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2021-08-31-accounts

DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

District Accruals Accounts 2020-21

THE METHODIST CHURCH

STANDARD FORM OF ACCOUNTS ACCRUALS BASIS

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for the year ended 31 August 2021
London District District no 35
Registered Charity - Registration number 1134871
District Chairs The Revd Michaela Youngson (To August 2021)
The Revd Nigel Cowgill
Revd Dr Jongikaya Zihle
Synod Secretary Mrs Denise Susan Tomlinson
Presbyteral Synod Secretary Revd Rosamund Hollingsworth (From September 2020)
District Council Secretary Mrs Hilary Porter (From September 2020)
Treasurer Mr George Kulasingham
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London District of M C Accounts 31 August 2021 - V5.xlsx

DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

TRUSTEES' ANNUAL REPORT

FOR THE YEAR ENDED 31 AUGUST 2021

1 Objectives and Activities

1.1 Aims and organisation

The aims of the District are to advance the mission of the Church in the region, by providing opportunities for Circuits to work together and support each other, by offering them resources of finance, personnel and expertise which may not be available locally and by enabling them to engage with the wider society of the region as a whole and address its concerns. The District serves the Local Churches and Circuits and the Conference in the support, deployment and oversight of the various ministries of the Church and in programmes of training. Wherever possible the work of the District is carried out ecumenically.

The District Council constitutes the Leadership Team between meetings of the District Synod, with a Group of Officers acting as the managing trustees. The District Council set the policy for the District and delegate various tasks to sub-committees and officials to implement that policy and to report back.

1.2 The London District Vision

The London District of the Methodist Church currently comprises 18,000 members, 201 ministers, of which 124 are in active ministry, 233 churches and 34 circuits and their projects together with a number of educational institutions. We are a diverse group of people originating from many different countries and communities who find ourselves worshipping and witnessing together in urban, suburban and more rural areas. We have come together in the belief that we are better together and our intention is to contribute to the well-being of each other, of this global city and the surrounding areas; and of the wider Methodist Church.

As the people, churches and projects of the London regional District of the Methodist Church our mission is:

To share the good news of Jesus Christ throughout Greater London and the surrounding areas and to improve the well-being of people and their communities by:

1.3 The District ways of working include:

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London District of M C Accounts 31 August 2021 - V5.xlsx

DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

TRUSTEES' ANNUAL REPORT (CONTINUED)

FOR THE YEAR ENDED 31 AUGUST 2021

2 Review of progress and achievements

2.1 The London District Annual Report

The London District Annual Report is prepared and presented to the Representative session of the Spring District Synod each year. It gives full details of the activities of the Commissions and all the groups making up the Commissions and the core central resources. Please contact the District Office at the registered address for a copy of the Full Annual Report of Activities.

2.2 District Goals

As adopted by the Synod in April 2014:

  1. To develop lay leadership – in breadth, depth, numbers and confidence.

  2. To ensure that every Minister and Local Preacher is engaged in an intentional review and development of their ministry.

  3. To increase participation in social and civic action by identifying and sharing good practice and promoting networks of practicioners - rooting such engagement in our Methodist identity.

It is clear that the goals by no means exhaust the wider remit of Commissions or embrace anything like the range of essential activities carried out in the name of the District. They are, however, intended to help focus the major developmental work that is seen to be key to the next phase of the District's life as it seeks to support the ministry and mission of the local churches and circuits and to engage with the wider context of London as a global city.

2.3 Achievements

Each body in the life of the District as been challenged and given the opportunity locally to respond to the District Goals within their own context. This has provided a focused strategy and has drawn on the things that are unique about being in London to engage with a particular issue, speak into the City, offering to the connexion and the world church. This has been achieved through our district theme ''Woven'' (God's Story & Our Faith Story woven into the fabric of our communities). Our focused theme fits in with the Evangelism & Growth strategy of the Methodist Conference.

In response to the Covid pandemic we have achieved the following:

2.4 Plans for future years

We will continue to develop our mission across the District by resourcing local churches and circuits to proclaim the good news of Jesus Christ through projects and training opportunities. In recognition of the importance of Safeguarding we plan to employ a part-time Assistant Safeguarding Officer to work alongside our current District Safeguarding officer. We continue to work with the Regional Learning Network and the District Children's and youth coordinator to support the life of the District and meeting the goals. As a consequence of the Covid pandemic we will continue to review how the District responds to the challenges and opportunities that this presents to us in all the work that we do.

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DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

TRUSTEES' ANNUAL REPORT (CONTINUED)

FOR THE YEAR ENDED 31 AUGUST 2021

3 Financial Review

The District's income and expenditure is detailed in the SOFA on page 9.

A copy of the accounts for the year accompany this report. The managing trustees are responsible for the preparation of the accounts and consider that an audit is required.

The managing trustees have reviewed the amounts held in the various reserve accounts and, having regard to the commitments of the District to expand its activities and acquire appropriate equipment for its purposes, consider the reserves are adequate but not excessive.

The purposes of each individual fund under the control of the District is shown in note 17 of the notes to the accounts along with a summary of movements on each individual fund.

The general fund does not include the value of the two manses owned by the District. These are held in a separate fund for ease of management.

The London District continues to have the following principal sources of income:

3.1 Investment Policy

The investment of surplus funds is operated through the Central Finance Board (CFB) of the Methodist Church. CFB aims to provide a high quality investment service seeking above average returns for long term investors, whilst ensuring that the securities held by all its funds are in line with the ethical policy of the Methodist Church. The District has its funds in a deposit account with CFB. The Restricted Funds are managed by Trustees for Methodist Church Purposes (TMCP). These funds are also invested with CFB. The Trustees liaise with the Tower Hamlets Circuit on the use of the City Centre funds for the benefit of the Tower Hamlets Circuit.

3.2 Reserves policy and level

- General Funds (unrestricted)

The funds in the general fund at the end of the year are held as a reserve to provide cover for an irregular flow of expenditure up to the equivalent of approximately six months annual expenditure, including minor manse maintenance, and to provide support for the work of circuits in the London District as necessary. The District's policy is to retain sufficient reserves to ensure the smooth running of the District. The District is continuing to review the levels of reserves.

- Designated Funds (unrestricted)

The designated funds are earmarked for those purposes as detailed in Note 17 to the accounts.

- Restricted Funds

The restricted funds, as detailed in Note 17 to the accounts, are to be used exclusively for the purposes listed.

3.3 Collaborative arrangements with connected charities

The London District's main source of funding is the assessments obtained from each Circuit within the District. These assessments are generally based on the membership and staffing levels of the Circuits. The assessments are used to defray most of the cost of administering the District.

Each year the District is allocated a sum by the London Mission Fund (LMF). In the year this was £128,595. This amount is made available to the District Advance Fund committee to meet applications for grants as they see fit. Any grants are paid directly from the LMF and are not paid into the District funds.

The District also obtained from each Circuit with a reserve known as a Circuit Model Trust Fund (CMTF) a levy based on the size of the Circuits' CMTFs at the start of the connexional year (1st September). In the year this CMTF amount was £409,643.

