbank-monetary1

Foodbank (R) fund
46,483
46,483
41,420

1 From June 2024, this includes grant funded £6,701 per quarter for provision of a Citizens Advice worker, Page 13

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

All resources expended came from the General fund
unless otherwise noted

Unre-
stricted
Funds
£
Re-
stricted
Funds
£
Endow-
ment
Funds
£
TOTAL FUNDS TOTAL FUNDS
2025
£
2024
£
3(b) Church activities (continued)
Under 18s work
with Children

General fund
508
508
179

Events (D) fund
1,935
1,935
2,074
with Families 124
124
271
in Schools 233
233
77
with Youth

General fund
1,044
1,044
1,080

Events (D) fund
480
Shared 233
233
141
197,815 191,273
389,088 427,253
3(c) Governance costs
Independent examiner's fees 308
308
308
Miscellaneous 47
47
38
PCC Meetings etc. 11
355
355
356
3(d) Other resources expended
Bank charges etc.

General Fund
144
144
150

Events (D) fund
63
63
61

Other designated funds
0

Building Appeal (R) fund
82
82

Churchyard Appeal (R) fund
75
75

Other restricted funds
5
5
2
Debts written off

Chaplaincy (R) fund1




1,500
Stocktaking Adjustments

Foodbank (R) fund
0
0
Miscellaneous

General Fund2
1,387


1,387


Foodbank (R) fund3

42,536


42,536

1,594
42,697

44,291
1,713
TOTAL RESOURCES EXPENDED 199,901 234,300
434,201 430,210

1 In 2024, unclaimable grant for a past activity

2 Costs relating to the sale of 3 Poplar Avenue (£1,380) and safeguarding (£7).

3 Unspent grant funding for the foodbank returned to grantor.

Page 14

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

4 STAFF COSTS

2025
£
2024
£
Salaries, Wages, etc. 105,877 113,682
Employer’s National Insurance 11,659
7,074
Employer's Pension Contribution 4,767
5,031
122,302 125,786

During the year, the PCC employed a church administrator, an Associate Pastor, a community and funding officer, a foodbank manager, and foodbank pathfinder project learning lead, none of whom earned £60,000 p.a. or more.

5 TRANSACTIONS WITH RELATED PARTIES

The following member of the PCC was paid during the year: Mr Ben Horrex, £39,570 as Associate Pastor. There were no other disclosable transactions in respect of PCC members, persons closely connected with them or other related parties.

6 TRANSFERS BETWEEN FUNDS

Unre-
stricted
Funds
£
Re-
stricted
Funds
£
Endow-
ment
Funds
£
TOTAL FUNDS TOTAL FUNDS
2025
£
2024
£
6(a) Transfers from other funds
From General fund

to Events (D) fund, to cover deficit from
events




106

to Parsonage (D) fund, annual designation
by PCC
500


500

500

to Churchyard Maintenance (R) fund, to
make up shortfall in income compared to
expenditure

8,010


8,010

6,010
From General Reserve(D)fund

General fund,to cover deficit in 2024




13,684
From 3 Poplar Avenue(property) (R)fund

To General fund, in preparation for sale of 3
Poplar avenue
265,000

265,000
From Churchyard Trusts Revenue(R)fund

to Churchyard Maintenance (R) fund,
towards costs

550


550

550
From Events (D) fund

To General fund, surplus from events
1,282
1,282
1,083
From Events (R) fund

To General fund, proceeds from event(s)
813
813

to Community Action (R) fund, proceeds
from event(s)

1,164


1,164


to Mission and Charity (R) fund, proceeds
from event(s)

1,018


1,018

From Foodbank (R) fund

to General fund, contribution for use of CCC
and towards church office costs
3,552


3,552

2,610

to Community Action (R) fund, contribution
for use of CCC

10,400


10,400

5,500
271,147
21,142

292,289
30,044

Page 15

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

Unre-
stricted
Funds
£
Re-
stricted
Funds
£
Endow-
ment
Funds
£
TOTAL FUNDS TOTAL FUNDS
2025
£
2024
£
6(b) Transfers to other funds
To General fund

from General Reserve (D) fund
13,684

from Events (D) fund
1,282
1,282
1,083

from Events (R) fund
813
813

from Foodbank(R)fund

3,552


3,552

2,610

from 3 Poplar Avenue(property) (R)fund
265,000
265,000
To Churchyard Maintenance(R)fund

from General fund
8,010


8,010

6,010

from Churchyard Trusts Revenue(R)fund

550


550

550
To CommunityAction(R)fund

from Events(R)fund

1,164


1,164


from Foodbank(R)fund

10,400


10,400

5,500
To Events (D) fund

from General fund




106
To Mission and Charity (R)fund

from Events(R)fund

1,018


1,018

To Parsonage (D) Fund

from General fund
500
500
500
9,792 282,496
292,289
30,044
NET TRANSFERS FROM/(TO) OTHER FUNDS 261,354 (261,354
)



