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2020-12-31-accounts

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST JAMES TUNBRIDGE WELLS

ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2020

REGISTERED CHARITY NO 1136988

CHARITY INFORMATION

Registered Office Church House 1 Ferndale Tunbridge Wells Kent TN2 3RL

Registered Charity 1136988 number Governing document The Parochial Church Council Powers Measure (1956) as amended and the Church Representation Rules that came into force on 2[nd] January 1956

Ex Officio Members of the PCC

Incumbent The Reverend Canon Jim Stewart Curate Revd Judith Hammill Wardens Bruce Williamson Stephen Keevil Treasurer Sheila Anstead

Parochial Church Council Carolyn Clutterbuck

David Cunningham Roger Dunlop Carol Edwards Jenny Garratt Michael Lawes Jean Meadows Vanessa Nicholls Michael Phillips Susan Schibli Rachel Blythe PCC secretary in attendance The Co-operative Bank PLC 1 Balloon Street Manchester M60 4EP Metro Bank PLC One Southampton Row London WC1B 5HA Martyn Burt B.Sc.(Hons), ACMA, CGMA Ashby Acres, Chapel Lane, Ashby cum Fenby, Grimsby DN37 0QT

Bankers

Independent Examiner

Page 1

CHARITY INFORMATION

OBJECTIVES AND ACTIVITIES

The full name of the charity is the “The Parochial Church Council of the Ecclesiastical Parish of St James, Tunbridge Wells”; we shall refer to it as “the charity”. The object of the charity is to further the religious and other charitable work of the Church of England in the Parish of St James Tunbridge Wells. The members of the PCC are the Trustees of the charity and as a body are responsible for supporting the clergy in promoting the mission of the Church in the parish – evangelistic, pastoral, liturgical, social and ecumenical. It also carries the responsibility for maintaining the building of St James’ Church and the other property of the charity.

WHAT WE HAVE DONE DURING THE YEAR AND OUR PLANS FOR THE FUTURE

The activities of the charity are described below and the members of the PCC believe that these are sufficient to comply with the Charity Commission requirement for public benefit.

The Electoral Roll at the APCM held in October 2020 had a total of 208 members compared to 171 in April 2019.

The regular worship of God in our church provides opportunities for spiritual refreshment, teaching, communal prayer, outreach, communication and fellowship. The House Groups provide further opportunities for teaching and support for their members. The generally private ministry of pastoral care in the parish also is carried out daily in response to need as it arises.

In 2020 the parish continued to hold a full range of services although during the Covid19 lockdown periods many services had to move online. Until the first lockdown in March 2020 there were three services on Sundays to cater for the differing needs of the congregation. When the church had to be closed in the first and second lockdowns, three pre-recorded services, one for adults, one for children, and a third for the youth, were available each Sunday on Youtube. Once the church could re-open in September (and then later, in December) three services were held each Sunday morning to enable socially distanced worship with the 9.30 service being livestreamed. As well as these services, Morning Prayer services are held on at least three days during the week, and additional services at the major festivals of Christmas and Easter. During the lockdown periods Jim and Parvin Stewart have continued to hold morning prayer services daily on Youtube. and there were regular online Hope services (for those living with

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St James PCC Tunbridge Wells Accounts 2020 Report of the Trustees

Dementia). A series of Zoom compline services were held at Advent. The pre-recorded Youtube Christmas Carol service was very much appreciated.

Services were held in the nursing and residential care homes in the parish before the Covid19 pandemic. Residents can now watch the services on Youtube.

In addition to the clergy and a full time Youth Worker, the parish benefits from having three Readers, two Licensed Lay Ministers, an Associate Evangelist and a Pastoral Assistant. The worship in services is varied to minister to the whole congregation with the music group leading on most Sundays and a full organ service once a month. This pattern has continued (but often using using pre-recorded material) in the online services.

In 2018 the PCC agreed to support a pilot project run by TEAR Fund in the diocese of Kondoa, Tanzania. St James undertook to provide £15,000 each year for a minimum of three years and in 2020 agreed to continue support for a further 2 years. Our curate, Rev Judith Hammill and two members of the congregation had planned to visit Kondoa in July 2020 but this was sadly not possible. Various events including a very successful online walking challenge were held to promote the link between St James and Kondoa and to raise funds for the project.

Many church meetings including homegroups continued on Zoom. There was a successful online Advent Fair to raise funds for mission activity. We held other events to add to the day-to-day witness of church members in their households, neighbourhoods and workplaces. These included an online parenting course and a treasure hunt at Hilbert park on Christmas Eve. The PCC set aside 11.5% of its donated income in 2020 for the support of mission activities as well as events to raise money for mission. Gifts to mission partners, and mission and relief organisations in the year totalled £38,000 including £15,000 to the TEAR Fund project in Kondoa. A number of our Church Family are involved in the Tunbridge Wells Isolation Support Group and doing some very good work. Our curate Judi Hammill organised an Advent window nativity trail for the PTA of St James’ School. This was a wonderful opportunity to spend time and highlight the Christmas story and message to others.

