OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2022-12-31-accounts

The PCC of the Ecclesiastical Parish of St Mary’s Church Slaugham

End of Year Financial Statements

Year ending 31[st] December 2022

Page 1

TRUSTEES’ ANNUAL REPORT

The Parochial Church Council of the Ecclesiastical Parish of St Mary’s Slaugham registered charity number 1134786 for the year ended 31[st] December 2022

AIMS AND PURPOSES

Slaugham Parochial Church Council has the responsibility of co-operating with the Rector to promote the whole mission of the church (pastoral, evangelistic, social and ecumenical) within the ecclesiastical parish comprising the villages of Handcross, Pease Pottage, Slaugham and Warninglid.

The PCC maintains an overview of worship throughout the parish and makes suggestions on how our services can involve and include the different people who live within our parish.

Our services and worship put faith into practice through prayer, scripture, music and sacrament.

When planning our activities for the year, the incumbent considered the Charity Commission’s guidance on public benefit and, in particular, the specific guidance on ‘charities for the advancement of religion’. We tried to enable local people to live out their faith as part of our parish community through:

To facilitate this work, it is important that we maintain the fabric of our two church buildings, St Mary’s Slaugham and All Saints Handcross.

We are part of a joint benefice with St Mark’s Staplefield and, at appropriate times, join with that church to worship and plan so that maximum benefit can be derived for both parishes.

Page 2

Objectives for 2023

As a newly united parish with St Mark’s, Staplefield we are developing the unity between the existing church congregations, as well as looking for opportunities to start new worshipping communities in Handcross and in Pease Pottage. We are committed to seeing the building development at St Mark’s church completed and to developing our pastoral care within the communities we serve.

ACHIEVEMENTS

Attendance at worship

Our average attendance is between 50 and 60 each week, which comprises people of all ages. We have fewer children in the upper primary to lower secondary age bracket than in previous years, but there has been growth in our younger age groups.

Developing and supporting believers, both established and new

We always have a strong desire for children and young people to develop their faith in Jesus, and we provided a range of groups to encourage and teach them. Whilst the Sunday morning groups have become smaller since lockdowns, they still remain a priority.

Prayer is a central part of all we do at St Mary’s. As well as the weekly prayer meetings, we had speciallyfocussed days in at various points in the calendar year. We have monthly prayer gatherings in various venues in the parish.

We conducted four weddings plus one marriage blessing, ten child baptisms, and 12 funerals (including ashes interments) in 2022.

The joint choir of St. Mary’s and St. Mark’s Staplefield and musicians were able to participate at services held for Harvest, Remembrance and Christmas, including at our annual carol services and crib service on Christmas Eve, which was very well attended and a great joy to be part of.

Evangelism and outreach

The Handcross Community Pantry remains our main and most thriving activity for mission, supporting local families with food supplies, and building community through the Saturday morning café. We also held a couple of Christmas events and services in All Saints which were well attended.

The Rector continues to be heavily involved in all our schools, with regular assemblies and visits.

Provision of the church buildings

We are blessed with having two church buildings in the parish. St Mary’s in Slaugham would normally be used regularly for most of our church services as well as other activities and groups. All Saints in Handcross is good and centrally placed, and has become more utilised in the past year. We want our church buildings to be used by the wider community as well as for church services, and we welcome groups meeting there, and seek to see St Mary’s used more for quiet days and retreats.

Page 3

The Creative Expressions art group continues to meet at St Mary’s on Fridays.

In order to provide facilities at our church buildings, we have to maintain their fabric. Both churches underwent ongoing maintenance in 2022.

We are pleased when people enjoy the church building, be they worshippers or visitors, and our visitor book regularly has entries which reflect our care of the church for the enjoyment of all.

Future developments for the church buildings and properties

Plans for the introduction of a car park at St Mary’s continue to move slowly due to some of the requests that have been put in place by the planning department. A new volunteer is working on this project.

Plans to develop All Saints are on hold but there are plans to refresh and decorate the inside of the building in early 2023.