7
GAINS AND LOSSES ON INVESTMENTS
7
GAINS AND LOSSES ON INVESTMENTS
Unre-
stricted
Funds
£
Re-
stricted
Funds
£
Endow-
ment
Funds
£
TOTAL FUNDS
2025
£
2024
£
7(a) Gains (Losses) on Investment Assets
on Revaluation

Unrestricted Property (D) fund
1,030
1,030
(9,662)

Poplar Avenue Property (R) fund
(19,000)
(19,000)
(6,000)

Churchyard Trusts Capital (E) fund
(525)
(525)

1,435
GAINS(LOSSES)ON INVESTMENTS 1,030 (19,000) (525) (18,495) (14,228)

Page 16

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

8 FIXED ASSETS FOR USE BY THE PCC

Freehold Land
and Buildings1
£
Freehold Land
and Buildings1
£
Church
Equipment2
£
Church
Equipment2
£
Total
£
8(a) Tangible fixed assets
ACTUAL/DEEMED COST At 1 January 262,000 28,366 290,366
Disposals
Additions at cost
At 31 December 262,000 28,366 290,366
DEPRECIATION At 1 January 19,500 26,866
46,366
Withdrawn on disposals
Charge for the year 2,500 500
3,000
At 31 December 22,000 27,366
49,366
NET BOOK VALUE At 31 December 240,000 1,000 241,000
Freehold
Land and
Buildings3
£
Freehold
Land and
Buildings3
£
CBF
Investment
Account4
£
CBF
Investment
Account4
£

Other
Securities5
£

Other
Securities5
£
Total
£
8(b) Investment fixed assets
Market value–1 January 331,263 13,134 20 344,417
Net gains (losses) on annual revaluation

Churchyard Trusts Capital (E) fund
(525) (525)

Poplar Avenue Property (R) fund
(19,000) (19,000)

Unrestricted Property (D) fund
1,030 1,030
Market value–31 December 313,292 12,609 20 325,921

1 The tangible Freehold Land and Buildings comprises the Church Gate Centre, purchased in September 2006. After major refurbishment during 2023 and early 2024, the property was re-valued. The increase in value was treated as an addition at cost.

2 The Church Equipment comprises Mission Praise hymnbooks purchased in 2004 (half disposed of by 2023); radio microphones purchased in 2007; an electronic organ purchased in 2012; a projector purchased in 2014; a sound mixing desk with stage box purchased in 2016; a projector screen purchased in 2018; and a cooker purchased in 2023.

3 The investment freehold land and buildings comprise 3 Poplar Avenue (valued at agreed minimum selling price), and a field off Boneham’s Lane near Milords Farm (estimated value provided by the tenant based on the current value of agricultural land in the locality).

4 The holdings in CBF investment account are 568 shares. They are held by the diocese as custodian trustees of various Churchyard Trusts.

5 The other securities are valued at nominal value. They are held by the diocese as custodian trustees of various Churchyard Trusts.

Page 17

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

9 ANALYSIS OF NET ASSETS BY FUND

Unre-
stricted
Funds
£
Re-
stricted
Funds
£
Endow-
ment
Funds
£
TOTAL FUNDS TOTAL FUNDS
2025
£
2024
£
9(a) Tangible Fixed Assets

General fund
1,000
1,000
1,499

Unrestricted Property (D) fund
77,931
77,931
78,742

CGC Property (R) fund
162,069
162,069 163,758
Total Tangible Fixed Assets 78,930 162,069
241,000 243,999
9(b) Investment Fixed Assets

General fund
265,000
265,000

Unrestricted Property (D) fund
48,292
48,292
47,263

Poplar Avenue Property (R) fund
284,000

Churchyard Trusts Capital (E) fund
12,629
12,629

13,154
Total Investment Fixed Assets 313,292
12,629 325,921 344,417
9(c) Current Assets

General fund
(20,275)
(20,275)
10,470

General Reserve (D) fund
36,489
36,489
34,941

Events (D) fund
(150)
(150)
(150)