The Pre-School and After-School Club maintain records in accordance with Ofsted and KCC requirements and have their own reserves, within the overall reserves of the PCC, to meet any liabilities arising out of employment or other issues. In 2020 both the

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St James PCC Tunbridge Wells Accounts 2020 Report of the Trustees

Pre-School and the After School club were forced to close for several months due to the Covid19 restrictions. The PCC were concerned about the future financial viability of the Pre School at a time of great uncertainty. Following a review they decided that it should continue for the time albeit with fewer sessions.

In 2020 the PCC and the church will continue to minister to the local population and to its members, provide teaching and worship through its regular services and home groups and to support mission activity locally, in the UK and in other countries.

FINANCIAL REVIEW

Financial Impact of the Covid19 pandemic

In 2020 the church was closed for worship for several months, both the Pre School and After School club had to close temporarily and the restrictions made it impossible to hire out the Church hall for a large part of the year. Donation and hall rental income fell significantly and most of the staff were placed on Furlough leave for several months. The church benefitted from grants from the Covid19 Job Retention Scheme totalling over £41k. Expenditure was lower than forecast due to the enforced reduction in planned activities. In 2020 the church invested £14k in purchasing equipment to enable us to livestream our church services and also upgraded our Wifi connection and AV equipment.

Full lockdown restrictions continue into 2021. The future outlook is uncertain and we will require continued support from the Covid19 Job Retention Scheme but the church is fortunate to hold significant financial reserves.

The Unrestricted General Fund made an operating loss of £18k. £20k was transferred to the Unrestricted General Fund from the designated Special Projects Fund which was the fund set up to hold the legacy and other reserves which the PCC agreed should be used to help fund the cost of the Youth Worker and the live streaming equipment. This transfer brought the final General Fund surplus to £2k. The Church benefitted from the £18k combined surplus in the After School Club and Pre School.

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St James PCC Tunbridge Wells Accounts 2020 Report of the Trustees

Income

The parish is supported in its work by income from regular giving and donations from members of the congregation. Including income tax recoverable under the Gift Aid scheme, unrestricted donation income was £12k lower than 2019 with regular planned giving down 9k and unplanned giving down 3k compared with 2019.

One legacy of £2,484 was received in 2020.

A grant of £9k was given by the Diocese of Rochester to support the costs of providing housing and service-related expenses for the curate.

Income from fees for weddings and funerals remained at £5k. From 2020 the Diocesan Board of Finance (DBF) portion of the fees is payable to the Diocese and this amounted to £3k in 2020.

Income from the letting of church premises has reduced by £11k due to the impact of the pandemic. This loss was offset by a grant of £11k from the Covid19 Job Retention Scheme.

Property letting has remained at £21k with both church house flats rented out all year.

At the end of 2017 the PCC signed a 20 year contract with Net Coverage Solutions for the use of telecommunications equipment in the church spire for an annual rental of £7k from 2018.

The Pre-school income increased by 9% but the After-School Club income fell by 25%. Between them they contributed £171k in income and £18k in net contribution after costs. This includes a grant totalling £30k from the Covid19 Job Retention Scheme.

Expenditure

Thanks to the continued giving, the 11.5% tithe from donation income (including Gift Aid) was £14k compared to £16k in 2019. This tithe is set aside for mission-related activity as shown in note 17 to the accounts.

The PCC’s contribution to diocesan costs, including clergy stipends reduced from £83k to £77k.

Maintenance and equipment work done in 2020 included new iron railings on the church boundary with Ferndale Road, exterior redecoration and timber repair of part of Church House, the renewal of the ramp used by the Pre School, upgraded Wifi and AV equipment and the new equipment to enable the livestreaming of services. The £13k cost of the ramp was met from the designed Church Repair Fund. The livestreaming equipment (£14k) was recognised as a Fixed Asset and will be depreciated over 5 years.

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St James PCC Tunbridge Wells Accounts 2020 Report of the Trustees

Salaries costs reduced by £17k in 2020 compared with 2019. This was largely due to the resignation of the Families Worker in August 2019.

Pre-School and After-School Club

The Pre-school has recorded a surplus of £8k following a grant of £7k from Kent County Council to meet additional Covid19 related costs together with some cost cutting measures. The surplus for the After School Club reduced from £36k in 2019 to £10k in 2020 due to the Covid19 closures.

Funds

At the end of the year, total funds of the PCC stood at £1,698k, an increase of £6k from 2019. Of this, £1,303k is represented by the land and buildings and equipment owned by the PCC at Church House and Andrews Close. £12k is tithe still to be donated, £46k is funds for repairs and building projects, £103k is the retained reserves from the After-School Club and with a further £121k is set aside for special projects and £4k for other designated funds. £22k is restricted for mission giving (including to the TEAR Fund project), the Vicar’s discretionary Fund and the Pre-School so available for expenditure only on those activities. This left a General Fund of £72k for use as the PCC sees fit, within the objects of the charity. The PCC’s Reserves Policy is to maintain sufficient level of reserves to enable normal operating activities to continue over a period of up to 3 months should a shortfall in income occur and to take account of potential risks and contingencies that may arise from time to time. The General Fund represents 4.6 months of income net of legacies received and 4.1 months of expenditure which is in line with this target.

