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2022-12-31-accounts

St James’ Church Westgate and Garlinge (Charity No: 1136690)

End of Year Financial Statements Year ending 31[st ] December 2022

Administrative Information

St James Church is situated in Canterbury Road, Margate. It is part of the Diocese of Canterbury within the Church of England. The correspondence address is: 22 Richborough Road Westgate on Sea CT8 8DF.

The Parochial Church Council (PCC) registered with the Charity Commission on 1st July 2010. The PCC members are also the charity's trustees. PCC members who have served in 2022 are:

Priest in Charge:

The Revd. Dr. Anand Sodadasi [since November 2022]

Church Wardens:

Michael Flanders Jean Starke

Representative on the Deanery Synod:

Ruth Flanders

Elected Members:

Marion Clarke Jason Flanders Teresa Illsley Sandra Prynne Guy Wilson [from April 2022]

Aims and Purposes

St James PCC has the responsibility of promoting, in the ecclesiastical parish, the whole mission of the church, pastoral, evangelistic, social, and ecumenical. It also has responsibility for the maintenance of the Church Centre complex of St James, Canterbury Road, Margate.

Objectives and Activities

Major activities of the PCC, and of St James Church, have been:

Structure, Government and Management

The method of appointment of PCC members is set out in the Church Representation Rules . All Christians who count St James to be their church family are encouraged to register on the Electoral Roll and to stand for election to the PCC if they sense God’s calling to do so. In accordance with the regulations, an Electoral Roll of 42 people was recorded in December 2022.

3

Worship, Prayer, and Discipleship

The main regular church service is the Sunday morning Service of the Word or Lord’s Supper. These services include hymns and songs, prayer, readings from the Bible, and a sermon, along with encouragement to apply the Christian faith in various ways beyond the service.

The Lord’s Supper is celebrated once a month on Sunday morning, as well as on the major Christian feasts. Church members bring the elements to the congregation in their seats.

Special services have been held at the major festivals of Ash Wednesday, Easter, Pentecost, Harvest, Remembrance and Christmas. In all services, the likely presence of children is considered, and resources allocated accordingly.

Numbers at the services vary; with new visitors often appearing and they receive a warm welcome. We often welcome repeat visitors who are on holiday in the area or visiting family. Everyone attending services receives a printed order of service (with a few large print versions for those visually impaired). Refreshments are made available after the formal part of the service at the west end of the church building, providing an opportunity for those attending to deepen their relationships and encourage one another.

Youth and children

Young people are welcomed to all our Sunday morning services; they share in the first part of the worship before leaving the service to attend age-specific activities and classes designed for them.

On Thursday mornings during term time a parent and toddler group is held in the Church Centre for parents/carers and their child[ren] offering a warm and welcoming environment. Most of the time is spent in free play and the building of friendships between all involved. This is supplemented with guided craftwork and singing of songs. Some of the activities are aimed at introducing Christian themes. This group is invited to other events of a more focused kind, aimed at explaining the gospel clearly.

Some members of this group have existing church connections (usually at other churches) and it is hoped that we will see further fruit from these relationships in due course.

Contact with our local (non-C of E) primary school is greatly valued. In addition to the community focused Christmas carol service held at the school, children from Year 6 come to the church building prior to Christmas and Easter for special activities and teaching called ‘Christmas Unwrapped’ and ‘Easter Cracked’.

Evangelism

Church services are planned in the expectation that some of the congregation present will not yet be Christians. We aim to point everyone towards Jesus, the One who alone is the way of salvation. It is known that most people in the Parish do not attend church, therefore, attendees are encouraged to proclaim the Gospel through their lives and words. The activities of the church family are publicised in a variety of ways. A monthly café is provided in the Church Centre, offering refreshment, an opportunity to purchase homemade goods (raising funds) and to enable mutual encouragement for those attending. The way in which events are publicised and offered is regularly reviewed.

Small Groups

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Small group gatherings are called ‘Growth Groups,’ which are centred around study of the Bible, most groups are for both sexes, and meet fortnightly, on Wednesday evenings except for a Ladies only group that meets on Wednesday mornings. The alternate weeks a joint prayer meeting is held in the Church Centre. These groups provide context for relationships to deepen within the group, and for expressions of pastoral care.

Friendship Club

This is a group, mainly, but not exclusively of older people, which meets one afternoon each month in the Church Centre. As well as church members, it includes members of other churches and some who have little or no contact with any church. At each meeting there is usually a speaker (on a variety of topics) and a Christian epilogue, as well as a time for refreshments.