Flower (D) fund
779
779
721

Parsonage (D) fund
1,055
1,055
613

Bell (R) fund
6,454
6,454
6,108

Building Appeal (R) fund
13,186
13,186

Churchyard Appeal (R) fund
8,939
8,939

Churchyard Trusts Revenue (R) fund
1,929
1,929
1,881

Community Action (R) fund
6,231
6,231
(8,354)

Foodbank (R) fund
130,939
130,939 235,180

Freeman (R) fund
55
55
55

Hardship (R) fund
6,906
6,906
6,728

Information Technology (R) fund
634
634
1,513

Ministry Staff (R) fund
2,706
2,706
2,906

Mission and Charity (R) fund
783
783

Organ (R) fund
11,904
11,904
11,386

Churchyard Trusts Capital (E) fund
1,468
1,468

1,468
Total current assets 17,898 190,665
1,468
210,030 305,467
9(d) Current Liabilities

General fund
4,617
4,617
11,969

Community Action (R) fund
460
460
807

Foodbank (R) fund
1,631
1,631
8,687

Ministry Staff (R) fund
49
49
1,068

Mission and Charity (R) fund
783
783
Total Current Liabilities 4,617
2,923

7,540
22,531
9(e) Fund Balances

General fund1
241,108

241,108

General Reserve (D) fund
36,489
36,489
34,941

Events (D) fund2
(150)

(150)
(150)

Flower (D) fund
779
779
721

1 The General fund would have been in deficit at the end of 2024; this was corrected by a transfer from the General Reserve (D) fund.

2 The Events (D) fund was in deficit at the end of 2023, and remains so at the end of 2025. This was due to having paid the deposit for the 2023 Youth Weekend Away, which has now been indefinitely postponed.

Page 18

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

Unre-
stricted
Funds
£
Re-
stricted
Funds
£
Endow-
ment
Funds
£
TOTAL FUNDS TOTAL FUNDS
2025
£
2024
£
9(e) Fund Balances (continued)

Parsonage (D) fund
1,055
1,055
613

Unrestricted Property (D) fund
126,223
126,223 126,005

Bell (R) fund
6,454
6,454
6,108

Building Appeal (R) fund
13,186
13,186

CGC Property (R) fund
162,069
162,069 163,758

Chaplaincy (R) fund

Churchyard Appeal (R) fund
8,939
8,939

Churchyard Maintenance (R) fund

Churchyard Trusts Revenue (R) fund
1,929
1,929
1,881

Community Action (R) fund1

5,770


5,770

(9,161)

Events (R) fund

Foodbank (R) fund
129,308
129,308 226,493

Freeman (R) fund
55
55
55

Hardship (R) fund
6,906
6,906
6,728

Information Technology (R) fund
634
634
1,513

Ministry Staff (R) fund
2,656
2,656
1,839

Mission and Charity (R) fund

Organ (R) fund
11,904
11,904
11,386

Poplar Avenue Property (R) fund
284,000

Churchyard Trusts Capital (E) fund
14,096
14,096

14,621
Total Fund Balances 405,504 349,811
14,096
769,411 871,352
10 DEBTORS
2025
£
2024
£
Income tax recoverable2 8,041 10,781
Prepayments 4,026 4,301
Other Debtors 22,100 4,802
34,167 19,885
11 LIABILITIES FALLING DUE WITHIN ONE YEAR
2025
£
2024
£
Creditors for goods and services 4,710 17,506
Other Creditors 2,830 5,025
7,540 22,531

1 The Community Action (R) fund was in deficit at the end of 2024; by the end of 2025 it was in surplus.

2 One claim (for the year 2023) was made and received in 2024, with £13,946 recovered. One claim (for the year 2024) was made and received in 2025, with £11,987 recovered.

Page 19

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

12 GRANTS POLICY AND RECIPIENTS

The collections at certain services are announced as being for specific missions or charities. The PCC also occasionally receives donations earmarked for specific missions or charities. All such funds are sent to the specified recipient.

In 2018 the PCC started a 3-year commitment to support two missionary families in Africa and Spain, through the Crosslinks organisation. This has been extended four more years to 2024

In 2022 two members of the church began training for overseas mission. The PCC supported them financially during their training period, which ended in 2025. They are now working overseas and the PCC continues to support them through a Mission Society.

From time to time the PCC organises or hosts events to raise funds for specific missions or charities.

