THE PAROCHIAL CHURCH COUNCIL
OF THE ECCLESIASTICAL PARISH OF
ST JAMES TUNBRIDGE WELLS
ACCOUNTS FOR THE YEAR ENDED
31 DECEMBER 2025
REGISTERED CHARITY NO 1136988

CHARITY INFORMATION
Registered Offke
Church House
1 Ferndale
Tunbridge Wells
Kent
TN2 3RL
Parochial chU￿h Council Tracey Appleton
Diane Baderin IApril-October 2025)
Amanda Baker
Roger Dunlop Ito Aprl 20251
Carol Edwards (to April 20251
Jenny Garratt
Tony FitzPatrick
Priscilla Kankam
Michael Phillips
Susan Schibli
Frances Shortland
Sarah Alexander pcc secretsry in
attendance
Mark Wright Operations Manager in
attendance
Anna Whealley Youth Wod(er
ttendanee
Registered Charity
number
Governing document
1136988
The Parochial Church Council
Powers Measure (1956) as
amended and the Church
Representation Rules that came
into force on 2nd January 1956
in
Ex Officio Members of the PCC
Incumbent
Revd Judith Hammill
Bankers
The Co-operative Bank PLC
1 Balloon Street
Manchester M60 4EP
Curate
Rev Caroline Mills lio Dec 202$)
Metro Bank PLC
One Southampton Row
London WC1 B SHA
Wardens
Andrew Appleton
Adam Bennett
PCC Treasurer
Sheila Anstead
Independent Examlner
Zachary Ramsden FCA,
63 Deakin Leas,
Tonbrldge.
Kent TN9 2JT
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 thal these are sufficient to comply with the
Charity Commission requirement for public benefjt.
The Electoral Roll at the APCM held in April 2025 had a total of 153 members compared to 267 in April 2024.
The regular worship of (￿d in our church provides opportunities for spiritual refreshment, teaching. communal prayer, outreach.
communion 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 is carried out daily in response to need as it arises.
In 2025 the parish has undertaken a full range of services holding two services on Sundays to cater for the differing needs of the
congregation.
About 40 people on average attend the 8am Sunday morning communlon 1662 prayer book Se￿1￿. The worship in the main 10am
Sunday morning service has an average attendance of about 130, with a further 60-70 downloads from the Youtube livestream. This
service is varied to minister to the whole congregation with the music group leading on most Sundays and a full organ service once
a month. An unmanned creche. a Sunday school and a group for the young people are nomially available but occasionally all-age
Page 2

CHARITY INFORMATION
services are held, Often to mark special Sundays such as Mothering Sunday or Christingle. For members who are housebound Holy
Communion can now be taken to their home. We have seen a small increase in numbers attending the main service and a significant
incr8ase in attendance at the main festival services in 2025.
As w811 as these services, Moming Prayer services are held on three days during the week. Services are held in the nursing and
residential care homes in the parish and r8sid8nts Can watch th8 Services on YouTube. Special service5 were held at the major
festivals of Christmas and Easter. In addition to the vicar, a curat8 and a full time Youth Worker, the parish ben8fits from having
three Readers, Licensed Lay Ministers, a Lay Evangelist, a Pastoral Assistant. A further member of our congregation has
completed courses which gives the them bishop's permission to preach.
Rev Caz Mills, who was appointed as our curate in September 2023 was licensed as Priest in Charge of St Peter and St Paul's
Shoreham on the 15th of December 2025. We wish her well in her new parish and thank her for her service to St Jam8S.
Four of our church m8mbers w8r8 baptised orland confirmed by Bishop Jonathan at Christchurch. It was a wonderful occasi
with 25 people being baptised orland confirmed from three different churches in the town. The Alpha course began and four
people are taking part induding one who has very little knowledge of th8 Christian faith.
Five new families or groups of people attended the Newcomers, Tea. In fvtU￿ we wlll be havlng a Newcomers, Tea every six
months as each week there are new people attending.
Several members from St James joined in the Global Week of Prayer to come together as God's Church in Tunbridge Wells to pray
for encounters wlth God, unity in Ihe church and the transformation of our town. It was wonderful to join with about 250 people at
Bennett School on the Sunday evening to pray and it was such an encouragement to hear from the young people at the school
about what God is doing th8r8.
Our vicar is chair of the governing body of St James Primary Sch(x)l and sh8 or wr curate take two assemblies e8ch week. Links
be￿een the church and the schwl ar8 Strong and increasing. In July Judi and Caz18d th8 Iwo Tunbridge Wells Boys Grammar
RE days for all the Year 10 boys.
Page 2