Care for others – pastoral care, tangible support, charitable giving – within the parish and

beyond

Pastoral care takes place through visiting, whether people are at home, in hospital or in a nursing home. The Rector visits when possible but there are a number of people involved in visiting. Following the lockdowns, we have also been able to return to having our regular visits to Belle Vue nursing home in Warninglid

There has also been support of the wider community. Our Handcross Community Hardship Fund was used to help a number of people who had been struggling financially. We also became aware of a number of people in our locality who have been made homeless due to circumstances beyond their control. We have referred some of them on to other agencies which can provide the practical support that they need, but we aim to keep in touch with them as far as possible.

Helen Arnold has been regularly phoning the older members of our community through her role on the Rosemary Club, and has been informing the Rector of any needs or concerns.

FINANCIAL REVIEW OF 2022

Income

Total income for 2022 was £123,729 which was about £10,000 more than in 2021. This was due to a number of large donations made towards the Community Pantry and Hardship Fund.

The Parish Share now paid to the Diocese for the Combined Benefice of St Mark’s and St Mary’s was reduced by 25% to £53,700 following consultation between the Diocese and the Rector which was paid in 12 monthly instalments as usual. This money pays for clergy salaries, pensions, housing costs, training and also a contribution towards the Church of England at a national level. It also helps churches less able to pay for themselves within the Diocese.

Due to lock down, the Gift Aid claim had not been made for 2020/21 but we have two years to make that claim. Barbara Butfoy and the treasurer have met and are in the process of making the Gift Aid Claim. We

Page 4

expect it to be in the region of £1,400, less than previous years due to a reduction in donations during Covid lockdown and church closure at that time. The treasurer would like to thank Barbara for her work on this.

Staff Costs

We currently have two part-time employees: Fae Widdowson as Parish Administrator and Paul Hollinshead as Digital Communications Outreach Worker. They both do a marvellous job in their respective roles and are of great value to the Parish. We thank you both.

A number of members of PCC also receive payments throughout the year for expenditure incurred in the running of the church. This year the most significant of these was to Barbara Butfoy to reimburse her for the groceries bought for the Community Pantry. The cost of this was covered by the increase in donations specifically for that purpose.

Parish Magazine

The Parish Magazine is now produced online in a very much reduced format at no cost.

Churchyard Maintenance

Brian Funnell continued to care for the churchyard and has performed an excellent job. After many years of dedicated service he has announced his retirement at the end of 2022. So far we have no replacement, and the church will remain locked while there is no one to open and lock it daily. We are enormously grateful for his commitment and hard work.

The work identified last year to the boundary wall was carried out at a cost of £4,392.

Church Maintenance

The usual expenditure was required on annual inspections of electrical and safety systems.

The heating has continued to be problematic in St Mary’s. Through the winter of 2021/2022 it worked satisfactorily. Following the outbreak of war in Ukraine and the subsequent rise in heating costs, the decision was made to switch off the underfloor heating, which was on all the time, and rely on the radiators to boost the heating for services. Unfortunately, towards the end of the year, the heating failed again due to another faulty expansion vessel. This will be replaced and sent back to the suppliers as it is under warranty. However, the labour costs are chargeable. The generosity of people in the church has enabled us to continue to heat St Mary’s through the increasing fuel costs but long-term plans of alternative heating sources are continuing to be discussed.

Thanks to the generosity of a resident of Slaugham, the clock has been repaired.

Page 5

Mission Giving

Ignoring income to restricted funds and wedding and funeral fees collected on behalf of the diocese, our Mission giving was about 16.5% of income. This includes donations to the Pantry which are covered by the increased giving.

Reserves Policy

It is the policy of the PCC to maintain 2 months’ worth of expenditure in unrestricted funds.

STRUCTURE, GOVERNANCE AND MANAGEMENT

The Parochial Church Council (PCC) has registered with the Charity Commission as required by the Charities Act 2011.