Taking into account the financial position of the charity as at 31 December 2020 and the expected income and expenditure for 2021, the members of the PCC believe that it is appropriate to consider the charity a going concern from the date of the approval of the accounts.

STRUCTURE, GOVERNANCE AND MANAGEMENT

The members of the PCC are either ex officio or elected by the Annual Parochial Church Meeting (APCM) following the church representation rules.

The members of the PCC during 2020 are shown in the Charity Information page.

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St James PCC Tunbridge Wells Accounts 2020 Report of the Trustees

The PCC delegates its work in the parish to Ministry Groups, made up of at least the vicar, wardens and one member of the PCC and other members of the congregation. Each Ministry Group meets regularly to consider and act upon the area of responsibility that it has been given by the PCC. Each Ministry Group reports back to the PCC at least once every year and minutes of Ministry Group meetings are made available to the members of the PCC.

In addition to monitoring and directing the work of the Ministry Groups (including the Finance Ministry Group) the PCC meetings in 2020 were necessarily focussed on ways to continue the worship and activities of the Church during the Covid19 pandemic. Most meetings were held on Zoom. The PCC considered ways to hold worship services remotely both for adults and the young people and decided to hold pre-recorded services on Youtube initially. They considered livestreaming options and following recommendations by Adam Bennett they invested in updated Wifi capability and AV equipment together with new livestreaming equipment which was installed in September. There was also consideration of the financial impact of the pandemic including Furlough arrangements for staff, a review of the Pre School ongoing financial viability, Covid19 risk assessments for the Church services, and arrangements for private prayer and hall hire. The PCC is aware of its responsibilities for the After School Club and the Pre-school and gets updates from the Management Committee. The work of the wider church, including diocesan and general synods is reported to the PCC.

SAFEGUARDING

The PCC has complied with its duty under Section 5 of the Safeguarding and Clergy Discipline Measure 2016 with regard to the House of Bishops’ guidance on Safeguarding children and vulnerable adults.

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St James PCC Tunbridge Wells Accounts 2020 Report of the Trustees

The Ministry Groups are:

The Ministry Groups are:
Name Responsible for
Teaching and ministry Leading and directing the teaching and ministry in church services, home
groups and other forums
Worship Leading and directing the worship in our services
Mission Funding mission work in the parish, the town and overseas and
supporting the work practically and through prayer
Local outreach Building links to the local community to bring the gospel through personal
contact and relationships
Children and Youth Leading the parish’s work with young people to nurture and encourage
their journey towards an adult faith
Fabric Maintaining the buildings and facilities of the church and other buildings
to serve the parish, the members of the church and other users
Finance Monitoring the financial health of the parish, planning for future demands
on finances and advising the PCC on financial matters
Pastoral Supporting those who have a pastoral role, whether formal or informal,
within the parish and helps resource church members to grow in pastoral
awareness and sensitivity

The PCC is grateful for the time, talents and enthusiasm of the members of the church that give their services through these groups, and for everyone who partakes in the life of the church through Sunday School teaching, youth work, music, maintenance and many other activities.

The PCC appoints representatives to serve on Churches for Tunbridge Wells and to serve as Governors for the church school in the parish, St James’ Primary School.

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St James PCC Tunbridge Wells Accounts 2020 Report of the Trustees

STATEMENT OF TRUSTEE RESPONSIBILITIES

Charity Law requires the PCC to prepare financial statements for each financial year which give a true and fair view of the state of affairs of the charity for that period. In preparing these financial statements the PCC have:

The PCC have overall responsibility for ensuring the charity has appropriate systems of control, financial and otherwise. They are also responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the charity and enable them to ensure that the financial statements comply with the Charities Act 2011.

They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities and to provide reasonable assurance that:

Approved by the PCC on 24[th] March 2021 and signed on its behalf by

Canon Jim Stewart, Chair of PCC

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St James PCC Tunbridge Wells Accounts 2020

adventus accounting solutions Supporting Charitable Organisations

10 March 2021

Independent Examiner’s report to the Member/Trustees of St James Tunbridge Wells

I report on the accounts for the year ended 31 December 2020 which are set out on pages 11 to 26.

Respective responsibilities of the Trustees and Independent Examiner

The church’s trustees are responsible for the preparation of the accounts. The church’s trustees consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed.

It is my responsibility to

Basis of Independent Examiner’s Statement

My examination was carried out in accordance with the General Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from the trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a ‘true and fair view’ and the report is limited to those matters set out in the statement below.

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St James PCC Tunbridge Wells Accounts 2020

Independent Examiner’s statement

Since the gross income for the year exceeds the amount provided in section 145(3) of the Act, I confirm that I am qualified to act as an Independent Examiner under the provisions of that section of the Act and that my qualifications are set out as below.