CHARITY INFORMATION
In 2018 the PCC agreed to support a pilot project run by TEAR Fund in th8 dioc85e of Kondoa, Tanzania, St James provided
£15,000 each year for 5 years to support the project. Following a strategic review of their work in East Africa T8ar Fund ended
their support for the Kondoa project from September 2023 but the projed has Gontinued with the same level of financial support
from St James through the Diocese of Rochester which has a link to the Diocese of Kondoa. Six members of the church, including
our vicar, visited Kondoa in June 2025 to see the project for theMse￿e$ and strengthen the link between St James and the
Diocese of Kondoa. They visited nine different churches and the new school in Chemba. Judi baptised 105 children and preached
seven times in seven churches and Roger preached in a different church when the team split up on the Sunday. It was wonderful
to see joyful, thriving churches, praising God and growing in their knowledge and love of Jesus, as well as how the Church and
Community Mobilis8tion Project is helping to enhance their lives and communities and working in partnership with their Muslim
neighbours. The PCC have agreed to extend support for a further 3 years. By then there should be sufficient numbers of trained
facilitstors lo enable Ihe project to be self-supporting going forw8rd.
The PCC set aside 11.5 % of its donated income in 2025 for the support of mission activities and held events to raise money for
mission. Gifts to mission partners, mission and relief organisations and other grants in the year totalled over £35,000.
We held a Christmas Mission Fair in 2025 which raised £3,329 for mission activity. A donation from a churth member increased this
amount to £4,600.
We received visits from several of our mission partners in 2026. Archbishop Samuel and his wife shared with us about the work of
Hope Gardens, and encouraged people from the church to go out and visit India in the Spring of 2026, Clare Grimble told us about
her work in Nepal, Wendy PiccAni from The Leprosy Mission told us about her recent visit to the Odisha Leprosy Colony in India
and it was a joy to welcome Jim Stewart, our previous vicar. and Parvin and hear from PaNin about the work of SAT7 streaming
Christian programmes to the Middle East.
We were delighted to be able to run a holiday club this summer whid) ended with an BBQ lunch.
Page 3

CHARITY INFORMATION
Over 200 people came into our church for the Light Drop in Party on Halloween night and were reminded that Jesus brings light
and life and love into what is sometimes a dark and difficult world.
The church was full for an amazing performance of Messiah by the Merry Opera company.
The Ladies, Breakfast was a great opportunity to hear about the work of the Sea Cadets.
The Imago Dei fashion show later that day, was great fun and raised a good amount of money for the charity as well as giving
some of us a new ouffil.
Other events were held to 8dd to the day-lo-day witness of church members in their households, neighbourhoods and workplaces.
ABC (for 1-3 year olds> and Rooted, our Youth Club, ran throughout the year. The CAMEO, Creative Chat and Sunday table tennis
groups continue to provide friendship and support. Our monthly Who Let the Dads Out group continues to thrive. Our Youth Worker.
Vicar and Lay Evangelist have run a Refresh group with cake, drink, and fun children's aclivities outside church on a Wednesday
aftemoon for children and families walking home from school. This is an opportunity to form friendships with families. showing that
our ¢hur¢h is open for everyone and letting people know about Upcoming events. We have seen that building those relalionships
and being Gonsistently present has meant that some have started coming along to church.
Following a time of prayer and reflection, the PCC made Ihe difficull but unanimous decision to close the Pre School at the end of
August 2025. St James had run the club for over 20 years. This decision was taken mainty for financial reasons. Getting staff.
especially trained staff has become difficult in recent years and the new legislation is making it much harder to run at a profit.
Working parents are entitled to 30 hours free care for 2 years olds rf they are working 16 hours a week, but it would be very hard
for parents who work to use our pre-school. as it is only open 3.5 hours a day.
We are very happy that st James Road Pre Sd)ool, a new preschool that is independent of St James Church,
opened for a new group of young children on Wednesday 7 January 2026 and is using the Pre School area.
In 2026. St James, celebrates 165 years of ministry. To mark this milestone, we are launching a one-year fundraising campaign to
raise al least £165.000 for essential property maintenance and projects. The campaign name is "ProjeGt165" with the strapline
°Our building, God's mission.. The financial target for the campaign is to raise al least £165.000. although more money will be
needed to complele projects and so it is likely that specific fvndraising for our buildings will be ongoing.
Page 4

CHARITY INFORMATION
In 2026 the PCC and the church will continue to minister to th8 local population and to its members, provide teaching and worship
through its regular se￿ICeS and home groups and lo support mission activity locally, in the UK and in other countries.
FINANCIAL REVIEW
Th8 Unrestricted General Fund made an operational loss of £81,000 in 2025 before transfers of £70.000 from the After School
Club fund and £15,000 from the Church repair fund gave a surplus of £4,000
Income
The Unrestricted General Fund had a totsl income of£280,500 in 2025 compared with £254,000 in 2024.
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 Gifl Aid scheme, donations to the Unrestricted General Fund increased by £5,000 from
£160,000 in 2024 to £165,000 in 2025. Regular planned giving was up £12,000. unplanned giving was down £7.500 and Gifl Aid
recoveries were up £500 compar8d with 2024.The increase in regular donations is welcome but overall donations need to increase
in real t8rms going forward to ensure we continue to meet our regular commitments.
We received a Listed places of Worship grant of over £8.000. This is a refund for VAT paid on repairs to the church building.
Income from fe8s for weddings and funerals was £2,975. The Diocesan Board of Finance (DBF) portion of the fees is payable to
the Diocese and this amounted to £1,407 in 2025.
Income from the letting of church premises was £23,000, up £2,000 from 2024.
Property rental income was £58,500, up £10,000 from 2024. One of the properties was vacant for a period in 2024, refurbished and
relet for a significanlly higher rent, At the end of 2017 the PCC signed a 20-year contract with Net Coverage Solutions for the use of
telecommunicatlDns equipment in the church spire for an annual rental of £7.000 from 2018.
Page 5

