Fotr lh• year¢nduU 31 lll¢e¢mhv 2024
I re￿￿t on the lIn￿l￿ of tkn PaT￿bE81 Church Coundl of the Parfsh of Saint John the Ev￿19¢
A¢tiviti￿ the Balall￿ Shgrt the Tvl*d and ar¢ in acLxirdw vAth 1he pll¢iu whith ar¢ stl
the 145 of the Chorltks Art 20118nd th¢ T¢gulati(￿S Tr&d¢ ￿Ththr s&xlon 154 of the ACL
My worfL has be¢n so th* 1 stat¢ to the PCC Th￿tter$ l am wuifod to 8ta* to in an
indepwth wminerf8 report and for no other purpl￿ To the fullest extent permitted by law. I do not ac¢ept or
R￿￿elIve rnpoMibiHiits olth• LPCC knlepeadeTrt •7AaMlner
As the m¢mbNB of the PCC you ore KspMsibl¢ preyoration of the aw)unkn You wyider that is
Dot re<wir¢d for th18 year un(kr section 144(2) of the 2011 A¢L It l& my reSpO￿lbIlity to examine the aceounts
unts Kction 145 of the 2011 ACL to follow the procedu￿8 lald down in G¢wal Diff¢tlon$ Btven by the Charlty
commissi￿ utth sectkffl 145(SXb) of the 2011 A¢ *> whEthw any mi¢ular to
of Ind¢ptnd¢Trtex•ml4tV$ r¢prt
My w£aMkn￿lon was ¢thd out In aeo)th wlth the GeneMI Dirtions Biven by the Charlty Commwlonen.
An ￿&MinatiOn indud¢i A review ofthe x¢outhln8 ff¢ords kept by th¢ chwlty and a e4)n4W8on of the a¢¢4)unt•
se£kin8 ¢xplan*lon$ from you a8 m¢mkn ofthe PCC r￿ne￿nIn￿ any 8uGb mtrs. Th¢ procedurv do
not provld¢ all th¢ N'iden¢e thot woukl ix Toqulred In an audlk axl I do ¢XPTeb8 p￿di1 opinion
on ibe i'lw" gliwi ￿. the accoun15.
lad•p•ndeMt OXagHlner'i
In Hltli m!'¢xpmlna¢lo￿ no matt#lw8 tp my thDtlon:.
(l) whlth m¢ kY8Jonable ¢Auoeto belleve that In uny mtrlAI r¢spe¢tth8 requlranents
to kttp ac¥'ouniing Reokxts lft x¢ordance whh *cdon 130 of the 2011 Act: and
to wepar¢ a¢wwits ll'hi¢l) at¢ord wlth t￿ ond conwly wlththe r¢qulr¢m￿of
the Act
(2) to whith in my opiniwL attention should be in order to enable a proper uRder8tandln8 ofthe
JI We•¢￿d Clullkn
2025

The Pan)chial Church Council of the Parish of Saint John the Evangelist, Cleckbe*ton
Statement of finanelal aelivities
For the year ended 31 December 2024
2024
Restritttd
Funds
2023
Totsl
Unrestricted
Funds
Total
INCOMING RESOURCES
Volun
Income fro
Planned giving
Tax recovered
C&8h collection
Donations and spectal collections
fromc
able and anc
Fundraising
Community R(K)m rent
PCC fees
12.990
3,713
1.837
555
12,990
3,713
1.837
555
15,966
4,759
1.692
7.569
3,457
2,433
423
945
4,402
2,433
423
3,212
4,049
,400
me from Investments
Dividends ond inlerest
1.077
1.077
656
TOTAL INCOMING RESOURCES
25.408
2,022
27,430
39J03
OUTGOING RESOURCES
Mis
charila
Oulward giving
relatin
lot
Common fund
Church running expenses
Church utiliti¢s
Organists fees
Clcane¢8 wages
Vicaragdoffice admin costs
Clergy expenses
isin
Fundraising costs
ivin
105
105
6,351
work of
hurch
6,600
5,915
2,337
.430
400
61
6.600
8.441
2.337
1,430
400
61
20,666
8.493
2,455
1,830
800
103
15
2.526
595
595
477
ank ch
148
14
162
TOTAL oufGOING RESOURCES
17J91
20,J31
41,190
NET INCOMINGI(OUTGOING) RESOURCES
{beforn transfers and Asset •djustments)
Transfer5
DepreGiation of ass¢ts
7017
(518)
7299
(1087)
{472)
(472)
(536)
NET MOVEMENf IN FUNDS
7J45
(518)
6827
(2,423)
55,161
52,738
FUND BALANCES AT I JANUARY 2024
FUND BALANCES AT 31 DECEMBER 21124
11,920
40,819
52,739
19,265
40JOI
59,566
None of the Parochial Church Council's activities were acquired or disconlinucd during th¢ alx)ve financial period.
There were no recognised gains or losses otheT than the net movemcnt of funds for the financial periods shown above.
The ￿t¢S on pages 4 to 7 forn] part of these financial statements.
Pa8e2of7