The District receives quarterly from circuits within the district, each circuits' contribution to the Methodist Church Fund (MCF). These sums are collected as agent for the MCF and are passed to the MCF later in the same quarter. Funds received by the District as agent are not recognised as asset in the financial statments because the funds are not within its control. No fee is earned in respect of this agency arrangement and the District incurs no cost through this arrangement.

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DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

TRUSTEES' ANNUAL REPORT (CONTINUED)

FOR THE YEAR ENDED 31 AUGUST 2021

4 Trustees Responsibilities

For each financial year ending 31st August, the Trustees are required to prepare financial statements that give a true and fair view of the District's financial activities during the year and of its financial position at the end of the year. In preparing these financial statements, the Trustees must:

The trustees are responsible for ensuring that sufficient accounting records are kept which disclose with reasonable accuracy at any time the financial position of the Methodist Church - London District and enables them to ensure that the financial statements comply with the law and Standing Orders of the Methodist Church.

They are also responsible for safeguarding the assets of the District and hence taking reasonable steps for the prevention and detection of fraud and other irregularities.

4.1 Risk Management

A Risk Register has been agreed by the District Council. The register documents the various risks considered by the council to be facing the District, the potential impact of those risks and the likelihood of the issues happening. It is reviewed annually, and continues to be monitored by the District Council in light of the Covid pandemic. The headings under which these risks are being categorised include:

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London District of M C Accounts 31 August 2021 - V5.xlsx

DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

TRUSTEES' ANNUAL REPORT (CONTINUED)

FOR THE YEAR ENDED 31 AUGUST 2021

5 Structure, governance and management

5.1

Structure

The London District is an unincorporated association and is governed by the Methodist Church Act 1976, the deed of Union and the Model Trust Deeds of the Methodist Church. It was registered with the Charity Commissioners on 12th March 2010.

Circuits are the coordinating charities for local groups of churches; circuits pay the stipends of the ministers and employ lay staff to serve the churches in the circuit; most decisions are made at or ratified by the circuit meetings. A District is the coordinating charity for a group of contiguous circuits and makes its decisions at half yearly synods. The Methodist Conference meets once each year as the supreme denominational body for all Methodist Churches.

5.2 Purpose of the District

The District is an expression, over a wider geographical area than a Circuit, of the Connexional character of the Church. The purposes of the Methodist church are and shall be deemed to have been since the date of the union the advancement of:

The primary purpose of this District is to advance the mission of the church in London by:

The District serves the Local churches and Circuits and the Conference in the support, development and oversight of the various ministries of the church, and in programmes of training.

5.3 Governance

The District operates within a statutory framework of regulation and seeks to ensure that it follows Methodist Standing Orders. It relies on the Connexional Office at 25 Marylebone Road, London NW1 5JR to provide guidance on changes that could affect the District.

The members of the District Policy Committee (DPC), known in the London District as the District Council, are annually appointed by a vote of the Synod for a continuous term not normally exceeding six years. One of the chairs of the London District is ex officio chair of the District Council. When a position becomes vacant on the District Council, nominations are invited from ministers and lay members of Circuits within the District. The Chair of the District then shares with nominees what the roles involve. If they wish to be considered for a role, their names and reasoned statements are taken to the District Council and the District Synod for appointment. Members may be either ministers or lay people attending churches in the area covered by the District.

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DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

TRUSTEES' ANNUAL REPORT (CONTINUED)

FOR THE YEAR ENDED 31 AUGUST 2021

5.4 Responsibility of the District Council

5.5 The London District Council

The London District meets between 3 and 5 times a year to deal with routine and exceptional matters. It seeks to think strategically about the work of the District and carry out administrative matters for the District between Synods. Its key functions have been:

5.6 Public Benefit Requirement

The trustees had due regard to the guidance published by the Charities Commission in compliance with its duties under section 4 of the Charities Act 2011.

This guidance sets out two key principles:

  1. The organisation must have an identifiable benefit.

  2. The benefit must be to the public or a section of the public.

The church exists to:

The trustees consider that for these reasons the charity meets these public benefit requirements.

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DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

TRUSTEES' ANNUAL REPORT (CONTINUED)

FOR THE YEAR ENDED 31 AUGUST 2021

For the purposes of Model Trusts under the Methodist Church Standing Order 966, the District trustees who served during the year as trustees of district property were:

6.8 Auditors

Trustees considered it prudent to periodically review / retender for the audit work where possible in line with the Methodist 6 year general guideline.

A recommendation was put to the District Council in the summer of 2021 that they re appointed Clay Ratnage Strevens & Hills.

Approval

The report was approved by the trustees and signed on their behalf by: 27/1/2022

…………………………………………….

Revd Dr Jongikaya Zihle District Chair

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DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

STATEMENT OF FINANCIAL ACTIVITIES

FOR THE YEAR ENDED 31 AUGUST 2021

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General Fund Designated District Other Funds Endowment Total Total
(Unrestricted) Funds Advance Fund (Restricted) Funds 2020-21 2019-20
(Unrestricted) (Designated)
£ £ £ £ £ £ £
Incoming Resources
1 Donations & Legacies 6,240 - 1,000 - - 7,240 -
2 Charitable activities - - - - - - -
3 Interest and Investment Income 2.0 571 468 3,808 36,130 883 41,860 59,643
4 Other income 3.1 - 37,170 - 20,000 - 57,170 58,206
5 Assessment on Circuits 3.2 249,584 - - - - 249,584 274,772
6 Contributions from Circuit Model Trust - - 409,643 - - 409,643 464,801
Funds
7 - - - - - - -
Connexional Advance & Property Fund
8 Contribution to cost of chair 127,296 - - - - 127,296 123,825
9 Capital Receipts - - - - - - -
10 Grants (including tfrs from DAF & 4.2 - 176,947 - - - 176,947 320,000
General Fund)
11 Manse Rent Received - - - - - - -
12 Total Incoming Resources 383,691 214,585 414,451 56,130 883 1,069,740 1,301,247
Resources Expended
13 Grants and Donations committed in year 5.1 - 98,701 358,285 34,635 - 491,621 651,344
14 Salaries and associated costs 6 283,639 118,448 - - - 402,087 377,254
15 Property (incl Ins., C tax, utilities etc) 7 41,457 31,586 - - - 73,043 51,975
16 10,699 13,977 - - - 24,676 20,580
Office Expenses (Admin., tel. travel etc.)
17 Synods, committees, Conference, etc 2,483 - - - - 2,483 7,066
18 Depreciation 9 956 19,594 - - - 20,550 20,130
19 Training - - - - - - -
20 Other Expenditure 8 9,909 18,487 2,257 5,127 130 35,910 42,058
21 Audit and Accountancy fees 19 9,396 - - - - 9,396 8,946
22 Manse loan interest - - - - - - -
23 Capital Expended - - - - - - -
24 Total Resources Expended 358,539 300,793 360,542 39,762 130 1,059,766 1,179,353
25 Net Incoming/(Outgoing) Resources 25,152 (86,208) 53,909 16,368 753 9,974 121,894
26 Transfers between funds (92) 143 - (51) - - -
27 Sub Total 25,060 (86,065) 53,909 16,317 753 9,974 121,894
28 Gains/(losses) on disposal of Manse - - - - - - -
29 Gains/(losses) on revaln fixed assets - - - - - - -
30 Gains/(losses): on investment assets - - - 10,732 8,077 18,809 (7,533)
31 Net investment in funds 25,060 (86,065) 53,909 27,049 8,830 28,783 114,361
32 Total funds brought forward from last 161,894 2,116,197 180,881 2,579,775 65,043 5,103,790 5,002,924
year
33 Difference - - - - - - -
34 Total funds carried forward at end of 186,954 2,030,132 234,790 2,606,824 73,873 5,132,573 5,117,285
year
For information only: Money received and passed on to External Organisations
Balance brought forward from last year - -
Offerings/Gifts - received for External Organisations - -
Offerings/Gifts - passed to External Organisations - -
Balance still to be paid - -
Notes
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The notes on the following pages form part of these accounts.