CHARITY INFORMATION
Expenditure
Total unrestricted fund generdl expenditure in 2025 was £324,500 compared with £270,500 in 2024.
The 11.5 % tithe from donation income (Includlng Glft Aid) was £19,250 compared with £18,400 in 2024. This tithe is set aside for
mission-related activity as shown in note 17 to the accounts.
The PCC'S contribution to dioGesan costs, including clergy stipends. increas8d from £83,000 to £91,500. This followed som8 large
one-off donations in 2024.
A survey by Historic Building consultants following an ingress of water through the chancel roof established that some major
repairs were required. The most urgent work was completed in 2025 at a cost of £44,000. Other maintenance and equipment work
done in 2025 included a repair to the lightning conductor {cost £4,200), renewal of car park boundary railings (cost £5.200) tree
work in the church grounds (cosl £4,400}. a new shed in the church grounds (cost £1,300), refurbishment and repainting of 2
elevations of Church House (cost £10,300) and repainting of the common areas in the Church House Flats (CA)St £4,400). The cost
of new projectors for the AV system (when the old ones failed unexpectedly) and a scaffolding tower (total £23,000) has been
capitalised in the accounts and will be depreciated over 5 years. Total rna1ntenan￿ and equipment wsls including maintenance to
the tenanted properties was £93,300 after capitalisation in 2025 compared with £43,000 in 2024.
Pre￿ChoOl
The Pre Scl)ool clos&J al the end of August 2025, making an operating loss for 2025 of £28,200 after allowing for the expenses of
closure, including £26,322 in redundancy payments. A transfer of £11,000 was made from the After School Club fund to the Pre
School fund to cover these expenses.
Page 6

CHARITY INFORMATION
Funds
At the end of the year, lotal assets of the PCC stood at £2,280.617, a reduction of £122,245 from 2024. This represents an overall
loss of £84,945 in net current assets plus a reduction of £37,300 in unrealised property gains.
£19,000 is tithe still to be donated. £47,000 is funds for repairs and building projects, £27,500 is the retained reserves from the
After-school Club while a further £121,000 is set aside for special projects and £5,500 for other designated fund5.
£20,700 is restrlcted for mission giving (including to the Tanzania CCMP project), the Vicar's discretionary Fund, the Nicholson
bequest and the Pre-school so available for expendilure only on Ihose acllvities. This left a General Fund of £81,000 for use as
the PCC sees fit, within the objects of the charity.
Taking into account the financial position of the charity on 31 December 2025 and the expected income and expenditure for 2026,
the members of the PCC believe that il is appropriate to o)nsider the charity a going concern from the date of the approval of the
accounts.
Reserves policy
The PCC'S Reserves Policy is lo maintain sufficient level of reserves to enable normal operating activitie5 to continue over a period
of up to 3 months should a shortfall in income occur and lo lake account of potential risks and contingencies that may arise from
time to time. The General Fund represents 3.5 months of income and 3.0 months of expendilure which is in lin8 With this target.
Three months of general fund expendilure at 2025 levels, (which are unusually high due to the unexpected cost of the roof repair
and the new projectors), amounts lo £81,000. The Unrestricted General Fund held £81.000 at 31 st December 2025.
STRUCTURE, GOVERNANCE AND MANAGEMENT
The members of the PCC are either ex offiGiO or elected by the Annual Parochial Church Meeting {APCMI following the church
representation rules.
The members of the PCC during 2025 are shown in the Charity Infomiation page.
Page 7

CHARITY INFORMATION
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 regularly
considered safeguarding issues and worked with our Safeguarding officer to implement improved safeguarding practices, complete
the safeguarding dashboard and compile job descriptions for all our volunteer roles.
PCC meetings in 2025 focussed on ways to manage and improve our financial positK)n going forward following the need to replace
the failed projectors and make urgent roof repairs including the setting up of the Project 165 appeal fund. The future of our Pre
School, including closure arrangements and the future use of the Pre School area, was a￿ther key area for discussion.
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. guidan￿ on Safeguarding children and vulnerable adults.
Page 8

CHARITY INFORMATION
The Ministry Groups are:
Name
Teaching and ministry
Res onsible for
Leading and directing the teaching and ministry in church services, home
rou
and other forums
Leadin and directin the worshi
in our services
Funding mission work in the parish, the town and overseas and
su ortin theworf( racticall andthrou h ra
er
Building links to the local community to bring the gospel through personal
contact and relationshi
Maintaining the buildings and facilities of the church and other buildings
to serve the
arish, the members of the church and other users
Focusing on the work amongst our children and young people including
planning the activities in Sunday Groups. special events and developing
the skills of the volunteers
Monitoring the financial health of the church. planning for future demands
on finances and admsin the PCC on financial matters
Mission
Local outreach
Fabric
Children and Young
People
Finance
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 representstives to serve on Churches for Tunbridge Wells and to serve a5 Govemors for the church school in
the parish, St James, Primary School.
Page 9

CHARITY INFORMATION
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 has:
Selected suitable acwunting policies and applied them consistently
Made judgements and estimates that are reasonable and prudent
Staled whether applicable aGGounting standards have been followed subject to any material departures disclosed and
explained in the financlal statements and
Prepared the financial statements on the ongoing concem basis
The PCC has overall responsibility for ensuring the charity has appropriate systems of control, financial and otherwise. Its
members 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 prevenllon and
detection of fraud and olher irregularities and to provide reasonable assurance that-
The charity is operating effIC￿ntiY and effectively
The assets are safeguarded against unauthorised use and disposition
Proper records are mainlained and financlal Informallon used withln the charity or for publication is reliable
The charity complies with relevant laws and regulations
Approved by the PCC on 251h March 2026 and signed on its behalf by
Judi Hammill. Vicar
Page 10

## Independent Examiner’s Report to the Trustees of 

## the Parochial Church Council of the Ecclesiastical Parish 

## of St James, Tunbridge Wells 

I report to the trustees on my examination of the accounts of the above charity for the year ended 31[st] December 2025. 