In connection with my examination, no matter has come to my attention:

Yours sincerely

Martyn Burt

B.Sc.(Hons), ACMA, CGMA

adventus accounting solutions Ashby Acres Chapel Lane Ashby-cum-Fenby Grimsby DN37 0QT

e-mail: martyn.burt@btinternet.com or adventusaccounting@btinternet.com Telephone: 07523 6229679

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St James' PCC, Tunbridge Wells

STATEMENT OF FINANCIAL ACTIVITIES for the year ended 31st December 2020

2020 2019
Unrestricted Restricted Total Unrestricted Restricted Total
Note Funds Funds Funds Funds Funds Funds
INCOME FROM: £ £ £ £ £ £
Donations 2(a) 132,995 24,253 157,248 145,305 18,363 163,668
Legacies 2(b) 2,484 - 2,484 1,000 - 1,000
Income from operating activities: - - -
- to further Council's object 2(c) 115,347 101,006 216,353 188,585 98,569 287,154
- to generate funds 2(d) - - - - - -
Income from investments 2(e) 3,468 2 3,470 2,102 9 2,111
Other ordinary incoming resources 2(f) 36,827 5,258 42,085 2,902 - 2,902
TOTAL INCOMING RESOURCES 291,121 130,519 421,640 339,894 116,941 456,835
EXPENDITURE ON:
Grants 3(a) 19,149 18,966 38,115 17,252 13,050 30,302
Activities directly relating to the work of the Church 3(b) 300,831 76,931 377,762 335,470 87,678 423,148
TOTAL RESOURCES USED 319,980 95,897 415,877 352,722 100,728 453,450
NET INCOMING RESOURCES (28,859) 34,622 5,763 (12,828) 16,213 3,385
Transfers between Funds 19,200 (19,200) - 8,350 (8,350) -
NET MOVEMENT IN FUNDS (9,659) 15,422 5,763 (4,478) 7,863 3,385
Balances brought forward 1st January 2020 1,670,881 21,952 1,692,833 1,675,359 14,089 1,689,448
BALANCES CARRIED FORWARD 31st DECEMBER 2020 1,661,222 37,374 1,698,596 1,670,881 21,952 1,692,833

The notes on pages 14 to 27 form part of these accounts

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Registered charity no. 1136988

St James' PCC, Tunbridge Wells

BALANCE SHEET as at 31st DECEMBER 2020

Note
FIXED ASSETS
Tangible Fixed Assets
8
CURRENT ASSETS
Debtors
9
Short Term Deposits
10
Cash at Bank & in Hand
LIABILITIES
amounts falling due within 1 year
11
NET CURRENT ASSETS
NET ASSETS
FUNDS
Unrestricted
- General
13
- Designated
13
Restricted
14
£
12,052
297,616
123,543
£
1,302,670
395,926
1,698,596
72,097
1,589,125
37,374
1,698,596
2020
£
13,890
295,673
120,326
£
1,291,564
401,269
2019
433,211
(37,285)
429,889
(28,620)
1,692,833
70,260
1,600,621
21,952
1,692,833

Approved by the Trustees of the Parochial Church Council and signed on its behalf by

Date:

The notes on pages 14 to 27 form part of these accounts

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St James' PCC, Tunbridge Wells

NOTES TO THE ACCOUNTS for the year ended 31st December 2020

1 ACCOUNTING POLICIES

The financial statements have been prepared in accordance with the Church Accounting Regulations 2006, the UK Financial Reporting Standard 102 and the Charities Statement of Recommended Practice for accounting periods beginning on or after 1 January 2015 (SORP 2015). Because of the size of the charity, the accounts are not required to present a cash flow statement.

The financial statements have been prepared under the historic cost convention apart from the revaluation of properties.

Funds

Unrestricted funds represent the funds of the PCC that are available for application on the general purposes of the PCC. The General Fund is available for day to day activities and to provide a cushion in the event of unexpected events. Designated funds are those set aside by the PCC for a particular purpose and are also unrestricted. The accounts include all transactions, assets and liabilities for which the PCC is responsible by law. They do not include the accounts of church groups that owe their main affiliation to another body nor those that are informal gatherings of church members. Restricted funds are funds which are to be used in accordance with specific restrictions imposed by donors or which have been raised by the PCC for particular purposes. Transfers between funds are made where the fund is no longer required or to match donations to specific funds.

Incoming Resources

Voluntary income and capital sources:

Collections are recognised when received by or on behalf of the PCC.

Gift aid recoverable is recognised when the PCC has the appropriate gift aid declarations and when the related income has been received. Grants and legacies to the PCC are recognised when the PCC is notified of its entitlement and the amount is more likely than not to be received and the value of the income is able to be estimated reliably.

Funds raised by coffee mornings, Mission Fairs or similar events are reported gross.

Other ordinary income:

Rental income from the letting of church premises is recognised when the rent is due. Income from Pre-school fees and After School Club fees is recognised when sessions are provided.

Page 14

St James' PCC, Tunbridge Wells

NOTES TO THE ACCOUNTS for the year ended 31st December 2020 (continued)

1 ACCOUNTING POLICIES (continued)

Resources Used

Grants:

Grants and donations are recognised when paid over, or when awarded, if that award creates a binding obligation on the PCC.

Activities directly relating to the work of the church:

The diocesan offer is recognised when payable.

Fixed Assets

Consecrated land and buildings and moveable church furnishings:

Consecrated and beneficed property is excluded from the accounts by s.10(2) of the Charities Act 2014. The treatment of other property assets is detailed in the note to these accounts.