From time to time the PCC makes grants to specific missions or charities, in response to requests for donations.

From time to time the PCC makes grants to individuals, to assist in cases of hardship, using funds given for that purpose.

Recipients are detailed below.

Recipients

2025
£
2024
£
Archdeacon's Discretionary Fund 292
Bishop's MES Bursary Fund 100
Crosslinks Milsom 3,000 3,000
Crosslinks Moody 3,000 3,000
Sam & Bianca Duffin (Mission Training) 3,500 12,000
UFM Worldwide 1,000
Leicester DG Bell Restoration Fund 25 25
Leicester South Salvation Army 783
Lutterworth Veterans Social Welfare Fund 235
Mothers'Union 15
The Children's Society 291 72
Rye Hill Prison staff Easter gifts 52
Individuals (Social Need) 126 20
12,252 18,284

13 SOCIAL ACTION

As well as the charitable giving described above, the PCC operates a Foodbank affiliated with the Trussell Trust. Grants were paid to the national charity to assist with their work in providing the central support for this activity, but have been suspended by the Trust since 2021. Food and other necessities received mostly as donations in kind are distributed to clients requesting assistance, with some going to other charities or to waste

Recipients

2025
£
2024
£
Clients 65,571 68,462
Other foodbanks etc. 1,259
Out of date and spoiled 1,175 1,360
Adjustments 22
68,027 69,822

Page 20

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

14 FUND DETAILS

The restricted funds comprise:-

The Bell (R) fund. This consists of funds given for the purpose of maintaining the Church Bells.

The Building Appeal (R) fund. This consists of funds raised by appeal, for the maintenance and repair of the Church building (Initially for repair of the clock face and hands).

The CGC Property (R) fund. This represents that part of the value of the Church Gate Centre which was bought using funds released through the sale of the old Church Hall and the part of its refurbishment using restricted funds.

The Chaplaincy (R) fund. This consists of funds received for the purpose of supporting the Chaplain in Lutterworth College. Use of this fund was discontinued in 2020 when the Chaplain was directly employed by the College. It was closed in 2024 after a donation was received to replace an uncollectable expired grant.

The Churchyard Appeal (R) fund. This consists of funds raised by appeal, for the maintenance of the churchyard (initially for work on a storm-damaged tree).

The Churchyard Maintenance (R) fund. This consists of funds received by grant and donation for the purpose of maintaining the churchyard

The Churchyard Trusts Revenue (R) fund. This consists of accumulated income from the Churchyard Trusts Capital (E) fund, to be used for maintenance of the churchyard.

The Community Action (R) fund. (formerly the Community Centre (R) fund). This consists of funds raised by grant and donation for the purpose of refurbishing the Churchgate Centre and transforming it into the Churchgate Community Centre. After the refurbishment was complete, the fund’s scope was expanded to include running the Centre and other Community Action work

The Events (R) fund. Some events organised by the PCC are for fund-raising purposes (for restricted funds) but have related costs. Sometimes the income and expenditure may be in different years. This fund is used to separate such monies from routine income and expenditure, with the net proceeds transferred to the relevant fund(s).

The Foodbank (R) fund. This consists of funds raised for the purpose of setting up and running the Lutterworth and Villages Foodbank

The Freeman (R) fund. This consists of funds given for the purpose of re-gilding the letters and figures and heraldic arms on and generally maintaining in good order and condition the “Freeman” tablet in the chancel of the Church.

The Hardship (R) fund. This consists of funds given to assist in cases of hardship. It was formed in 2012 on the closure of two small local charities for the poor, and subsequently augmented by other donations.

The Information Technology (R) fund. This consists of funds given for the purpose of providing computing, communications and multimedia equipment for the Church.

The Ministry Staff (R) fund. This consists of funds raised for the purpose of employing paid staff in the Church’s various ministries, including but not limited to Assistant, Children and Families, and Youth work.

The Mission and Charity (R) fund. This consists of funds raised through collections at particular services, and by appeal or donation, specifically to be given to missions and charities.

The Organ (R) fund. This consists of funds given for the purpose of maintaining and restoring the Church Organ.

The Poplar Avenue Property (R) fund. This represents the value of 3 Poplar Avenue, since it was originally purchased as a Curate’s House, using the proceeds of the sale of Havelock House, which had been given to the PCC as a Curate’s House. In 2025 the value was transferred to the general fund and the fund was closed, in preparation for the sale of the house.