Membership of the PCC is determined under the Church Representation Rules and consists of certain exofficio members (the incumbent, curate, lay readers licensed to officiate in the church), the churchwardens and members of the Deanery, Diocesan or General Synods, and a maximum of twelve members of the church who are elected at the Annual Parochial Church Meeting (APCM). Members are warmly encouraged to stand for election to the PCC and we try to ensure a balance of skills and experience where possible.

During the year the following people served as members of the Parochial Church Council.

Ex-officio

Incumbent Rev. Carl Smith (chairman) Churchwardens Miss Anna Sesemann Mr. Colin Tomlinson Lay Reader Mr. Jon Rotheray

Elected members

Treasurer Mrs. Jan Elliott Ms. Barbara Butfoy Mrs. Alison Coley Mr. Rick Grose Mr. James Hodgson (until April 2022) Mr Frank Moss (From April 2022)

Deanery Synod representative

Mr Graham Reid

Page 6

The full PCC met six times during the year, mainly on Zoom and mostly with the St Mark’s PCC members in attendance. The process of becoming a united PCC was completed and approved on 31[st] December 2022.

Committees met between meetings, and details were given to the PCC and discussed where necessary.

Committees

The PCC Standing Committee (comprising rector, curate, two churchwardens, treasurer and one assistant warden) is able to transact the business of the PCC between meetings, subject to any directions given by the council. There are two unelected assistant churchwardens who help greatly.

The Mission Partnership Committee advises the PCC on funding and support issues relating to people and organisations. The church understands the correlation between mission and evangelism, and gives away at least a tenth of its disposable voluntary income.

The staff team (comprising Rector, four churchwardens, All Saints Missional Community Leaders, Catering Outreach Manager, Digital Outreach Worker, Administrator, Mentoring Co-ordinator) meet on a weekly basis to pray and share ideas and vision, and they also communicate regularly on WhatsApp.

This report was approved by the Trustees on ………………………………………………………………………… and signed on their behalf by:

Colin Tomlinson

Anna Sesemann

Churchwarden

Churchwarden

Page 7

Receipts and Payments Account

Unrestricted Designated
Restricted Endowment
Total
Prior year
funds
funds
funds
funds
funds
total funds
Incoming resources
Incoming resources from generated funds
Voluntary income
Investment income
Other incoming resources
Total incoming resources
Resources used
Cost of generating funds
Charitable activities
Governance costs
Total resources used
Excess of receipts over payments before
transfer
Transfers
Excess of receipts over payments before
other gains / losses
Net movement in funds
All assets at 01 January 2022
All assets at 31 December 2022
Represented by
Unrestricted
General fund
Restricted
Agency collection
All Saints Re-ordering
Mission Fund
Parish Ministry by Avril or Phil
Parish Relief Fund
Endowment
Gibson-Warren
Mission Sale
Sunday School
Warren Endowment





2,645
121,026

(6,470)

114,555
102,198
2,627



2,627
2,455
6,546



6,546
6,188
130,200

(6,470)

123,729
113,487
3,647



3,647
2,335
19,928

958

20,887
17,139
94,125



94,125
107,705
117,701

958

118,659
127,181
12,499

(7,428)

5,070
(13,693)
12,499

(7,428)

5,070
(13,693)
12,499

(7,428)
(16,737)
(11,667)
(11,851)
29,337

85,554
131,741
246,633
258,485
41,837

78,125
115,003
234,966
246,633
41,837



41,837
29,337


(7,428)

(7,428)



83,867

83,867
83,867


60

60
60


576

576
576


1,050

1,050
1,050



27,075
27,075
31,272



37,513
37,513
43,328



10,289
10,289
11,662



40,124
40,124
45,477

Page 8

Balance sheet

Total funds
Prior year funds
Fixed assets
Investments
Current assets
Cash at bank and in hand
Liabilities
Creditors: Amounts falling due in one year
Net current assets less current liabilities
Total assets less current liabilities
Total net assets less liabilities
Represented by
Unrestricted
General fund
Restricted
All Saints Re-ordering
Mission Fund
Parish Ministry by Avril or Phil
Parish Relief Fund
Agency collection
Endowment
Gibson-Warren
Mission Sale
Sunday School
Warren Endowment
Funds of the church
115,003
131,741
115,003
131,741
119,962
108,463
119,962
108,463