London District of M C Accounts 31 August 2021 - V5.xlsx, SOFA

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DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

BALANCE SHEET

AS AT 31 AUGUST 2021

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General Fund Designated District Other Funds Endowment Total Total
(Unrestricted) Funds Advance Fund (Restricted) Funds 2021 2020
(Unrestricted) (Designated)
£ £ £ £ £ £
Tangible Fixed Assets
Manse and other property 9 1,829 1,704,757 - - - 1,706,586 1,724,611
Investment properties - - - - - - -
Investments with TMCP - - - 1,662,412 52,079 1,714,491 1,695,682
Total fixed assets 1,829 1,704,757 - 1,662,412 52,079 3,421,077 3,420,293
Current Assets
Debtors and Prepayments 10 22,110 - 145 - - 22,255 13,610
Loans by the District 10 - - - - - - -
Trustees for Methodist Church 11
Purposes - Interest Accounts - 113,704 1,105,943 912,040 21,794 2,153,481 2,204,903
12
Central Finance Board Deposits - 211,671 - 32,372 - 244,043 264,871
Cash at Bank and in hand 12 174,675 - - - - 174,675 173,534
Total current assets 196,785 325,375 1,106,088 944,412 21,794 2,594,454 2,656,918
Current Liabilities
Creditors (due in under 1 year) 13
11,660 - - - - 11,660 25,284
Grants Payable within 1 year 5 - - 676,287 - - 676,287 740,732
Total current liabilities 11,660 - 676,287 - - 687,947 766,016
Net current assets 185,125 325,375 429,801 944,412 21,794 1,906,507 1,890,902
Total assets less current liabilities 186,954 2,030,132 429,801 2,606,824 73,873 5,327,584 5,311,195
Long term liabilities
(due after more than one year)
Grants Payable after 1 year 5 - - 195,011 - - 195,011 207,405
Loans to the District - - - - - - -
Other liabilities due after 1 year - - - - - - -
Net assets 186,954 2,030,132 234,790 2,606,824 73,873 5,132,573 5,103,790
Funds of the District 17
General Fund (Unrestricted) 186,954 186,954 161,894
Projects (Designated) 2,030,132 2,030,132 2,116,197
District Advance Fund
(Designated) 234,790 234,790 180,881
Total Unrestricted funds 2,451,876 2,458,972
Other Funds (Restricted) 2,606,824 2,606,824 2,579,775
Endowment Funds 73,873 73,873 65,043
Total Funds 186,954 2,030,132 234,790 2,606,824 73,873 5,132,573 5,103,790
Notes
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The Notes on following pages form part of these accounts.

27/1/2022

Approved by the managing trustees on and signed on their behalf by:

…………………………………………….

Revd Dr Jongikaya Zihle District Chair

London District of M C Accounts 31 August 2021 - V5.xlsx, Bal sht

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DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

STATEMENT OF CASH FLOWS

AS AT 31 AUGUST 2021

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Total Funds Prior year funds
£ £
Cash flows from operating activities:
Net income/(expenditure) for the reporting period (as per the
statement of financial activities) 28,783 100,866
Adjustments for:
Depreciation charges 20,550 20,130
(Gains)/losses on investments and fixed asset revaluation (18,809) 7,533
Dividends, Interest and rents from investments (41,860) (59,643)
- -
Loss/(profit) on the sale of fixed assets
- -
(Increase)/decrease in stocks
(Increase)/decrease in debtors (8,645) 608,945
Increase/(decrease) in creditors (90,463) (154,182)
Net cash provided by (used in) operating activities (110,444) 523,649
Cash flows from investing activities:
Dividends, interest and rents from investments 41,860 59,643
Proceeds from the sale of property, plant & equipment - -
Purchase of property, plant and equipment (2,525) (437)
Proceeds from sale of investments - -
Purchase of investments - -
Net cash provided by (used in) investing activities 39,335 59,206
Cash flows from financing activities:
- -
Repayment of borrowing
- -
Cash inflows from new borrowing
- -
Receipt of endowment
- -
Net cash provided by (used in) financing activities
Change in Cash and Cash equivalents in the reporting period
(71,109) 582,855
Cash and Cash equivalents at the beginning of the reporting
period 2,643,308 2,060,453
Change in Cash and Cash equivalents due to exchange rate
movements - -
Cash and Cash equivalents at the end of the reporting period
2,572,199 2,643,308
Cash in hand (at bank,- HSBC,CFB, TMCP) 2,572,199 2,643,308
- -
Notice deposits (less than 3 months)
- -
Overdraft repayable on demand
Total cash and equivalents 2,572,199 2,643,308
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London District of M C Accounts 31 August 2021 - V5.xlsx, Cashflow CRSH

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DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

1 Accounting framework and accounting policies

i Accounting framework

The charity constitutes a public benefit entity as defined by FRS 102. The financial statements have been prepared in accordance with Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland issued in October 2019, the Financial Reporting Standard applicable in the United Kingdom and Republic of Ireland (FRS 102), the Charities Act 2011 and UK Generally Accepted Accounting Practice.

ii Basis

Assets and liabilities are initially recognised at historical cost or transaction value unless otherwise stated in the relevant accounting policy note(s) below.

These accounts have been prepared on the basis of historical cost except that investments and land and buildings are shown at their market value at the end of the year, and grants committed, but not paid are provided on the accruals basis to show a true and fair view of the District’s financial position and activities.

iii Content

The financial information presented is relevant, reliable, comparable and complete. Where estimates are used these are based on experience, research and judgement. The accounts are expressed in £Sterling, rounded to the nearest pound.

iv FRS102 SORP 2019

To ensure a closer compliance with the FRS102 2019 a further policy change has been made to the treatment of undrawn grants from the District Advance Fund, (DAF).

These accounts are compliant with FRS102 and with the FRS102 SORP 2019.

v

Going concern

Based on the monetary assets and human resources available at 31 August 2021, the trustees believe that the District is a going concern.

vi Consolidation

The District oversees the work of ministers and lay workers in Churches and Circuits within the District, but does not have control over those Circuits or Churches, ministers or lay workers except in accordance with standing orders of the Methodist Church 1932 Act, none of which were applicable. For this reason, the financial statements of the Churches and Circuits within the District are not consolidated into these financial statements.