## Responsibilities and basis of report 

As the charity's trustees, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”). I report in respect of my examination of the charity’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act. 

## Independent examiner’s statement 

The charity’s gross income exceeded £250,000 and I am qualified to undertake the examination by being a qualified member of the Institute of Chartered Accountants in England and Wales. 

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: 

the accounting records were not kept in accordance with section 130 of the Charities Act; or 

the accounts did not accord with the accounting records; or 

the accounts did not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a ‘true and fair’ view which is not a matter considered as part of an independent examination. 

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

## Signed:  Zachary Ramsden 

Name: Zachary Ramsden FCA Chartered Accountant 63 Deakin Leas, Tonbridge, Kent TN9 2JT Date: 31st March 2026 

Page 11 



St Jamès. PCC, Tunbrldge Wells
STATEMENT OF FINANCiIL ACTMTIES for th¢ wr ¢nd•d 31¥t 09￿mber 2025
2025
Regtrl¢ted
Fund5
2024
R•stfi¢t
Funds
Urtrestrrcted
Fund5
Total
Funds
Unr•StrI￿o￿
Funds
Tot•1
F￿ndS
INCOAIE FROM:
D￿at1￿$
Legacies
IrK<)me from operdiing ad1vil￿S..
¢0 further Coun¢ifs object
- to generale funLts
Ir￿oMe from inveslmenÉs
OtherLYdin8ryincoming resources
2(8)
21bJ
164,997
14,164
179,162
160,IC
15.470
175.579
2(c?
2(d)
21e)
2{Q
95,501
51.385
146.886
127.650
70.739
198,389
13.914
8,258
13.914
8.258
15,764
1.108
15.771
1.108
TOTAL INCOMING RESOURCES
282.670
65A49
34B,219
304.631
86.216
390.847
EXPENDITURE ON:
Grants
3(8)
16.143.35
19,679
35,&22
17.289
21.322
38.611
Aclwthes dftctlyrelating lo the work oflhe Cl>urch
3fb}
325.243
72,099
397.342
316.904
61,IY21
377.92S
TOTAL RESOiRCES USED
341,386
91.778
433,164
334,193
2,343
416.536
NET INCOMING RESOURCES
158.7101
126.2291
184,9451
129,5621
73
125,689)
Transfers beiween Funds
15.3711
5,371
8,250
18,2501
Gain on revaluati￿ of itwe5knents
137.3fX)I
137,3001
4$0(K*
43,000
14ET MOVEMENT IN FUNDS
1101.3871
120.8S81
1122.2451
21.688
{4,3771
17,311
Balances trought forward 1st January 2025
2.361.277
41.585
2,4102.862
2.339.590
45.962
2.385.551
8ALANCES CARRIED FORWARD 31st DECEMBER 2025
2.259.890
20.727
2,280,617
2,361,277
41,sas
2,402,862
Th2 notes on
14￿ 27 form partoflhègé ￿unts
Page12

Sl James. PCC. Tunbrfdge Wells
Registered chorty no. 1136988
BALANCE SHEETasat31st DECEMBER 2025
Note
2025
FIXED ASSETS
Tangiile Fixed Asseis
Investments
1,014,440
944.700
1,959.140
996,112
982.000
1.978,112
CURRENT ASSETS
Debtors
SFDri Term 08posits
Cash at Bank & in Hand
13,117
283,183
32.678
328,977
24,727
344,959
67,025
436,711
10
UABILITIES
amounts tslling due Mthin 1 year
17,5001
111,9811
NET CURRENT ASSETS
321,477.e40
424,750
NET ASSETS
.280.61
FUNDS
Unresbicted
- Gen￿81
- Oesignated
73
13
14
80.918
2,178,972
20.727
76.991
2,284,286
41.585
Restrrted
2.280.617
2.402.862
Apwoved bythe Truste￿ of the Parochial Church Council
Signed on its behalf ty
Dale.. ?s1031 IE
The notsson page5 14kTr27 fl￿￿ Partofin08è
Pag¢13