No value is placed on moveable church furnishings held by the churchwardens on special trust for the PCC and which require a faculty for disposal since the PCC considers this to be inalienable property. All expenditure incurred during the year on consecrated or beneficed buildings and moveable church furnishings, whether maintenance or improvement, is written off as expenditure in the Statement of Financial Activities (SOFA) and separately disclosed.

Provision will be made should any annual impairment review of fixed assets indicate that a permanent diminution in value has occurred.

Other land and buildings

The PCC has taken advantage of the provisions for transition to reporting under FRS 102 by taking the valuation of the properties at 31 December 2013 as their deemed cost. No depreciation is provided on the properties as maintenance expenditure maintains their current state. Properties are subject to an impairment review each year for factors that have impaired the value of the buildings. No such impairment is necessary in the current financial year.

Other fixtures, fittings and office equipment:

All equipment with a purchase price of less than £1,000 is recognised as revenue expenditure when the item is purchased. All items with a purchase price of more than £1,000 have been capitalised in the year of purchase. All tangible fixed assets are depreciated evenly over their estimated useful lives as follows:

Computers 3 years Equipment 5 years

Page 15

St James' PCC, Tunbridge Wells

NOTES TO THE ACCOUNTS for the year ended 31st December 2020 (continued)

1 ACCOUNTING POLICIES (continued)

Current Assets:

Amounts owing to the PCC at 31 December in respect of fees, rents or other income are shown as debtors, less provision for any amounts that may prove uncollectable, assessed case by case.

Short-term deposits include cash held on deposit either with the Diocesan Board of Finance or at the bank. Stock is valued at the lower of cost and net realisable value.

Liabilities

Liabilities are recognised in the financial statements when, at the date of the accounts, there is an obligation to a third party as a result of a past event where it is probable that a transfer of money or other economic benefit will be required to settle the liability, and where the value of the liabilty can be estimated reliably. Liabilities are recognised at the value of the payment that will be required to settle the liability or the amount received as advance payment for the services it is to provide.

Page 16

St James' PCC, Tunbridge Wells NOTES TO THE ACCOUNTS for the year ended 31st December 2020 (continued)

2.
INCOMING RESOURCES
2(a)
Incoming resources from donors
Planned giving:
Gift Aid donations
Income Tax recoverable
Other Planned giving
Collections (open plate) at all services
Sundry donations
Grants receivable
Income Tax recoverable
2(b)
Other voluntary incoming resources
Legacies
2(c)
Income from operating activities: to further Council's objects
Church Premises lettings
Flat and house rentals (note 4)
Telecoms rentals
Pre-school (note 5)
After School Club (note 6)
Christmas Fair
Fees for services
Other Parish Events
2(d)
Income from operating activities: to generate funds
Other fund raising events
2(e)
Income from investments
Interest including any reclaimable tax
2(f)
Other ordinary incoming resources
Job Retention Scheme
Subscriptions
Other Parish Income
TOTAL INCOMING RESOURCES
Unrestricted
Restricted
Total
Funds
Funds
£
£
£
82,769
4,020
86,789
19,771
-
19,771
641
-
641
103,181
4,020
107,201
5,787
-
5,787
12,138
15,887
28,025
9,000
-
9,000
2,889
4,346
7,235
132,995
24,253
157,248
2,484
-
2,484
8,447
-
8,447
21,420
-
21,420
6,700
-
6,700
-
94,880
94,880
76,302
-
76,302
-
2,030
2,030
2,464
-
2,464
14
4,096
4,110
115,347
101,006
216,353
-
-
-
3,468
2
3,470
36,073
5,258
41,331
475
-
475
279
-
279
36,827
5,258
42,085
291,121
130,519
421,640
2020
Total Funds
£
95,205
18,982
1,662
2019
115,849
9,275
24,353
8,400
5,791
163,668
1,000
19,993
20,940
6,700
91,555
134,042
2,849
4,947
6,128
287,154
-
2,111
-
2,070
832
2,902
456,835

Page 17

St James' PCC, Tunbridge Wells

NOTES TO THE ACCOUNTS for the year ended 31st December 2020 (continued)