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DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

vii Income recognition

Income is brought into account when it is more likely than not that the economic benefit of the income will accrue to the District. No attempt is made to measure the value of services donated by volunteers. Details of how the contribution to the cost of the District Chair has been determined appears in Note 4.1. A similar figure appears in the Expenditure at Note 6.

Individual amounts categorised as Other income in the SOFA will be shown separately if they are considered material.

The District acts as agent in the following matters:

  1. the collection of quarterly assessments from circuits which are paid to the Methodist Church Fund

  2. the payment of expenses of delegates from the District to the Methodist Conference

  3. the cost of ministerial health checks recovered from Circuits.

In all these matters the transactions are not reflected in the SOFA because there is no obligation on the District to make up any shortfall in assessments from Circuits. Sums received as Circuit assessments cannot be recognised as income in the District as they are the income of the MCF.

In accordance with the Charities SORP (FRS 102), the time of volunteers is not recognised.

viii Expenditure

This is recognised when a liability is incurred, or a constructive obligation arises, that results in the payment being unavoidable. Liabilities are recognised as soon as an outflow of economic benefit is considered more likely than not under the legal or constructive obligation committing the District to pay out resources.

ix Grants

From 2016-17 all grants committed to a specific project will be included as grant liabilities. The exceptions being grants which are older than 6 years and are unlikely to be drawn down from the DAF and funds earmarked for potential grants, e.g. to facilitate an emergency response. These undrawn grants may be cancelled by the DAF committee and the funds released back to available funds for reallocation. Until these grants are agreed as cancelled, the funds will be are treated as Contingent Liabilities.

x VAT

Since the District is not VAT registered, all input VAT is charged with the expenses to which it refers.

xi Tangible fixed assets

These are capitalised if they can be used for more than one year, and individually cost at least £500. The freehold properties are shown in the accounts at market valuation at the end of the financial year. The building value has been depreciated over a period of 50 years.

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DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

xii Investments

The investments of the District are held by the Trustees for Methodist Church Purposes (TMCP) as custodian trustees. The valuations, at market value, are those provided by TMCP. The unrealised gains arising on investments at the end of the year are shown in the SOFA and in Note 17. below.

xiii Debtors and creditors; bank and cash

Debtors are stated at the amounts owed to the District or prepaid. Creditors are initially recognised at settlement amount after any trade discounts, where normal credit terms apply, or amount advanced to the District. Subsequently creditors that are current liabilities are measured at the cash or other consideration expected to be paid. The liquid funds of bank balances and deposit account balances are shown at the realisable values.

xiv Loans

Where concessionary loans ( i.e., free of interest) are made to (or received by) the District to further its charitable purposes, and are repayable after more than one year, they are initially recognised at the amount paid [or received], with the carrying value adjusted in subsequent years to reflect repayments and any accrued interest, adjusted for any impairment, if necessary.

Where there is objective evidence of impairment, an immediate impairment loss is recognised in the Statement of Financial Activities. Subsequent reversals of an impairment loss that objectively relate to an event occurring after the impairment loss was recognised, are recognised immediately in the Statement of Financial Activities.

xv Methodist Church Fund

The District acts as agent for the Methodist Church Fund (MCF) by collecting its assessments on Circuits and does not, therefore, include the assessments in the SOFA. If a Circuit is late in paying its MCF assessment to the District but such sum is received before the quarterly transfer to the MCF, the amount paid late will be shown as a debtor in the District’s accounts.

xvi Ministers' manse costs

The District is required to provide accommodation for each Minister and his / her family. The District bears the cost of repairs, maintenance, building insurance, Council Tax and water charges. These costs are not shown separately as benefits-in-kind for Ministers as HMRC does not seek to tax these receipts in the hands of the Ministers.

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DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

2 Interest & Investment Income

The market valuations for Trusts holding not cash investments have been provided by TMCP.

Other funds are held on deposit at CFB or in the current accounts at CAF or HSBC.

----- Start of picture text -----
2.1 Interest Received Fund Type Held at 2020-21 2019-20
General Fund U CFB 571 2,574
Manse Fund D TMCP 468 1,227
District Advance fund D TMCP 3,808 13,071
Pastoral & Benevolent Fund R CFB 19 127
Tower Hamlets - Trustee A/C R TMCP 3,069 3,878
Jean Richardson Endowment E TMCP 71 175
2.2 Dividend Income Received Fund Type Held at 2020-21 2019-20
Tower Hamlets - Trustee account R TMCP 33,042 37,705
Jean Richardson Endowment R TMCP 812 886
Total Interest & Investment Income 41,860 59,643
----- End of picture text -----

3.1 Other income

The District does not undertake fundraising.

Contributions are received from organisations and individuals towards various activities organised by, with or through the District e.g. conferences, training, chaplaincy etc. Those contributions in the year consisted of :

Towards Chaplaincy (City University)
G
Miscellaneous
D
Inter Circuit Support
D
Unspent grant from Parchmore Road M.C
D
District Advance Fund
2020-21
2019-20
£
£
37,170
32,760
-
446
20,000
25,000
28,857
-
-
-
86,027
58,206
-
-
86,027
58,206

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THE METHODIST CHURCH - LONDON DISTRICT

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

3.2 Assessment from Circuits

All Circuits (see list given below in this note) paid their assessments to the District and to the MCF during the year. An assessment on Circuits is annually determined by Districts by reference to the number of staff in the Circuits and the number of Church members but may also take into account a Circuit’s ability to pay. Circuits in the District are as follows:

Circuit No
Circuit Name
35/01
City Road
35/02
West London Mission
35/03
Westminster
35/04
Chelsea, Hammersmith & Fulham
35/05
Battersea and Wandle Valley
35/06
Lambeth (merged with Brixton&Streatham 2016)
35/07
Southwark & Deptford
35/09
Tower Hamlets
35/10
Hackney & Stoke Newington
35/11
Islington and Camden Mission
35/12
LM - North West
35/13
Harlesden
35/14
Notting Hill
35/17
Clapham
35/20
Newham
35/22
New River
35/23
Wembley
35/24
Ealing Trinity
35/25
Richmond & Hounslow
35/26
Wimbledon
35/28
Blackheath & Crystal Palace
35/30
Lesnes Abbey
35/31
Barking, Dagenham & Ilford
35/32
Romford
35/33
Forest
35/34
Enfield
35/35
Barnet & Queensbury
35/36
Harrow & Hillingdon
35/37
Teddington
35/38
Kingston upon Thames
35/39
Sutton
35/40
Purley
35/41
Croydon
35/42
Bromley
35/43
Orpington & Chislehurst
2020-21
2019-20
46,356
42,284
43,164
39,384
43,716
39,884
21,924
22,084
59,324
59,484
36,324
36,484
102,064
97,684
17,624
17,784
43,824
39,984
16,924
17,084
30,844
28,184
18,424
18,584
8,724
8,884
28,924
29,084
33,024
33,184
94,424
85,984
33,104
32,884
45,036
41,084
33,424
33,584
24,724
24,884
47,024
47,184
45,724
45,884
47,756
46,484
49,624
49,784
82,724
82,884
65,924
66,084
46,424
46,584
90,524
93,269
24,624
24,784
34,616
33,484
61,464
58,784
25,424
25,584
65,324
65,484
28,124
28,284
48,544
47,584
1,545,740
1,510,625
Assessments From Circuits

Contribution to Methodist Church Fund (MCF)

In addition to the assessments on the Circuits to help defray the costs of running the District, the District acted as agent for the Methodist Church Fund which levied assessments on the Circuits in this District all of which were collected or shown as debtors at the end of the year and paid over to the MCF in the year. No balance was held at the end of the year; no fee is received for this service which is performed at nearly nil cost to the District. These sums collected for and remitted to the MCF do not appear elsewhere in these financial statements.