St J￿88. PCC. Tunbridge We116
NOTES TO THE ACCOUNTS for Ihv year endBd 31st December 2025
ACCOUNTING POLICIES
The financi￿ slatement5 have prepared in accordance wlh the Church A¢￿untIng Regulatbns 2006. tr)e UK Financld R4￿ng St8nd*d 102 and thè charitW3
ststement of Re¢ommerfed Pra¢tice for a¢c£>unling perio(b beginning on or after 1 January 2015 ISORP 20151. Because of the size of the ¢harity. the accoun15 are
not to t*eseni 8 now Statement.
Thè fina￿la1 staternen15 have been prep¥ed under the hIst￿lC cost convent￿￿ apart Irorn the revaluathjn of prowtieS.
Fund$
unrestrict￿ fund5 rekY&enl the furrfls of the PCC thai ar& awailaue for appli¢alion on Eurry)se5 of the PCC. The General Furd is available for day to day
aciiwt￿s and to provide a ￿$h1on in the event ol unexpected ￿ents. Designated funds are those set asK1e by the PCC for a parbcular purw58 a￿1 ar& a150
unwtricted. The a¢rx)unts indude all tran5aCttin5, ￿Sets liabilities for which the PCC is responsible by law. They do not indude the accounts of church groups that
owe their main affiliation lo another body nor tfose Ihat are informal gatherings of thurch members. Restrict￿ fund5 f￿n￿$ which are to be used in accordance vith
specific restrict￿n5 irnp)sed by donors or which have been raised by tr￿ PCG fty particubr purposes. Transfers LElween hjnds We made where the fund 15 no longer
reqUI￿d or to rnalch donation5 to specific lunds.
Incoming Resourc85
Volunlaryincome8nd capltalsources..
Colleclb)ns are reeognised when received by or on b8halfof the PCC.
Grfl aid recoverable is recognised when the PCC ha5 the apwopriate gift d￿ratiOnS ar¥J when the relat8d inc0rn8 ha5 been received.
Grants and legacEs to tre PCC are recognised when the PCC is nOtIf￿ of its entitlèrnènt and thè amount is mor8 likety than rot tts be rec¥v&l and the value of the
incorne is able to LE estimat￿ reliatly.
Funds ra￿￿ by coffee rnornngs. mi5s1￿ F8irs or sirnilar 8vents ar8 r8Wrted gross.
0lhwordin￿lnC0rne..
Rental income trom the lettiTrJ of church premises recogni5ed when the rent is due.
Inc*>me from Prtsschool lee5 After Schxkl Club fees 15 recognised when sessions *• t*o¥iW.
Page14

St J•m$' PCC. Turtlxidgo W•ll$
NOTES TO THE ACCOUNTS for tha year ended 31st Decembar 2025 Icontinuadl
ACCOUNTING POLKIE8 l¢ontinugdl
Resour￿8 Used
GranÈs.'
Grants and (bnations are re￿gTr￿￿ when p8id over. or when ￿arded, if that award creates a i¥ndiry obliqation on the PCC.
Aclyvitses lo the sycrfk ofvFe church..
The dioces8n offef is recogni5ed when payable.
Satsries
The ch￿ty recogni5es a liabiltyfor redundarry payments Wh￿11 is demonstyably Committed to lerminaiing the 8mpioWn￿t of an *M￿0y8* or group of 8mploy8è5
Fix¢d Asset¥
Consecraletl knd andbumdmy andmoveable cjjurch fl￿￿￿1n￿.'
ConEec¥ated ter*f￿￿ woperty is exclude(J from the accDunls ty $.10121 of the Charilies Acl 2011. The trealment of Olher property assets is deiaiK* in Ire
these accounts.
No value rTh)¥eable church fwnishlngs held by the ¢hur¢hwardens on special Irusi for the PCC and whlch requite a facully for dlswsal slnc8 PCC
(x)nsid¥s Ihis to be in81Enable woperty. AJ expenditure incurred during Ihe year on cOn￿rated or beneficed ￿lI￿lIng$ and moveable church fvrnishings, whelh
maifflen￿ce ￿ irnprov8m8nl, 15 wvtten off a5 expenditure in the Statement of Financla ActNiles ISOFAI and separaldy dLsdosgJ.
ProvisK)n wll made Shouka any anNal impairmeni reviw ol fix&J assets irKlicat9 that a pwmanent ditn1nul￿Jn in value ha5 ocoj￿ed.
Oltsr landandbuMd￿198
The PCC has iaken *Van￿e of w0vis￿n5 fLY tranSit￿n to TeFNJrting under FRS 102 bytaklw th8 valualon of the [mp*t￿ a131 December 2013 as Ihelr (jee￿
¢OSl. No deweci?tKJn 15 provided on Ihe proPer￿eS as maIn￿nan￿￿ eX￿ndItUre maintains Ihelr current s18te. ProrRrties are 5ufy.ecl to an impaiThnent revi￿ each year
for f8Ctor5 Ihat have irnpa1r￿ the value of the buildings. No such Iwnpairrnent is nece5ssry in Ihe current financial year.
OIIEr Axtures. fjIIN7gs anLI Offi￿ ￿￿￿men1..
All eQuip￿Ent with 8 purchase Eite of less Ihan £1,CKIO is recognised 8s revenue expencjilure when Ihe ilem is purchased. Wl ilerns wilh a purchase wce Df tnore Ih
£1.000 ha¥e LEen capiialised in lh& year of pw¢hase. All 18r01b￿ fix￿ ass81s ar8 d8wecialed evenly over tFEir estitnaled useful Iwe5 a5 follows..
ornpulers
3 years
Equirjnenl
5 JEars
Pagg15