Pastoral Visitation

A church member leads a small group of pastoral visitors who regularly visit or maintain contact by telephone and email, with members of the congregation who are housebound.

Mission Support

The church family designates 10% of its income to the support of mission outside the parish. A portion of this sum is allocated regularly each month to our specific mission partners. Other donations are made to various mission initiatives at the discretion of the PCC and as needs arise.

Financial Review

Total receipts were £84,582. Expenditure in providing the Christian ministry at St James Church including support for work outside the parish amounted to £99,264. This sum covers our contribution to the diocesan Parish Share which offsets, amongst other things, the cost of the incumbent’s stipend and housing and refurbishment of the Church.

The net result for the year was an excess of expenditure over income of £14,682. After adding the balance brought forward at the beginning of 2022, the balance carried forward as of 31[st] December 2022 totalled £138,194.

Reserves Policy

The PCC currently aims to build up a free reserve fund of £25,000, as a buffer against unexpected expenses, or a decrease in income. This policy is reviewed and monitored each year. At the end of 2022, the Reserve Fund stood at £9,421. It is our current policy to invest our funds with the CAF Gold account.

Approved by the PCC on 23[th] February 2022 and signed on its behalf, by Rev. Dr Anand Sodadasi Priest in Charge and Chair of PCC.

Signed...................................................................

Date: 23[th] February 2022

5

Independent Examiner’s Report

I report to the trustees (members of the PCC) on my examination of the accounts (set out on pages 6 - 11) of the above charity (“the Trust”) for the year ended 31[st] December 2022

Responsibilities And Basis of Report

As the charity trustees of the Trust, 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 Trust’s accounts carried out under the rules of the 2011 Act and in carrying out my examination, I have followed 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 which gives me cause to believe that in, any material respect:

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

Signed

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W A R Merry FCCA

Date: 23[rd] February 2023

Address: 29 Fitzmary Avenue, Margate, CT9 5EL

7

St James Westgate and Garlinge Statement of Financial Activities

1[st] January 2022 to 31[st] December 2022

Unrestricted Designated Total

2021

2021
funds funds
funds funds
Income and -
endowments from: 49,6
Donations and legacies 49,661 61 51,813
Income from charitable activities 463 4 402
63
Other trading activities 25,181 25,1 16,174
81
Investments 530 5 8
30
Other income1 8,747 8,7 208,862
47
Total income 84,582 84, 277,25
582 9
Expenditure on: 4, 99,2
Expenditure on charitable activities 95,004 259 63 137,189
Total expenditure 95,004 4 99, 137,18
,259 263 9
Net income / (expenditure) resources before transfer (10,422) (14 140,06
(4,259) ,681) 9
Transfers:
22, 10,7 33,4 193,
Gross transfers between funds - in 703 19 23 895
Gross transfers between funds - out (10,719) (22, (33,423) (193,8
703) 95)
Net movement in funds 1, (16 (14,681) 140,
Reconciliation of funds 562 ,243) 069
Total funds brought forward 152 152,87
326 ,549 5 12,806
Total funds carried forward 1, 136, 138,194 152,
888 306 875

Notes:

1 2021 includes £205,220 from sale of OSH. There may be minor discrepancies in the totals as the figures have been rounded to the nearest pound. See pages 8,9 & 10 for more details

8

St James Westgate and Garlinge Balance Sheet 31[st] December 2022


31/12/2021
Current assets
Cash At Bank And In Hand
Liabilities
Creditors:1
Net Current assets less current
liabilities2
Represented by
Unrestricted
General Funds
Designated
Mission Giving

82
Projects3
126,203
Reserves
31/12/2022
13
8,816
(622)
1
38,194
1,888
6

493
136,056
9,421
16,000
136,306

153,125
(250)
152,875
326
152,549

9

Funds Totals 138,194 152,875

Notes:

1 Key deposits, Hire fees, and money held for other organisations. See page 9

2See pages 9 & 10 for more details

3 Money from the sale of the OSH to be used for updating/renewing buildings and equipment in church.

St James Westgate and Garlinge Statement of Assets and Liabilities 31[st ] December 2022

31.12.22

31.12.21

Cas h At Bank And In Hand Current Account (CAF)