Total Methodist Church Fund assessments levied on circuits in the year
Assessment of Circuits towards London District Expenses
2020-21
2019-20
1,296,156
1,235,853
249,584
274,772

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THE METHODIST CHURCH - LONDON DISTRICT

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

4.1 Cost of Chair and trustees

The Chair of District chairs meetings of the District Policy Committee (DPC). The members of the DPC are the trustees of the District. The stipend, employer’s NIC and employer’s pension contributions of the Chair of District are paid by the Methodist Connexion. The Chair’s other costs are met mostly by the District.

Since the stipend-related costs above are borne by the Connexion, they appear both in the Income of the District and the Expenditure of the District .

It should be noted that the District Chairs are required to occupy the District manses. Two manses are provided and maintained by the London District alone. The third manse is owned by the London Committee fund and the cost of maintenance is shared between the London District and the London Committee. The value of the council tax and water charges paid for a minister by the District is not included as HMRC does not regard this as a taxable benefit to the minister.

No accrual is made for the Chair's entitlement to a sabbatical as his / her functions are undertaken by other District Chairs or delegated persons at minimal extra cost to the District.

Payment to Trustees

It is District policy to offer to reimburse members of the District Council and others involved in the administration of District affairs for expenditure properly incurred in carrying out their duties. The Chair of the District undertakes the primary executive role within the District. Apart from the Chair of District no member of the District Council was in receipt of any payment for work undertaken on behalf of the District, although certain travelling and administration costs were reimbursed whenever this was requested. None of the trustees is an employee of the District.

4.2 Grants to Direct District Projects / Funds

----- Start of picture text -----
2020-21 2019-20
The Annual budget allows for a contribution from the general fund to the
Benevolent fund. This is not treated as a transfer but a grant. - -
The District Advance Fund committee made grants to the following projects managed directly by the District. The following grants
were made in the year. These are not treated as transfers, but as external payments. Being reflected in DAF payments and in the
individual fund income as Grants Income received.
Project DAF Grants Paid to District Accounts 2020-21 2019-20
(D) District youth work 52,000 50,000
(D) District Theme 51,006 24,000
(D) Creating Safer Space Advanced Level Training 10,613 11,000
-
(D) District Chaplaincy 7,000
-
(D) 3 Generate Coaches 7,000
(D) Media and Interfaith Project 13,000 12,000
(D) New Community Church Project 15,000 9,000
-
(D) Covid 19 Support 200,000
-
(D) ADSO Grant 25,111
-
(D) CDIM Grant 10,217
Total 176,947 320,000
----- End of picture text -----

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THE METHODIST CHURCH - LONDON DISTRICT

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

5.1 Grants, donations and related support costs

The accounts show all grants committed to date and likely to be paid, analysed as liabilities either due in one year or after one year. Only DAF commitments made in the year are shown in expenses for the year. These are shown below. A breakdown of forward Grants committed is shown in section 5.2.

----- Start of picture text -----
2020-21 2019-20
Unrestricted: £ £
DAF Payments
- Committed in year and paid in current year 112,224 306,721
- Committed in year for payment in future years 274,918 428,012
- Unspent grant refunded (Parchmore M.C) (28,857) -
- Walworth loan converted as grant - 10,000
- Reclaimed grants unlikely to be drawn down - (93,293)
- Reclaimed grants unlikely to be drawn down - (122,650)
- Forest property work - 15,000
Covid-19 Support Grant 95,541 48,612
CDiM Grant 3,160 -
Sub total 456,986 592,402
Restricted:
- Pastoral and Benevolent 3,650 -
- Inter Circuit Support Grant Purley - 6,300
- Inter Circuit Support Grant Harlesden - 15,000
- From City Centre Tower Hamlets Trust to Tower Hamlets Circuit 30,985 37,642
Sub total 34,635 58,942
Total 491,621 651,344
----- End of picture text -----

5.2 Grants committed but not paid

DAF Future Commitments

Grants from the District Advanced Fund are usually paid when documentary evidence is received that the project is going ahead, e.g. a contract for the worker for a mission project. Grant payments for second and subsequent years are paid when acceptable reports are received indicating that the funds are being spent in line with the grant application and that the project is continuing.

Now only those grants which have not been taken up in the last 6 years are treated as Contingent liabilites. It is possible that they will not be taken up and will be released back to the funds for reallocation.

DAF Future Commitments
Year Grants to be paid
20-21
21-22
22-23
23-24
Total future commitments
Outstanding Loan from DAF to church
Funds unallocated at end of year
DAF Fund EOY
Contingent Liabilities
(Grants identified as less likely to be taken up)
20-21 Accounts -
DAF Commitments
19-20 Accounts -
DAF
Commitments
31/08/2020
31/08/2019
-
740,732
676,287
152,405
158,011
40,000
37,000
15,000
30,000
30,000
901,298
978,137
-
0
204,790
150,881
1,106,088
1,129,018
234,790
180,881

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THE METHODIST CHURCH - LONDON DISTRICT

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

----- Start of picture text -----
6 Salaries and associated costs 2020-21 2019-20
£ £
Gross salaries paid to 3 full time and 5 part time employees were as follows:
Gross pay 234,018 215,616
Employer's National Insurance contribution 21,462 20,351
Employer's pension contribution to defined contribution scheme 19,311 17,462
Total cost for staff members 274,791 253,429
Cost of 3 District Chairs 127,296 123,825
Total staff costs 402,087 377,254
- -
Chaplaincy funding contribution from City University
----- End of picture text -----

No employees received employee benefits that totalled more than £60,000. There is no accrual for holiday pay as it is immaterial; the holiday year ends on 31 August. All staff are paid at or above the living wage.

One of the part time employees was engaged exclusively in safeguarding matters. One full time employee was involved in co-ordinating Youth work across the District. A full time member of staff was shared with the London Committee fund, providing support to the District with property and finance matters. The District pays a contribution to the London committee for the cost of this employee. The District Stipend costs also includes a Chaplaincy. The main focus for the Chapliancy is City University, which funds the majority of the work.

4 part time employees provided secretarial / administration assistance at the District office.