St Jwnes. PCC. Twnbrldge Wells
NOTES TO THE ACCOUNTS forthe yearended 31st Oec8rnb*r 2025 Icontinu*dl
AC¢OUNTING POLi¢ies I￿ntinU¥d)
Cun8nt Assèts..
Arnounts cAving trj the PCC at 31 December in tespectof fees. Tent5 or other income are shown as debtor5,185S WOVi5h)n ary amounts that may prove unco1lecta￿e,
8S5e85ed case by case.
Short-lerm dapDsits I￿l￿de held on dep051t either wrth the Di0ts5an Board of FIn￿ce or at the bank.
Stock is valugy at Ihe lower of cost and net realisable value.
Ll8bllhl8s
Liabilities are recffjr*sed in the financial statem2nts when, al Ihe dyte of the 3cc(yJnts. th8re 15 an obligatK)n to a third party as a result Df a past eventwhere 1115
probaLle that a transfer of rmn8y or Oth￿ economic benefit VAII be r￿UIred to setlle Ihe liability. %there the value of the Ik*ilty can be estirnaled f￿1a￿y. Liatmlilies
are recwnised at the value of the payrn￿t that will be required to selM& the liability tt the amount recenfed a5 >Yvan¢e paymenlfor the services il is lo provide.
Page 16

st Jomg4' PCC, Tunbrid9• Woll$
NOTES TO THE ACCOUNTS lortho y•ar 8nded 31st De¢8mbw2025 (¢ontinu¢dl
INCOMING RE50VRCES
2025
2024
R•¥lrithd
Funds
Tclal
To¢al FU￿￿•
2(01
Incomty ffjsourtsfromdono
amed giykng.
lo7￿)
111.6ts3
Coibctbnsarf onllne glvl
Svntrydorba￿nS
kn¢omgTa¥ ￿0verab￿- Grf¢A
10,745
33,652
30,792
175,579
20.133
29.224
164.8b7
7.553
2.847
14164
27.Q88
31.872
179,162
2(bl
otherV￿LI)￿yrtQmkng rgwurc
2(¢1
Inrome trom op9[at￿9 tofurfharCounclAOLiètts
urch Premls&s ￿￿n9$
F￿land kno￿e rentals Inots41
￿nIa
22.843
22,643
58,520
6.7r￿)
47,579
20.927
48.490
6.7QO
64.4B5
48.￿9
5.043
l.J25
8.7
p￿h￿OI Ino* 51
Aftarschaolavb
ChthDnaa Fair
Feeaknr$ervies
SubsBriptilln$
OtherPèrlsh Incor
OtherPèrfsh Evenig
47.579
3.34
3.349
1,568
1,481
1.461
S6
457
61.306
4,662
14&886
1.222
19B.389
95,501
dl
OMB fmm oper*hw aciY¢k?s.' to gBnJratelunds
ottBrfv￿ ra￿￿19*v0nts
1rtompl￿￿ kn¥pstrnpnts
si¥Kludkng ory r9BQ9thob￿t￿X
¢1
13.914
13,•14
IS.771
2(0
eryy fN)usin9 Grtnt
JobRe*nt*Jn Schemp
EnBrgy Supp)rt GraTrt
Ltsted PkEÈS oIWtsrshipgr8nt
8.258
1,258
8.25
50
34B,219
1.108
1,108
TOTAL INCOMING RESOURCES
282,670
65.549
390.847
Page17

St Jame$. PCC. Tunbridge Well
NOTES TO THE ACCOUNTS for tho year endod 318t December 2025 Icontinuedl
2025
RE$OLIRCF$ USED
2024
TO￿ Fund*
FundB
31al
Grarts iseÈMkn 17 lormoTed0￿I1>
Cthurch ¢>yer8eas'
9(
e.2e1
3.900
|5sk)nary
RelEland DevebLmEntAFnfie9
HOMB thrthU￿h Soe*tss
14.W7
8.05#
15.650
9.502
4.482
14ffj43
3281
19.679
7.7f 3
ya22
Total
GrenttoStJ8mesPtharySchNI
1.5(X)
18,143
19,879
39M22
34612
ObGesan Offèi
c￿@Y expon&è9
c￿rgY G
91.460
3.752
91,460
3.752
83.228
2092
4.671
554
ChU￿h5￿d Chutrh HallRunnlng expBn50S
wf¢hase8
chU￿b Hous• rnnnln9exp8nsES
chU￿h aCt￿￿¢s.. Pr¢-SCh¢￿1￿?te Sl
cthu￿h Actrolhys.. Afterscho￿¢￿
Othwrpatsh rvsis"
?1.946
.247
21.946
*,946
4a59
70.g2J
Z2.430
43.340
4.989
61.014
46.609
70.933
1.246
Fk￿ry
SubFcrWbn5
536
2.341
1277
397
166
614
1.295
90
i.go8
86.453
3.249
3.249
g36
ChuKhorg￿￿￿s
Trdinknq lay baderJ
Chlblren ar￿ YOL
Laysiaff &xpgnses
Patshevems
sU￿ry 8nd olscwbiaryghls
and
1.102
1.102
300
3.808
42
1.107
84,478
YJ6
42
167
84.478
Swftsring
Eyu¥mEnl tMrelrÈp8ir
pr￿￿Re￿I81 m&nBgemeni& exFonses Inote 41
sUr￿ry ex￿se$
Pay￿￿13dMIn￿traIon
Bank ¢har995 k>an inthst
6A53
1.598
4.36
2.231
1.5g8
140
140
4562
1.022
201
?￿89
1.042
Ind, Examinawnand o1h9rtyvfe&w￿I108¥
J24243
397,342
377￿35
TOTAL RESOURCES USED
341,386
91,778
433,164
416.536
Page 18