(6,428)

(6,428)
119,962
114,892
234,966
246,633
234,966
246,633
41,837
29,337
83,867
83,867
60
60
576
576
1,050
1,050
(7,428)

27,075
31,272
37,513
43,328
10,289
11,662
40,124
45,477
234,966
246,633

Page 9

Statement of assets and liabilities

This year
Last year
Investments
Warren Endowment
Warren Endowment (Endowment) -
Sunday School Fund
Sunday School (Endowment) -
Sale Mission Room
Mission Sale (Endowment) -
Gibson/Warren Endowment
Gibson-Warren (Endowment) -
Total for Investments
Cash at bank and in hand
HSBC Current Account
All Saints Re-ordering (Restricted) -
CCLA CBF fund (Designated) -
Mission Fund (Restricted) -
Parish Ministry by Avril or Phil (Restricted) -
Parish Relief Fund (Restricted) -
General fund (Unrestricted) -
Agency collection (Restricted) -
CCLA CBF Deposit
All Saints Re-ordering (Restricted) -
CCLA CBF fund (Designated) -
General fund (Unrestricted) -
Petty Cash
General fund (Unrestricted) -
Pantry Account
General fund (Unrestricted) -
HSBC Savings Account
General fund (Unrestricted) -
Total for Cash at bank and in hand
Agency accounts
Agency collections
Agency collection (Restricted) -
Total for Agency accounts
Grand total
40,124
45,477
40,124
45,477
10,289
11,662
10,289
11,662
37,513
43,328
37,513
43,328
27,075
31,272
27,075
31,272
115,003
131,741
73,867
73,867
(10,000)
(10,000)
60
60
576
576
1,025
1,025
(30,960)
(43,536)
(7,403)
(6,403)
27,165
15,589
10,000
10,000
10,000
10,000
42,576
42,576
62,576
62,576
13
13
13
13
158
283
158
283
30,049
30,001
30,049
30,001
119,962
108,463

6,428

6,428
234,966
246,633

Page 10

Fund movement by type

Opening Incoming Outgoing Transfers Gains/losses Journals Closing Opening Incoming Outgoing Transfers Gains/losses Journals Closing
All-Saints - All Saints Re-orderi
Restricted
Sub-total for All-Saints
Gibson - Gibson-Warren
Endowment
Sub-total for Gibson
Mission - Mission Sale
Endowment
Sub-total for Mission
Missionfun - Mission Fund
Restricted
Sub-total for Missionfun
ParMin - Parish Ministry by A
Restricted
Sub-total for ParMin
Relief - Parish Relief Fund
Restricted
Sub-total for Relief
School - Sunday School
Endowment
Sub-total for School
Warren - Warren Endowment
Endowment
Sub-total for Warren
General - General fund
Unrestricted
Sub-total for General
None - Agency collection
Restricted
Sub-total for None
Grand total
83,867




83,867
83,867




31,272



(4,196)

83,867

27,075
31,272



(4,196)
43,328



(5,814)

27,075

37,513
43,328



(5,814)
60




37,513

60
60




576




60

576
576




1,050




576

1,050
1,050




11,662



(1,372)

1,050

10,289
11,662



(1,372)
45,477



(5,353)

10,289

40,124
45,477



(5,353)
29,337
130,200
117,701


40,124

41,837
29,337
130,200
117,701



(6,470)
958


41,837


(6,470)
958


246,633
123,729
118,659

(16,737)

242,395

Page 11

Analysis of receipts and payments

Total
Unrestricted Designated
Restricted
Endowment
This year
Last year
INCOME AND ENDOWMENTS
Incoming resources from generated funds
Gift Aid HMRC Refund





2,645
Total





2,645
Incoming resources from generated funds - Voluntary income
Planned Giving
82,903