The Parochial Church Council of the Parish of Saint John the EvangelisL Cleckbeaton
Balance Sbeet
As at 31 December 2024
2024
2023
Notes
FIXED ASSETS
Tangible assets
1,107
1,579
CURRENT ASSETS
Debtors
347
1,400
Cash at bank and in hand
58,849
59,196
52,108
53,508
60.303
55,087
CURRENT LIABILITIES
Creditors and accruals
(737)
(2,348)
NET ASSETS
59,566
52,739
REPRESENTED BY CHURCH FUNDS
Unrestricted funds
UnTestri¢ted
Designated
9,807
9,458
3,850
8,070
19,265
11,920
Restricted funds
40,301
40,819
TOTAL FUNDS
59,566
52,739
Approved by the PCC on 17 March 2025
and signed on their behalf by
Rev'd Helen Chamb¢rlain
Chair
G M RichaTdson
Treasurer
Page3of7

The Parochial Church Council of the Parish of Saint John the Evangelis( Cleekheaton
Notes to the Financial Statements
Year ended 31 December 2024
Accountin
Policies
Accountin
Convention
The PCC ts a public benefit entity within the meaning of FRS102. The fllwicial statements
have been prepared under the Charities Ad 2011 and in accordance with the Church
Accounting Regulations 2006 governing the individual accounts of PCCS, and with the
Regulations true and fair view" provisions. They have been prepared under FRSI 02 (2016) as
the applicable accounting standards and the 2016 version of the Statement of Recommended
Practice, Accounting and Reporting by Charities {SORP(FRS102)).
Fixed As
Consecrated and beneficed property is excluded from the a¢counts by section l 0(2Xa) and (c)
of th¢ Charities A¢t 2011.
No value is placed on moveable church fumishings held by the churchwardens on special trust
for the PCC and whi¢h require a faculty for its disposal since the PCC consider this to be
inalienable property. All expenditure during the year on consecrated or beneficed buildings and
moveable church furnishings, whether matntenance or improvemenL is written off as
expenditure in the SOFA.
Minor assets are written off in the year of acquisition.
Other fixed assets are depreciated in accordance with their expected useful lives.
Equipment & Furnishings - 15¥0 pa on a straight line basis
Funds
General funds represent the funds of the PCC that are not subject to any restrictions r¢garding
their use and are available for application on the general purposes of the PCC.
Designated funds are sums set aside out of general funds for spe¢ific designated purposes.
Th¢y can be transferred back into unrestricted funds at any time.
Restricted funds Can 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 in that
fund.
Restricted funds represent:
i) income from trusts or endowents that may be expended only on those restri¢ted
obje¢ts provided in th¢ tenns of the tntst or bequest.
2) donatTrons or grants received for a specific object or intended by the PCC for a
specific purpose.
Incomin
resources
Collections. covenants and donations are accounted for when received.
Income tax recov¢rable on cov¢nants and gift aid donations is included when received.
Grants and legacies are accounted for when the PCC is legally entitled to the amounts due.
All other income is generally r¢cognised when it is received.
oin
resources
The common fund request¢d by the Diocese is included as expenditure for the year to which it
relates.
All other expenditure is generally recognised wh¢n it is incu￿ed.
2 Transaetions with PCC Members
No payments were made to PCC members in respect of their function as PCC members or in
relation to any Church office held in this or the prior year.
Pa8e4of7