St James. PCC, Tunbrldgo W•lls
NOTES TO THE ACCOUNT8 for Iho yoar •ndod 31st OKombw 2025 1¢ontinu￿)
CHURCH RENTAL ACCOUNTS
2025
2024
Rental Incornè frorn Church House flats and 3 An<trews Close
58.520
48,490
Matwgemeni fees paid linduding VATI
Repairs and maintenanc8
6.453
16.4531
52.067
14.3651
44.125
Surplus for per
Followlngthe promotion of our curateto become the vicar the PCC refurbished 3 Andrew'5 c105e where the curate had been living and let itto A5pen5 Charities from
December 2023. A new curate ha$ been appointed and is expected to m(we into 3 Andrews Close in June 2026
Page19

St Jamos. PCC. Tunbrtdge W•lls
NOTES TO THE ACCOUNTS for the year ended 31st Dec•mber 2025 l¢ontlnu8dl
PRESCHOOL ACCOUNTS
2025
2024
Incom8
Fee Income
ants- KCC
Other In(oTr
13.720
18,143
33.669
190
45,588
754
33,859
47,579
46,342
64,485
Investmenl income
Total Income
Expenses
S8laries
Rent Sl James
Training
Equipment
Refreshments
Postage Ststionery eto
Art & Crafl m8terials
Regi%lraliDn fee5
Sundry
47,579
84,492
69,344
55,455
8,250
2.590
675
1,040
17r
712
287
173
491
57
216
ei
304
289
176.4331
28.854
169,264
4,77
surplu￿(￿￿￿¢￿l for the year
The Pre-school rent is pad io Ihe P8rish for the use of Church House. This is treated as an lnter-frj￿I tr￿sfer in Ihe StalerrEnt of FInar￿la1 Aclivi￿"es. Conseouenuy, the
Pre-school e%￿r￿l￿re incIL￿ed in the St*ment of Financi4 Activities ￿ £70933 li.e. £76433, less £5.5001.
The Pre Schwl club at the end of Augusl2025
Tota Salwy paY[[￿nts of £69.344 include redundancy payynents totaiing £28,321.53.
These payments comprEed slabjlory redundatLCy payments.
Page 20

St James. PCC. Tunbridge Wells
NOTES TO THE AC¢OU14TS forth• y•w ond•d 31st Dwmber 2025 (contlnu￿l
STAFF COSTS
Wages arf salarf8S
Employers NIC ContribulK)r￿ nel of emrjoyment allowarKe
Employers pensK)n ¢ontriNJt¥)ns
151.365
813
1.644
153,822
175.966
1.629
1,916
179.511
Duriro the per￿￿ the PCC Joyed two p¥t liffle church adfflinistrator5. a part tiffl2 oppral¥)n5 rnanager. a part lime Garetaker (to Feb 20251, a Youth Worker and a
parl brrE deaner. An aVer￿e of 8 staff ano an adrnini5tr8torwwe ernploy￿ for the yes¢hO￿ untl il dosed at the ené of August 2025. None of these staff memters
eamed £60,￿ per anNrn or rrnre. Organists 8re paid as sessional mu51C18ns and the￿ wages are induded in the tota15 8LK)ve.
Paoe 21

St Jam•s' PCC. Tunbrfd9• W•lls
NOTES TO THE ACCOUNTS for1￿ yetr ènded 31st Doeoml)or 2025 lcontinuodl
FIXED ASSETS FOR USE BY THE PCC
Land and Bulldlngs
As sel out in Note 1 to these accounts, the PCC is rnt ot4u8d under th8 r￿uIreMentS of the charit￿ SORP to allocate any value lo co[￿ecrat
buildings.
The Parish has18gal tiV8 to a frathold propety known as Churth House. An independ￿t valuation carried out by Sumw Pridham on S December
2W1 valued Ihis propty al £550.000. In addrtion £1.581 was ¢apilalised in 2￿2.
The Parish owns 100% of the legal int8rest in 3 Anérew5 aose. the curates ￿uSe. An irthper>*ntV8lu8t￿n carri￿ out bysumnw Pr￿haM in
December 2001 valued this property at £255.000.
the provisions of FRS102 the PCC lo treat Ihe value of Ihe ptopertie5 at 31 D￿￿￿￿er X113 a5 thar deem8d cost_
In 2023 The PCC decid￿ th* one thir¢ of Church House should be treated as an Investm￿1 property rather than as a tangible fixed asset,
a5 it is a mixed use propety containiw ￿ flats which 8re let lo leTharsls under a rentsl 8greernent.
Tangibh Fixed As8•ts
Land and
Bulldlny$
Computer5
Equlpment
Totsl
COST
At 1st Jawary 2025
dilH)ns
Al 31st D8cemb8r 2025
996,112
1.389
66,838
22,910
89,74
1,064,337
22,909.75
1,087,247
996.112
1.389
DEPRECIATION
Al 1st Jawary 2025
Charoe for the perk
Al 31st December 2025
1,389
66,836
4.582
71,418
68.225
4,582
72,807
1,389
NET BOOK VALUE
At 31st Deeember 2025
996.112
18.328
1.olw
Al 31st DecLmber 2024
996.112
996,112
vèstments
Lanil and
B￿lIdIng9
COST
R8stat8ment a5 at 1 January2022
Change in revaluation to 1 Jan 2025
Change in revaluation at l Jan 2025
Ai 31st Decernber 2025
294,106
687,894
137.3001
944,700
The Cuffent Sgle valuatDn of the Church House llats1£531,000 for flat 1 and £413,7￿ forflat 21 Ks from the ZoDF4a websbte
Page 22