82,903
75,917
Collections at all services
2,191



2,191
1,842
Wedding and Funeral Fees
8,298



8,298
6,175
Sundry donations and appeals
21,222

10

21,232
11,410
Parish Appeal





2,100
Family Support Work
5,000



5,000

Love Gift
1,400

(6,480)

(5,080)
4,753
Gift Aid Cash
10



10

Total
121,026

(6,470)

114,555
102,198
Incoming resources from generated funds - Investment income
Dividends and Interest
2,627



2,627
2,455
Total
2,627



2,627
2,455
Other incoming resources
Bookstall
10



10

Holiday Club
525



525

Reimbursements for expenses
6,011



6,011
6,188
Total
6,546



6,546
6,188
Total
Unrestricted Designated
Restricted
Endowment
This year
Last year
INCOME AND ENDOWMENTS
Incoming resources from generated funds
Gift Aid HMRC Refund





2,645
Total





2,645
Incoming resources from generated funds - Voluntary income
Planned Giving
82,903



82,903
75,917
Collections at all services
2,191



2,191
1,842
Wedding and Funeral Fees
8,298



8,298
6,175
Sundry donations and appeals
21,222

10

21,232
11,410
Parish Appeal





2,100
Family Support Work
5,000



5,000

Love Gift
1,400

(6,480)

(5,080)
4,753
Gift Aid Cash
10



10

Total
121,026

(6,470)

114,555
102,198
Incoming resources from generated funds - Investment income
Dividends and Interest
2,627



2,627
2,455
Total
2,627



2,627
2,455
Other incoming resources
Bookstall
10



10

Holiday Club
525



525

Reimbursements for expenses
6,011



6,011
6,188
Total
6,546



6,546
6,188
2,627



2,627
2,455
10



10

525



525

6,011



6,011
6,188
6,546



6,546
6,188
INCOME TOTAL 130,200

(6,470)

123,729
113,487

Page 12

EXPENDITURE

Cost of generating funds

Cost of generating funds
Fees from Weddings and Funerals
Total
Charitable activities
Mission Giving
Home Giving
Total
Governance costs
Church running expenses
Utility Bills
Rectory Expenses
Other Clergy costs
Employees
Church maintenance
Churchyard maintenance
Youth and Children
Service costs
Parish Share
Accountancy costs
Total
3,647



3,647
2,335
3,647



3,647
2,335
11,840

958

12,798
10,620
8,088



8,088
6,519
19,928

958

20,887
17,139
9,519



9,519
9,141
5,086



5,086
4,349
4,779



4,779
4,394





246
5,936



5,936
5,756
3,426



3,426
2,303
9,537



9,537
5,459
1,491



1,491
292
80



80
424
53,700



53,700
74,300
568



568
1,038
94,125



94,125
107,705
EXPENDITURE TOTAL 117,701

958

118,659
127,181
GRAND TOTAL 12,499

(7,428)

5,070
(13,693)

Page 13

INDEPENDENT EXAMINER’S REPORT TO THE TRUSTEES OF THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST MARY’S SLAUGHAM (Registered charity no 1134786)

I report to the charity trustees on my examination of the accounts of the Parochial Church Council of the Ecclesiastical Parish (PCC) of St Mary’s Slaugham, for the year ended 31 December 2022.

RESPECTIVE RESPONSIBILITIES OF TRUSTEES AND EXAMINER

As the charity’s trustees you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (‘the Act’).

I report in respect of my examination of the charity’s accounts carried out under section 145 of the Act and in carrying out my examination I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

INDEPENDENT EXAMINER’S STATEMENT

I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect:

  1. accounting records were not kept in respect of the charity as required by section 130 of the Act; or

  2. the accounts do not accord with those records.

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.

Sarah E Bestley BSC ACA

Date

CARTER NICHOLLS LIMITED

Chartered Accountants Victoria House Stanbridge Park Staplefield Lane Staplefield West Sussex RH17 6AS

Page 14