Pensions

Most ordained presbyters and deacons are members of the Methodist Ministers’ Pension Scheme (MMPS). This is a defined benefit scheme. The Supreme Court held in 2014 that Methodist ministers (which term includes presbyters and deacons) are not employees of the Church. For simplicity, however, when dealing with National Insurance Contributions and pension contributions, the terms ‘employer’ and ‘employee’ are used as they would be in an employing body.

The Connexion accounts for the MMPS schemes and shows the figures in the annual Methodist Church in Great Britain accounts. The MMPS is in deficit but a plan for removal of the deficit has been proposed and is being implemented. Details of the deficits on this scheme can be found in the Annual Report and Accounts of The Methodist Church at www.methodist.org.uk.

Lay employees are contractually employees and have the option of joining The Pensions Trust. Those contributing to the penion scheme contribute 6% of gross salary and the London District contributes the same amount of 6% of gross salary.

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NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

----- Start of picture text -----
7 Property costs 2020-21 2019-20
£ £
District office, rent and services 27,096 26,272
District Training room (District share) 2,579 3,327
Manse Repairs and 1,447 6,845
redecoration
Manse and office Insurance, utilities etc 10,705 15,531
Manse refurbishment 31,216 -
Total 73,043 51,975
8 Other Expenditure
2020-21 2019-20
£ £
Professional fees 15,651 10,977
Ecumenical grants 4,589 3,650
Investment management 7,801 6,992
Pastoral and benevolent fund - 2,100
Miscellaneous expenses 234 1,224
Miscellaneous office expenses 7,635 10,615
Transport - 3 Generate coaches - 6,500
Total 35,910 42,058
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THE METHODIST CHURCH - LONDON DISTRICT

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

9 Manse and other property

At the start of the financial year the District owned two manses freehold at Brunswick Quay and Oakington Avenue. The historical cost and subsequent revaluation are as follows:

The Oakington Avenue manse was valued in April 2014 by Jeremy Taylor of Wenlock & Taylor Ltd, 97 Chamberlayne Road London NW10 3NN. The total property was valued at £850,000, the reinstatment cost £350,000, the Land value £500,000. Considering the advertised prices of equivalent properties in the local area a reasonably conservative value for the property would be £900,000.

Total Tangible Fixed Assets

----- Start of picture text -----
Land Buildings Total Land Equipment Furniture Total Equipment Total Assets
& Buildings & IT & Furniture
Cost or valuation £ £ £ £ £ £ £
Balance at 31st Aug 2020 900,000 955,000 1,855,000 23,313 4,748 28,061 1,883,061
Additions in the year - - - 2,525 - 2,525 2,525
Revaluations in the year - - - - - - -
- - - -
Less: disposals in year (1,375) (1,375) (1,375)
Transfers between categories - - - - - - -
Balance at 31st Aug 2021 900,000 955,000 1,855,000 24,463 4,748 29,211 1,884,211
Accumulated depreciation
Cost or Valuation Land Buildings Total Land Equipment Furniture Total Equipment Total
& Buildings & IT & Furniture
Changes £ £ £ £ £ £ £
Balance at 31st Aug 2020 - 131,143 131,143 22,559 4,748 27,307 158,450
Depreciation charge for the year - 19,100 19,100 1,450 - 1,450 20,550
- - - - - - -
Revaluations in the year
- - - -
Less: disposals in year (1,375) (1,375) (1,375)
Balance at 31st Aug 2021 - 150,243 150,243 22,634 4,748 27,382 177,625
NB: Years over which value is depreciated 50 3 3
Net Value
Land Buildings Total Land Equipment Furniture Total Equipment Total
& Buildings & Furniture
£ £ £ £ £ £ £
Balance at 31st Aug 2020 900,000 823,857 1,723,857 754 - 754 1,724,611
Balance at 31st Aug 2021 900,000 804,757 1,704,757 1,829 - 1,829 1,706,586
----- End of picture text -----

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THE METHODIST CHURCH - LONDON DISTRICT

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

10 Debtors and prepayments

----- Start of picture text -----
2020-21 2019-20
Trade debtors £ £
The London Mission Committee and others 15,628 6,497
Total 15,628 6,497
Prepayments and accrued income
Stipend 3,482 3,393
Other sundry debtors 3,145 3,720
Total 6,627 7,113
Total (net) 22,255 13,610
----- End of picture text -----

11 Trustees for Methodist Church Purposes

The funds that support the District Advance Fund, and Manse Reserve Fund are held by TMCP in Trustees Interest Funds on which interest is credited to the accounts each month. These are regarded as medium and long term investments.

The Tower Hamlets City Centre Trust consists of a small number of investment funds plus a Trustees fund. These are regarded as medium and long term investments. Interest and Dividends received less TMCP administration fees are paid to The Tower Hamlets Circuit as a grant towards their mission projects work.

TMCP is the legal owner and Custodian Trustee of all Methodist Model Trust property, including Legacies, Endowments and Accumulated Funds. Trust property is held for and on behalf of local Managing Trustees who are responsible for the day to day management of trust property. TMCP ensure that, through providing guidance and acting under their direction, the Managing Trustees comply with charity law and Methodist law and policy as determined by the Methodist Conference.

12 Central Finance Board (CFB) and cash at bank

The District has a current account at HSBC plc and an account at the CAF (Charities Aid Foundation), to facilitate online banking with dual authorisation. HSBC and CAF are authorised institutions. The sums held on the accounts are immediately available.

In addition, the District has two common deposit accounts at CFB. Interest is earned on these CFB accounts and credited monthly; the sums deposited can be withdrawn without notice and without loss of interest. These sums are viewed as being liquid.

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THE METHODIST CHURCH - LONDON DISTRICT

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

13 Creditors and accrued expenses

----- Start of picture text -----
2020-21 2019-20
Creditors: £ £
- -
Expenses reimbursement
Audit Fees 7,410 7,056
Accountancy fees 1,986 1,890
Accounts payable 2,264 16,337
Total creditors 11,660 25,283
Accruals:
- -
Deferred income for grants
- -
Deferred income for activity next year
Total accruals - -
Total of creditors and accrued expenses 11,660 25,283
Maturity analysis of basic financial instruments
Accrued at 1st Used in year Accruals made Accrued at 31 Aug
Sep 2020 this year 2021
£ £ £ £
- - - -
Expenses reimbursement
Audit Fees 7,056 7,056 7,410 7,410
Accountancy Fees 1,890 1,890 1,986 1,986
Accounts payable 16,338 16,338 2,264 2,264
Total costs 25,284 25,284 11,660 11,660
----- End of picture text -----

It is expected that all sums accrued at 31 Aug 2021 would be paid during the year to 31 Aug 2022.

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NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

14 Capital commitments and contingent liabilities

----- Start of picture text -----
14.1 Capital commitments at end of year amounted to: 2020-21 2019-20
- -
14.2 Contingent liabilities amounted to: 2020-21 2019-20
For Further information See Note 5 DAF commitments 30,000 30,000
----- End of picture text -----

15 Volunteer contributions

Every entity (Connexion, District, Circuit, Church) within the Methodist Church in GB is heavily reliant on volunteers who contribute their skills, time and money in the furtherance of the work of the Church. For the London District directly this contribution is generally by serving on committees of the District that deal with mission, manses, finance, policy, grants, training, development, but there are many others who assist with the preparation and running of District events, e.g. the Spring and Autumn synods. We are grateful to all of them for their help and commitment.