Page 21

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

The endowment fund comprises:-

The Churchyard Trusts Capital (E) fund. This is a collection of small trusts the income of which is to be used for the maintenance of the churchyard. This fund is held by the diocese, and the income from it is paid into the Churchyard Trusts Revenue (R) fund.

The unrestricted funds comprise the General fund, and the following designated funds:-

The General Reserve (D) fund. This consists of funds set aside by the PCC as a reserve to cover various contingencies as detailed in the Reserves Policy

The Events (D) fund. Some events organised by the PCC (such as Parish Weekends Away) involve significant income and expenditure, but are largely self-financing, or are for fund-raising purposes but have related costs. Sometimes the income and expenditure may be in different years. This fund is used to separate such monies from routine income and expenditure, with any surplus or shortfall transferred to or from the general fund.

The Flower (D) fund. This consists of funds designated by the PCC from the General fund, for the purpose of buying flowers to decorate the Church, including donations for Easter Lilies

The Parsonage (D) fund. This consists of funds designated by the PCC, for the purpose of maintaining the decoration of the Parsonage House (Rectory) and providing for minor repairs and maintenance. This fund was opened in 2021 by transfer of the balance of the Parsonage (R) fund on its closure

The Unrestricted Property (D) fund. This represents the value of property which does not have restrictions on it. It currently includes that part of the value of the Church Gate Centre which was bought and refurbished using unrestricted funds, and the field off Boneham’s Lane.

Page 22

St Mary's Lutterworth PCC Notes to the Financial Statements (continued) For the year ending 31 December 2025

15 FUNDS HANDLED BY THE PCC AS AGENT FOR THIRD PARTIES

Fees due to the Diocesan Board of Finance are received by the PCC, and forwarded to the DBF after deducting amounts claimed by Readers and non-stipendiary Clergy. From time to time, other fees are received by the PCC and passed on to other PCCs in the area (usually Bitteswell and Cotesbach), or to the organist, verger, etc. at weddings and funerals. Occasionally, the PCC acts as agent for other PCCs in the area, or for individuals, in the purchase of goods such as altar supplies and stationery. Although these funds do not come under the accounts of the PCC, they are recorded here for information.

2025
£
2024
£
INCOMING RESOURCES
Fees Due to DBF 7,814 8,361
Local Fees (not PCC) 5,498 3,769
Other Transit Fees 4,170 4,760
Other Transit receipts (not fees) 178 195
TOTAL INCOMING RESOURCES 17,660 17,085
RESOURCES EXPENDED
DBF fees claimed by Readers etc. 1,030 668
DBF fees to Diocese 6,784 7,693
Local Fees (not PCC) 5,498 3,769
Other Transit Fees 4,170 4,760
Other Transit Payments (not fees) 178 195
TOTAL RESOURCES EXPENDED 17,660 17,085
NET MOVEMENT IN FUNDS
BALANCE BROUGHT FORWARD AT
1 JANUARY
BALANCE CARRIED FORWARD AT
31 DECEMBER
CURRENT ASSETS
Debtors 337 445
Cash and Bank Accounts (187) (295)
150 150
LIABILITIES: AMOUNTS FALLING DUE WITHIN
ONE YEAR
Creditors 150 150
150 150
NET ASSETS

Page 23

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Independent Examiner’s Report to the PCC of St. Mary’s, Lutterworth

This Report on the financial statements of the PCC for the year ended 31st December 2025, which are set out on pages 1 to 23, is in respect of an examination carried out in accordance with the Church Accounting Regulations 2006 (“the Regulations”) and Section 132 of the Charities 2011 (“the Act”).

Respective responsibilities of the PCC and the Examiner

As members of the PCC you are responsible for the preparation of the financial statements; you consider that the audit requirements of the Regulations and Section 144(2) of the Act do not apply. It is my responsibility to issue this Report on those financial statements in accordance with the terms of Regulations.

Basis of Independent Examiner’s Report

My examination was carried out in accordance with the General Directions given by the Charity Commission. That examination includes a review of the accounting records kept by the PCC and a comparison of the accounts with those records. It also includes considering any unusual items or disclosures in the financial statements and seeking explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently I do not express an audit opinion on the view given by the accounts.

Independent Examiner’s Statement

In connection with my examination, no matters have come to my attention:

Caroline Dexter BSc (Hons), FCA For And On Behalf of Barkers Accountants Limited Chartered Accountants and Statutory Auditors Street Ashton Farmhouse Stretton under Fosse Rugby Warwickshire CV23 0PH

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