3.
RESOURCES USED
3(a)
Grants (see note 17 for more detail)
Church overseas:
Missions with link missionaries
Missionary societies
Relief and Development Agencies
Home missions and other Church Societies
Total
Other sundry and discretionary gifts
3(b)
Direct Activities
Ministry costs:
Diocesan Offer
Clergy expenses
Housing costs
Other clergy costs
Church Running expenses
Maintenance and equipment purchases
Sunday school leaders and other training
Readers and Pastoral Assistant training
Church Hall running costs
Church House running costs
Church activities: Pre-school (note 5)
Church Activities: After School Club (note 6)
Church Activities: Youth Worker
Other Parish costs:
Music
Flowers
Subscriptions
Digital Expenses
Church organisations
Lay Staff expenses
Parish events
Grant to St James Infant School
Printing and stationery
Salaries
Staff training
Equipment hire/repair
Flat management & expenses (note 4)
Sundry expenses
Payroll administration
Bank charges and loan interest
Equipment depreciation
Independent Examination and other professional fees
TOTAL RESOURCES USED
Unrestricted
Restricted
Total
Funds
Funds
£
£
£
6,550
-
6,550
7,444
1,993
9,437
2,000
13,740
15,740
2,950
3,233
6,183
18,944
18,966
37,910
205
-
205
19,149
18,966
38,115
76,000
-
76,000
685
-
685
9,347
-
9,347
1,124
-
1,124
87,156
-
87,156
9,597
-
9,597
32,081
-
32,081
372
-
372
120
-
120
1,445
-
1,445
2,756
-
2,756
-
76,931
76,931
90,805
-
90,805
-
-
-
83
-
83
130
-
130
1,428
-
1,428
1,147
-
1,147
364
-
364
302
-
302
674
-
674
1,500
-
1,500
1,906
-
1,906
59,525
-
59,525
-
-
-
-
-
-
767
-
767
1,440
-
1,440
2,532
2,532
74
-
74
3,337
-
3,337
1,290
-
1,290
300,831
76,931
377,762
319,980
95,897
415,877
2020
Total Funds
£
6,550
4,825
16,700
1,950
2019
30,025
277
30,302
83,126
1,223
10,332
3,473
98,154
11,947
25,012
624
150
3,322
2,815
86,825
98,222
-
44
230
1,330
-
2,813
1,095
4,770
1,000
2,413
76,426
-
9
781
2,052
1,848
17
449
800
423,148
453,450

Page 18

St James' PCC, Tunbridge Wells

NOTES TO THE ACCOUNTS for the year ended 31st December 2020 (continued)

4. CHURCH HOUSE FLAT RENTAL ACCOUNTS

Rental Income
Management fees paid (including VAT)
Repairs and maintenance
Surplus for period
£
£
21,420
-
767
(767)
20,653
2020
£
£
20,940
-
781
(781)
20,159
2019
£
£
20,940
-
781
(781)
20,159
2019
20,159

Page 19

St James' PCC, Tunbridge Wells

NOTES TO THE ACCOUNTS for the year ended 31st December 2020 (continued)

5. PRESCHOOL ACCOUNTS

Income
Fee Income
Grants - KCC
Job retention Scheme
Other income
Investment Income
Total income
Expenses
Salaries
Rent St James
Training
Equipment
Repairs and capital expenses
Refreshments
Postage and Stationery etc.
Art & Craft materials
Registration fees
Sundry
Surplus/(deficit) for the year
£
£
11,042
83,427
5,258
411
89,095
100,137
2
100,139
73,296
15,000
12
1,539
-
267
196
602
44
975
(91,931)
8,208
2020
£
£
17,394
73,720
-
441
74,161
91,555
9
91,564
82,389
15,000
337
1,746
-
825
308
684
44
491
(101,825)
(10,261)
2019
£
£
17,394
73,720
-
441
74,161
91,555
9
91,564
82,389
15,000
337
1,746
-
825
308
684
44
491
(101,825)
(10,261)
2019
73,296
15,000
12
1,539
-
267
196
602
44
975
91,555
9
91,564
(101,825)
(10,261)

The Pre-School rent is paid to the Parish for the use of Church House. This is treated as an inter-fund transfer in the Statement of Financial Activities. Consequently, the Pre-School expenditure included in the Statement of Financial Activities is £76,931 (i.e. £91,931 less £15,000).

Page 20

St James' PCC, Tunbridge Wells

NOTES TO THE ACCOUNTS for the year ended 31st December 2020 (continued)

6. AFTER SCHOOL CLUB ACCOUNTS

Income
Fee Income
Job Retention Scheme
Other Income
Investment Income
Total income
Expenses
Salaries
Rent
Training
Equipment
Catering supplies
Postage and Stationery etc.
Art & Craft materials
Registration fees
Sundry
Surplus/(deficit) for the year
£
£
76,302
24,596
-
-
100,898
77,928
6,966
90
1,073
2,839
115
298
91
1,405
(90,805)
10,093
2020
2019
£
134,042
-
£
134,042
-
77,441
10,314
745
1,572
5,735
205
474
-
1,736
134,042
(98,222)
35,821

7. STAFF COSTS

Wages and salaries
Employers NIC contributions net of employment allowance
Employers pension contributions
£
207,822
1,447
1,480
210,749
£
231,003
3,641
1,612
236,255

The church received a grant of £44,331 from the Coronavirus Job Retention Schreme in 2020

During the period the PCC employed two part time church administrators, a caretaker, a Youth Worker, an average of 9 staff and an administrator for preschool and an average of 16 staff and an administrator for the After-School Club, none of whom earned £60,000 per annum or more. Organists are paid as sessional musicians and their wages are included in the totals above.

Page 21

St James' PCC, Tunbridge Wells

NOTES TO THE ACCOUNTS for the year ended 31st December 2020 (continued)

8. FIXED ASSETS FOR USE BY THE PCC

Land and Buildings

As set out in Note 1 to these accounts, the PCC is not obliged under the requirements of the Charities SORP to allocate any value to consecrated buildings.

The Parish has legal title to a freehold property known as Church House. An independent valuation carried out by Sumner Pridham on 5 December 2001 valued this property at £550,000. In addition £1,581 was capitalised in 2002.