16 Lease commitments

The District had the following lease commitments at the end of August:

Leased facility Review Period Payment Period Annual Payment Commitment
Office Rental (through WCH) Annual quarterly 27,027 27,027
Printer / copier 2023 quarterly 2,084 4,167
Telephone / broadband (through WCH) Annual quarterly 324 324
Franking Machine 2022 quarterly 395 395

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NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

17 District funds (Unrestricted, Restricted and Endowment)

The London District of the Methodist Church maintains a number of separate funds. The purpose, type, movement and state as at the end of year is documented below:

The funds held constitute: Unrestricted General Funds held for any purpose of the District, Designated funds allocated for a specific purpose, Restricted funds which are held for a narrower purpose and Endowment funds which represent gifts, the capital normally being unavailable for spending, and the income from which is either Restricted or Unrestricted. Details of each material fund are disclosed in the notes below.

----- Start of picture text -----
17.1 Fund Purpose & Type
Fund Name Type Purpose of the Fund
17.1.1 Unrestricted Funds (U)
General Fund U For use at the discretion of the trustees in the furtherance of the objectives of the District.
This excludes funds which have been designated for a specific purpose. (see designated
funds below)
17.1.2 Designated Funds (D) For specific purposes but not restricted by document or deed to that purpose alone.
District Advance Fund D1 To support the funding of projects in the London District
Manse Property Fund D2 The freehold properties used as manses for the District Chairs.
Manse Refurbishment D3 For major manse maintenance work and refurbishment. This fund resulted from a surplus
Fund of funds following the purchase and sale of manses.
District Training D5 To support District organised training activities.
District Youth Enablement D6 To give young people opportunities to “Get Connected” with God and their churches.
London Course 5 D8 District facility for training local preachers. To be superseeded by the Proclaim course.
London Crs Cont Learn D9 To provide further training and development for local preachers who had trained through
the London Course programme.
Growing London Leaders D10 To equip lay leaders from across the London District as leaders in their church, work and
(New) community contexts.
London District Chaplaincy D12 To support the District Chaplaincy work, over and above the City University Chaplaincy.
District Focus D11 District Wide Focus project started 2017.
WL & LP Training D12 District facility for training Worship Leader (WL) and Local Preachers (LP).
D13 Admin support and delivery of the the Safeguarding Creating Safer Space Advanced Level
CSS Advance Level Module training
Training
City University Chaplaincy D14 Chaplaincy at City University
Forest Circuit Emergency D15 District Wide Focus project started 2017. See Trustee Report section 2.3
Fund
17.1.3 Restricted Funds (R ) To provide support for the Forest Circuit
London District Pastoral & R1 To help meet the exceptional needs of presbyters and deacons and District lay employees
Benevolent Fund and their dependents within the London District that cannot be met at a local church or
Circuit level alone, by providing a resource from which confidential payments can be made
at the discretion of the Trustees.
Tower Hamlets - Sale- R2 Continuing the work of God in Tower Hamlets
Land Stepney East End
Worship & Local Preacher R3 To develop local preachers and worship leaders
Resources Centre
London Regional Network R7 To support the work of the London Regional team
(incl deferred Income)
London course continued R9 To support graduates of the London Course in their to continued learning
learning
Grenfell Tower Fund R10 To support residents & families of those affected by the fire, emergency workers who
responded and the ongoing needs of the community, and for extra capacity for Notting Hill
Methodist Church as it continues to offer practical and pastoral support.
17.1.4 Endowment Funds (E )
Jean Richardson Bursary E To provide assistance to Churches and Circuits, from the former London North West
Fund District, in promoting exchange visits between young people from the former District and
overseas youth organisations.
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NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

17.2 Fund Balances and Movements

----- Start of picture text -----
Fund Name Opening Incoming Resources Gains on Transfer to Closing
£ £ £ £ £
17.2.1 Unrestricted Funds
General Fund (excluding U 161,894 383,691 (358,539) - (92) 186,954
manse fund)
17.2.2 Designated Funds
London District Advance D1 180,881 414,451 (360,542) - - 234,790
Fund (incl. loan to circuit)
Manse Value Fund D2 1,723,858 (19,100) - - 1,704,758
Manse Refurbishment D3 143,524 468 (31,503) - - 112,489
Fund
District Training Personnel D5 12,355 - - - - 12,355
& Facilities
District Youth Enablement D6 10,814 52,000 (44,334) - - 18,480
D12 2,326 37,170 (35,738) - 3,612 7,370
London District Chaplaincy
London Crs Cont Learn D9 (423) - 423 -
Growing London Leaders D10 6,745 - - 6,745
Moving Stories D11 39,497 51,006 (34,361) - - 56,142
Proclaim D12 4,396 (143) - (280) 3,973
CSS Advance Level D13 4,855 10,613 (6,707) - - 8,761
Training
D14 3,612 - (3,612) -
City University Chaplaincy
D15 1,449 (328) - - 1,121
Forest Emergency Fund
D16 500 - - - - 500
3 Generate Coaches
Media and Interfaith D17 5,975 13,000 (7,925) - - 11,050
Project
New Community Church D18 5,326 15,000 (6,843) - - 13,483
Project
D19 10,217 (3,160) 7,057
CDiM (New)
D20 25,111 (14,145) 10,966
ADSO (New)
D21 151,388 - (96,506) - - 54,882
Covid 19 Support
Total Designated 2,116,197 214,585 (300,793) - 143 2,030,132
(excluding DAF)
Total Unrestricted & 2,458,972 1,012,727 (1,019,874) - 51 2,451,876
Designated
17.2.3 Restricted Funds
London District Pastoral & R1 11,775 19 (3,651) - - 8,143
Benevolent Fund
Tower Hamlets - Sale- R2 2,563,721 36,111 (36,111) 10,732 - 2,574,453
Land Stepney East End
Worship & Local Preacher R3 143 - - (143) -
Resources Centre
London Regional Network R7 528 - - - - 528
(incl defferred Income)
Grenfell Tower Fund R10 (92) - - - 92 -
Inter Circuit Support R10 3,700 20,000 - - 23,700
Total Restricted Funds 2,579,775 56,130 (39,762) 10,732 (51) 2,606,824
17.2.4 Endowment Fund
Jean Richardson Bursary E 65,043 883 (130) 8,077 - 73,873
Total Funds 5,103,790 1,069,740 (1,059,766) 18,809 - 5,132,573
----- End of picture text -----

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London District of M C Accounts 31 August 2021 - V5.xlsx

DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 AUGUST 2021

18 Connected organisations and related parties

Connected organisations include the Methodist Connexion, Circuits and Churches within the District, other Methodist Districts in Great Britain, the Methodist Ministers’ Children’s Relief Association, CFB and TMCP, except as reported in Note 3. All of these entities have their own trustees or directors and autonomous administration such that the London District has no significant influence over any of them, nor they over the London District. They are, therefore, not considered related parties.