The ParochRaR Church Council of the Parish of Saint John the Evangelist, Cleekheaton
Notes to the Financial Statements
Year ended 31 December 2024
3 Sums due to the Diocese
St John's is in arrears with respect to the Common
Fund due to the Diocese.
This is an unenforceable debt and will be paid
only when or if circumstances allow.
The current arrears are..
2024
2023
Current year arrears
15,719
15,719
Church Runnln
Ex
nses
Insurance
Roof inspection work
Youth Ministry expenses
Routine church maintenance
Copyright licences
Hygiene equipment leasing
Communion wine
Candles
Plants & flowers
Hygiene materials
Quinquennial Inspection fee
Leaving presents
Offertory envelopes, leaflets, books etc.
Palm Crosses
4.457
1,686
840
774
194
187
160
100
29
14
4,237
812
1,137
278
187
12
31
1,063
464
122
39
8,441
8,493
Page5of7

The Parochial Church Council of the Parish of Saint John the Evangelist, Cleckheaton
Notes to the Financial Statements
Year ended 31 December 2024
Ta
ible fixed assets
ui
ment & Furnishin
Community Room
Church
Total
Cost
At l Jan 2024
Additions for year
Disposals for year
At 31 Dec 2024
12.438
9.772
22,210
12,438
9,772
22,210
reciation
At l Jan 2024
Charge for year
Less depreciation on disposals
At 31 Dec 2024
11,600
173
9,031
299
20,631
472
11,773
9,330
21,103
Net Book Value at l Jan 2024
838
741
1,579
Net Book Value at 31 Dec 2024
665
442
1,107
Debtors
2024
2023
Fund raising
Planned giving
Rents ￿¢¢]Vable
Cash to bank
Donations
89
58
39
10
599
801
347
1,4(Kl
Creditors
2024
2023
All payable from unrestricted funds
Due within one year
Church utilities
Held for other charities
Organ maintenance
Organists, fees
HMRC - gift aid error
340
228
114
55
600
380
1,368
737
2?48
Page6of7

The Paroehial Church Council of Ihe Parish of Saint John the EvangelisL CleeltheatOD
Notes to the Financial Statements
Year ended 31 December 2024
Movement in funds
Balance at
l Jan 2024
Incoming
resources
Outgoing
reSoUr￿S
Transfers
Batance at
31 Dec 2024
Unrestrithcd
General fund
Assets
2.271
1,579
3,850
23.833
(17,404)
(472)
(17.876)
8,700
,107
9,807
23,833
Rental a¢wunt
Organ fund
7.265
805
8.070
,575
(187)
8,653
805
9.458
1,575
(187)
estricted
Tower & roof repair fund
Working with kids
Garden of rest appeal
abric fund
Carers Café
Lommunity room
Choir fund
10,212
4,670
1,575
21,659
2.250
945
(1.686)
9,471
4.670
1.575
22,736
1.396
Juo
1.077
(854)
450
40.819
450
40.301
2,022
(2.540)
Totsl Fu
52,739
27,430
(20,603)
59,566
eserves
It is the standing wlicy of the PCC that a balance equivalent to six months ordinary expenditure should be
maintaind on unrestricted funds as a ¢ontingency reserve.
io
in
mmltments
The PCC has oximmitments to pay instalments under operating lea5e5 expiring:
2024
2023
Within one year
In 1-2y¢ars
In3-5years
187
47
187
187
47
234
421
li
itsl commitments
No capital commitments had been made as at 31 Deccmber 2024.
Pa8e7of7