Unrestri 1,502 (73) General Fund cted Mission Giving Designa 682 493 ted Agency collection Restrict 342 200 ed 2,526 620 Deposit Account (CAF Gold) Unrestri 291 General Fund cted 126,203 Projects Designa ted 136,056

10

Reserves Designa 9,421 16,000 ted 135,915 152,056 PayPal Unrestri General 275 0 cted Fun d 275 0.00 Stewardship Unrestri General Fund cted 100 200 100 200 Cash In Hand Unrestri General Fund cted 0 199 Agency collection Restrict 50 ed 0 0 249 Current Assets 153, 138,816 125 Debtors Accounts receivable General Fund Unrestri (280) 0 cted Agency Accounts Agency collections Agency collection Restrict (250) ed (342) (622) (250) Net Total Assets 138,194 152,875

Notes:

See Page 10 for Fund Movements

St James Westgate and Garlinge

11

Fund movement summary 1[st ] January 2022 to 31[st ] December 2022

Fund Fund
balances
brought
forward
Incoming
Resources
Outgoing
Resources
Transfers Fund
balance
s
Carried
forward
General Fund 326 84,582 95,004 11,984 1,888
Mission Giving 493 0 4,259 4,448 682
Projects 136,056 0 0 (9,853) 126,203
Reserves 16,000 0 0 (6,579) 9,421
Totals 152,875 84,582 99,263 0 138,194

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St James Westgate and Garlinge Analysis of Income and Expenditure 1[st] January 2022 to 31[st ] December 2022

Gen
eral
Design
ated
2022
2021
Receipts
Donations and legacies
GA Envelopes (Occasional)
GA Envelopes (Planned)
Bank & Online Giving (Occasional)
Bank & Online Giving (Planned)
Collections (SDS)
Collections (Non-SDS)
Gift Days & Appeals
One-of Gifts
Legacies
Donations and legacies Totals
Income from charitable activities
Fees for Services
Income from charitable activities Totals
Other trading activities
Book Sales
Fundraising Activity
Lettings
Other trading activities Totals
Investments
Bank and Building Society Interest
Investments Totals
Other income
Tax Recoverable On Gift Aid
Insurance Claims
Sale of property
Income Totals
370
0
370
0
1,110
0
1,110
810
70
0
70
0
32,326
0
32,326
34,749
6,054
0
6,054
4,147
1,409
0
1,409
1,120
4,966
0
4,966
801
2,857
0
2,857
10,186
500
0
500
0
49,661
0
49,661
51,813
463
0
463
402
463
0
463
402
134
0
134
340
1,752
0
1,752
670
23,295
0
23,295
15,164
25,181
0
25,181
16,174
530
0
530
8
530
0
530
8
8,317
0
8,317
3,642
430
0
430
0
0
0
0
205,220
8,747
0
8,747
208,862

84,582

Receipts Grand Totals

0 84,582 277,259

13

Payments

Expenditure on charitable activities

Desig
General nated 2022 2021
Mission Giving (Away) 0 4,009 4,009 3,848
Mission Giving (Local) 0 250 250 0
Parish Share (Current Year) 57,560 0 57,560 67,770
Parish Share (Arrears) 0 0 0.00 33,030
Salaries (Basic) 11,743 0 11,743 10,118
Youth & Children's Ministry 217 0 217 162
Mission & Outreach 190 0 190 80
Bookstall Stock 114 0 114 373
Hospitality & Gifts 102 0 102 49
Catering 367 0 367 321
Insurance 4,082 0 4,082 4,231
Maintenance and Repair of Church Building &
Equipment 1,099 0 1,099 3,169
Maintenance and Repair of Church Halls and
Equipment 1,313 0 1,313 1,140
Upkeep Of Services 174 0 174 1,001
Upkeep Of Grounds 458 0 458 267
Administrative Subscriptions 3,201 0 3,201 2,465
Postage 0 0 0 53
Stationery & Printing 1,200 0 1,200 940
Telephone & Internet 675 0 675 641
Ofce Equipment & Software 30 0 30 742
Visiting Speakers & Locums 83 0 83 282
Utilities 1,998 0 1,998 968
Building Development 0 0 0 5,066
Financial Cost 196 0 196 165
84,80 4,259 89,0 136,800
Expenditure on charitable activities Total 2 61

Extra-ordinary Item:

Church Chairs

14

Payments Grand Totals 10,20
3
0
95,0
05
4,259
10,20
3
3
09
99,2
64
137,189

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