The Parish owns 100% of the legal interest in 3 Andrews Close, the curate's house. An independent valuation carried out by Sumner Pridham in December 2001 valued this property at £255,000.

Under the transitional provisions of FRS102 the PCC has elected to treat the value of the properties at 31 December 2013 as their deemed cost.

COST
At 1st January 2020
Additions
At 31st December 2020
DEPRECIATION
At 1st January 2020
Charge for the period
At 31st December 2020
NET BOOK VALUE
At 31st December 2020
At 31st December 2019
Land and
Buildings
Computers
Equipment
Total
£
£
£
£
1,290,218
1,389
52,393
1,344,000
-
-
14,443
14,443
1,290,218
1,389
66,836
1,358,443
-
1,389
51,047
52,436
-
-
3,337
3,337
-
1,389
54,384
55,773
1,290,218
-
12,452
1,302,670
1,290,218
-
1,346
1,291,564

Page 22

St James' PCC, Tunbridge Wells

NOTES TO THE ACCOUNTS for the year ended 31st December 2020 (continued)

Unrestricted
Restricted
Total
Funds
Funds
9.
DEBTORS
£
£
£
Tax Recoveries
8,403
-
8,403
Prepayments
-
-
-
Other Debtors
3,336
313
3,649
11,739
313
12,052
10.
SHORT TERM DEPOSITS
£
£
£
Hampshire Trust Bank One year bond
80,000
-
80,000
United Trust Bank One year bond
80,000
-
80,000
CAF 60 day notice account
40,000
-
40,000
Diocesan Deposit Fund
61,796
-
61,796
Diocesan Repair Fund
30,648
-
30,648
Co-op Business Select Instant Access
5,100
-
5,100
Metro Instant Access
71
-
71
297,616
-
297,616
11.
CREDITORS
£
£
£
Accruals
8,321
-
8,321
Sundry Creditors
3,410
25,554
28,964
11,731
25,554
37,285
12.
ANALYSIS OF NET ASSETS BY FUNDS
£
£
£
Fixed Assets
1,302,670
-
1,302,670
Cash and short term deposits
358,544
62,615
421,159
Current Assets
11,739
313
12,052
Current Liabilities
(11,731)
(25,554)
(37,285)
1,661,222
37,374
1,698,596
2020
2019
Total
£
8,726
0
5,164
13,890
£
80,000
80,000
20,000
61,550
29,052
25,000
71
295,673
£
7,091
21,529
28,620
£
1,291,564
415,999
13,890
(28,620)
1,692,833

Page 23

St James' PCC, Tunbridge Wells

NOTES TO THE ACCOUNTS for the year ended 31st December 2020 (continued)

13. UNRESTRICTED FUNDS

General Fund
Other Net Assets
Designated Accounts
Fixed Assets
Missions Fund General
Church Repair Funds
Special Projects Fund
M Donald - Training Fund
Flower Funds
Associated Organisations
Total Unrestricted Funds
01/01/2020
Income Expenditure
Transfers
31/12/2020
£
£
£
£
£
70,260
189,354
(205,817)
18,300
72,097
70,260
189,354
(205,817)
18,300
72,097
1,291,564
-
(3,337)
14,443
1,302,670
16,105
300
(19,322)
14,425
11,508
54,051
94
-
(8,098)
46,047
141,000
-
-
(20,000)
121,000
3,553
-
-
-
3,553
19
-
(130)
130
19
94,329
101,373
(91,374)
-
104,328
1,600,621
101,767
(114,163)
900
1,589,125
1,670,881
291,121
(319,980)
19,200
1,661,222

14. RESTRICTED FUNDS

Mission Specific Giving
Tanzania CCMP
Vicars Discretionary
Youth Worker Fund
Organ Repair Restricted Fund
Preschool
01/01/2019
Income Expenditure
Transfers
31/12/2020
£
£
£
£
£
4,501
2,278
(4,646)
-
2,133
6,983
11,002
(13,000)
-
4,985
-
12,500
(1,320)
-
11,180
-
4,200
-
(4,200)
-
199
400
-
-
599
10,269
100,139
(76,931)
(15,000)
18,477
21,952
130,519
(95,897)
(19,200)
37,374

Page 24

St James' PCC, Tunbridge Wells

NOTES TO THE ACCOUNTS for the year ended 31st December 2020 (continued)

15. DESCRIPTION OF FUNDS

The General Fund represents the funds available to the PCC for the day to day running of the church and the parish.

Discretionary funds are unrestricted but have been set aside by the PCC fot specific purposes

The Fixed Asset Fund consists of 2 properties owned by the PCC (Church House and 3 Andrew's Close) together with computers and Equipment within their depreciation period.

The Mission General Fund holds the funds set aside for distribution to our mission links and other mission charities supported by the church The Church Repair Funds represent the funds (some of which are held by the Diocese) set aside for future quinquennial repairs. The Special Projects fund represents funds set aside for future projects, including the costs of our Youth worker.

M. Donald Training Fund represents a legacy which the PCC set aside to provide assistance for training purposes. The Flower Fund is the amount given to the flower co-ordinator to decorate the church each Sunday and for special occasions. Associated Organisations show the total movements of the funds held by the various bodies belonging to the parish fellowship, including the After School Club.