----- Start of picture text -----
Name of Connected Organisations Receipts Payments Adjustments
£ £ £
Donee: Methodist Church Fund (1,296,157)- -
Doner: Circuits within the London District
(assessments on Circuits) 1,545,740 - 249,584
Donor / Donee: Circuits within the London District
(levies / grants) 155,724 (129,900) 25,824
Donor / Donee: Churches within the London
-
District (grants) (105,500) (105,500)
Total 1,701,464 (1,531,557) 169,908
----- End of picture text -----

There were no related party transactions.

19 Auditor

An accrual has been made for the accountancy fee of the auditor.
An accrual has been made for the fee of the auditor.
2020-21
2019-20
7,410
7,056
1,986
1,890
7,410
7,056

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London District of M C Accounts 31 August 2021 - V5.xlsx

DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

FOR THE YEAR ENDED 31 AUGUST 2021

DECLARATIONS

Treasurer

I confirm that I have prepared the accounts from the records of the District and that they include all funds under the control of the District Council.

----- Start of picture text -----
Signature of Treasurer Date
6/2/2022
Name
Mr George Kulasingham
Address
3 Beehive Close, UXBRIDGE, UB10 9QP
----- End of picture text -----

Presentation to the District Council for approval.

I confirm that the Accounts have been presented to the District Council on 18 Janaury 2022 and were approved.

----- Start of picture text -----
Signature of the Chair of
the meeting
Name of the Chair of the
Revd Dr Jongikaya Zihle
meeting
Date
27/1/2022
----- End of picture text -----

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DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

INDEPENDENT AUDITORS' REPORT

FOR THE YEAR ENDED 31 AUGUST 2021

TO THE TRUSTEES OF THE METHODIST CHURCH - LONDON DISTRICT

Opinion

We have audited the financial statements of London District of the Methodist Church (the ‘charity’) for the year ended 31 August 2021 which comprise Statement of Financial Activities, the Balance Sheet and notes to the financial statements, including a summary of significant accounting policies. The financial reporting framework that has been applied in their preparation is applicable law and United Kingdom Accounting Standards, including Financial Reporting Standard 102 The Financial Reporting Standard applicable in the UK and Republic of Ireland (United Kingdom Generally Accepted Accounting Practice).

This report is made solely to the charity’s trustees, as a body, in accordance with Part 4 of the Charities (Accounts and Reports) Regulations 2008. Our audit work has been undertaken so that we might state to the charity’s trustees those matters we are required to state to them in an auditor’s report and for no other purpose. To the fullest extent permitted by law, we do not accept or assume responsibility to anyone other than the charity and the charity’s trustees as a body, for our audit work, for this report, or for the opinions we have formed.

In our opinion the financial statements:

• give a true and fair view of the state of the charity’s affairs as at 31 August 2021, and of its incoming resources and application of resources, for the year then ended;

• have been properly prepared in accordance with United Kingdom Generally Accepted Accounting Practice; and

• have been prepared in accordance with the requirements of the Charities Act 2011.

Basis of opinion

We conducted our audit in accordance with International Standards on Auditing (UK) (ISAs (UK)) and applicable law. Our responsibilities under those standards are further described in the Auditor’s responsibilities for the audit of the financial statements section of our report. We are independent of the charity in accordance with the ethical requirements that are relevant to our audit of the financial statements in the UK, including the FRC’s Ethical Standard, and we have fulfilled our other ethical responsibilities in accordance with these requirements. We believe that the audit evidence we have obtained is sufficient and appropriate to provide a basis for our opinion.

Conclusions relating to going concern

In auditing the financial statements, we have concluded that the trustees’ use of the going concern basis of accounting in the preparation of the financial statements is appropriate.

Based on the work we have performed, we have not identified any material uncertainties relating to events or conditions that, individually or collectively, may cast significant doubt on the charity's ability to continue as a going concern for a period of at least twelve months from when the financial statements are authorised for issue.

Our responsibilities and the responsibilities of the trustees with respect to going concern are described in the relevant sections of this report.

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DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

INDEPENDENT AUDITORS' REPORT (CONTINUED)

TO THE TRUSTEES OF THE METHODIST CHURCH - LONDON DISTRICT

Other information

The trustees are responsible for the other information. The other information comprises the information included in the trustees’ annual report , other than the financial statements and our auditor’s report thereon. Our opinion on the financial statements does not cover the other information and, except to the extent otherwise explicitly stated in our report, we do not express any form of assurance conclusion thereon.

In connection with our audit of the financial statements, our responsibility is to read the other information and, in doing so, consider whether the other information is materially inconsistent with the financial statements or our knowledge obtained in the audit or otherwise appears to be materially misstated. If we identify such material inconsistencies or apparent material misstatements, we are required to determine whether there is a material misstatement in the financial statements or a material misstatement of the other information. If, based on the work we have performed, we conclude that there is a material misstatement of this other information, we are required to report that fact.

We have nothing to report in this regard.

Matters on which we are required to report by exception

We have nothing to report in respect of the following matters in relation to which the Charities (Accounts and

Reports) Regulations 2008 require us to report to you if, in our opinion:

Responsibilities of trustees

As explained more fully in the trustees’ responsibilities statement set out on page 5, the trustees are responsible for the preparation of financial statements which give a true and fair view, and for such internal control as the trustees determine is necessary to enable the preparation of financial statements that are free from material misstatement, whether due to fraud or error.

In preparing the financial statements, the trustees are responsible for assessing the charity’s ability to continue as a going concern, disclosing, as applicable, matters related to going concern and using the going concern basis of accounting unless the trustees either intend to liquidate the charity or to cease operations, or have no realistic alternative but to do so.

Page 30 of 31

DocuSign Envelope ID: 69969807-570F-4B46-A7A6-865FF27573A9

THE METHODIST CHURCH - LONDON DISTRICT

INDEPENDENT AUDITORS' REPORT (CONTINUED)

TO THE TRUSTEES OF THE METHODIST CHURCH - LONDON DISTRICT

Auditor’s responsibilities for the audit of the financial statements

We have been appointed as auditor under section 144 of the Charities Act 2011 and report in accordance with regulations made under section 154 of that Act.

Our objectives are to obtain reasonable assurance about whether the financial statements as a whole are free from material misstatement, whether due to fraud or error, and to issue an auditor’s report that includes our opinion. Reasonable assurance is a high level of assurance, but is not a guarantee that an audit conducted in accordance with ISAs (UK) will always detect a material misstatement when it exists. Misstatements can arise from fraud or error and are considered material if, individually or in the aggregate, they could reasonably be expected to influence the economic decisions of users taken on the basis of these financial statements.

A further description of our responsibilities for the audit of the financial statements is located on the Financial Reporting Council’s website at: www.frc.org.uk/auditorsresponsibilities. This description forms part of our auditor’s report.

Clay Ratnage Strevens & Hills

Chartered Accountants

& Statutory Auditor

Suite D, The Business Centre Faringdon Avenue Romford, Essex, RM3 8EN

Date:

7/2/2022

Clay Ratnage Strevens & Hills is eligible to act as auditor in terms of section 1212 of the Companies Act 2006.

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