The Restricted Funds represent funds given with specific restrictions on their use imposed by the donors and cannot be used by the PCC for any other purpose without the express permission of the donors. In particular the Mission Specific giving fund is used to accumulate the fund-raising activities undertaken by the parish for mission purposes and to distribute the funds raised to a range of mission organisations as listed in note 17.

The Mission Specific fund is used to accumulate the fund-raising activities undertaken by the parish for mission purposes and to distribute the funds raised to a range of mission organisations as listed in note 17.

The Tanzania CCMP fund represents donations received for the TEAR fund CCMP Kondoa project.

The Vicar's Discretionary Fund is set aside for assistance to parishioners suffering hardship as a result of the Covid crisis at the absolute confidential discretion of the vicar.

The Youthworker fund represents donations received for the support of the Youth worker.

The Organ Repair Fund fund represents donations received for the cost of Organ repairs. The Pre School Fund represents Funds used by the Pre School

Page 25

16. TRANSACTIONS WITH PCC MEMBERS

During the year the following members of the PCC were reimbursed expenses as follows:

Car and telephone expenses
Miscellaneous Expenses (incl Book Grants)
Jim
Stewart
Judi
Hammill
Total
£
£
£
685
-
685
1,047
77
1,124
1,732
77
-
1,809

The PCC has entered into a contract with a company in which one member of the PCC, Mr Michael Phillips, has an interest. Mr. Michael Phillips was not involved in the decision to award this contract, with an annual value of £1560 excluding VAT, for the provision of payroll administration services.

The following PCC members or their close family members receive remuneration from the PCC:

Name Role for which remuneration is received Mrs Carolyn Clutterbuck After School Club assistant (retired August 2020) Prof Stephen Keevil His son Thomas as an After School Club assistant

After School Club assistant (retired August 2020) His son Thomas as an After School Club assistant

Neither these nor any other Trustees receive any remuneration for their roles as Trustees. The contracts under which these Trustees and their dependents are employed are the same as those for other staff with similar roles.

The total amount donated to the unrestricted general fund by members of the PCC and their close relations in 2020, excluding any Gift Aid recoverable, was £31,770 (£34,550 in 2019).

Page 26

St James' PCC, Tunbridge Wells

NOTES TO THE ACCOUNTS for the year ended 31st December 2020 (continued)

17. GRANTS PAID

An analysis of grants paid is given below:
Mission
General
Mission
Specific
Tanzania
Discretionary
Fund
Other Funds
£
££
£
£
4,000
-
-
-
-
2,000
-
-
-
-
550
-
-
-
-
6,550
-
-
-
-
750
-
-
-
-
2,000
-
-
-
-
494
-
-
-
-
1,000
1,442
-
-
-
2,000
551
-
-
-
2,000
741
13,000
-
-
8,244
2,733
13,000
-
-
1,000
1,442
-
-
-
1,200
-
-
-
-
1,200
-
-
-
-
750
471
-
-
-
4,150
1,913
-
-
-
-
-
-
1,320
205.00
18,944
4,646
13,000
1,320
205
191
-
-
-
-
187
-
-
-
-
19,322
4,646
13,000
1,320
205
Overseas Missions with Link Partners
Church Missionary Society
International Nepal Fellowship
Christmas Gifts
Overseas Missionary and Relief Societies
The Bible Society
Leprosy Mission
Eurorelief
Hope Gardens
Sat 7
TEAR Fund CCMP project
Home Missions and Other Church Societies
Fegans
Church Pastoral Aid Society
Tunbridge Wells Youth For Christ
Diocese of Rochester Poverty &
Hope Appeal
Other Discretionary gifts
Total Grants made
Other Expenditure
Overseas Mission Trip expenses
Publicity expenses
Totals

Page 27

adventus accounting solutions Supporting Charitable Organisations

10 March 2021

Independent Examiner’s report to the Member/Trustees of St James Tunbridge Wells

I report on the accounts for the year ended 31 December 2020 which are set out on pages 11 to 26.

Respective responsibilities of the Trustees and Independent Examiner

The church’s trustees are responsible for the preparation of the accounts. The church’s trustees consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed.

It is my responsibility to

Basis of Independent Examiner’s Statement

My examination was carried out in accordance with the General Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from the trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a ‘true and fair view’ and the report is limited to those matters set out in the statement below.

adventusaccounting@btinternet.com 07523 622979 www.adventusaccounting.wixsite.com/website

Independent Examiner’s statement

Since the gross income for the year exceeds the amount provided in section 145(3) of the Act, I confirm that I am qualified to act as an Independent Examiner under the provisions of that section of the Act and that my qualifications are set out as below.

In connection with my examination, no matter has come to my attention:

Yours sincerely

Martyn Burt

B.Sc.(Hons), ACMA, CGMA

adventus accounting solutions Ashby Acres Chapel Lane Ashby-cum-Fenby Grimsby DN37 0QT

e-mail: martyn.burt@btinternet.com or adventusaccounting@btinternet.com Telephone: 07523 6229679

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