St Jamès. PCC, Tunbrldgt Wèl$
NOTE8 TO THE ACCOLINTS for1￿ year ended 31st December 2025 {contlnued
2025
Restwicted
Fund5
2024
Total
Unrestrlcted
Funds
Totsl
DEBTORS
Tax fe¢overies
Prepayments
Other Debtors
8.715
570
2,363
1.280
9,995
570
2,552
3.117
12.355
12,372
24,727
10.
SHORT TERM DEPOS￿8
Hampshire Twst Bank One year bond
Ur¢iled Tnjst Bank One Year BorKS
camb￿ge & Couniies 8ank Ow Year Fixed term Bond
St James Church Detk)sitAecount CRFS T0701A
Sl James Church RepaK Fund AcwJnt T0701ADEF
Ctrop Irtsiani A￿sS
Metro Bank Irs￿nI Ac¢es8 Detk)sit Aecount
41,820
68.628
46.492
78,360
22,010
5,776
83
41,820
68,628
65,750
78,360
22,010
5.776
839
J.000
62.543
94,916
31.245
35.422
19.258
832
344.959
263,924
19.258
283,183
11.
CREDITORS
A￿ru*S
Sundry Creditors
15.2041
12,296
17,500}
15.2041
2,2961
17.5001
17,4821
14,4791
111.961)
12.
ANALYSIS OF NET ASSETS BY FUNDS
FkKed Assets
Cash and short term deposits
Current Assets
Current tiabililies
1,939,881
315.861
11.648
7,5001
2,259.8YO
19.258
1,959.140
315,861
13,117
17,51K)
.617
1,978,112
411,984
24,727
11,961
2,402,862
1.469
20.727
Page 23

St Jam•s' PCC, Tthibrldge W•lls
NOTES TO THE ACCOUNT8 for the year ended 31st 0KembeY 2025 Iconilnuedl
13.
UNRESTRICTED FUNDS
hange In
Unrealised
Transfers gainsllosses
0110112025
Inccme
Expenditure
3111W2025
General Fund
G8nwal {Unr£Str￿tedl
76,991
76,991
280,528
280,526
1324,4841
324,484
47,885
47.885
80.918
80.918
Designated Accoynts
Fixed Assets (DestyJnat￿l
Mission General FuThfj IDe5ignat8dl
Church Repair FU￿ (Designated)
Special Pro1￿ts Fund {DeS￿n*￿3)
M Donald Training Fund IDesignaWI
Flower Fund IDtsignated}
Afier School aub Fur￿ ID*ignattd
Associa￿d Organtsations
1.978,111.86
15,380
56.245
121.000
3,S53
42
108,811
18.328
19.316
19,8981
137,3COI
1,959,139.66
18.985
47.010
121,Otx)
3,553
42
27,609
1.633
2,1T8,9n
115,7111
181.0021
1,481
2.144
2.284.286
16.9021
53.256
37,31K)
Total Unre5trfcted Funds
2,311,277
282,670
1341,386)
15,371)
137,3001
1259.890
14.
RESTRICTED FUNDS
0110112025
InGome
EXPendS￿re
Tran5fer¥
3111212025
Mi￿10￿ S￿￿1C Fund IR&Iw￿tedl
Tanzania Fund (Restricted)
Vicar5 Discretionary Fund {Re5trict￿)
Organ Repair Fund IRestyl¢i￿)
Pre S¢fwl Fund IRestri¢ied
Nicholson Bequest Fund IResiri¢18Jl
165 Campaign FU￿ (Restricted)
2,949
10,182
6,595
6,397
9,473
18,1191
19,3601
12,5001
16991
170.9331
1.035
10.296
5.445
17,851
3,308
47.579
5,502
750
65,54928
167
191,778.041
583
20.727.21
41,585.20
5.370.TT
2.280,617.30
P￿e 24

SI J￿e$. PCC. Tunbridge Wells
NOTES TO THE ACCOUNTS fort￿ year ended 315t Decenknr2025 Icontlnuodl
15.
DESCRIPTION OF FUNDS
The General Fund rermesents the funds available to the PCC for tre day D day running orthe chjrch end the parish.
Discrelionary fund5 are unrestricted but have been set as￿le by the PCC for speofic purtK)5e5
The Fixe(J Asset Fund consists of 2 PToperties 0¥ffl￿ by the PCC (Church House and 3Andrews Cl)sèl tcoeth6Y wth
cornpuler5 8n(J Equiprnent within their depreCIat￿n perb)d.
The Mission Genera Fund hJds the furKJS set aside for distribution to ¢JJr missic*) links and other charib'es suppcrted tythe church
The Church Repair Fund represents Ihe funds (some of which are held by the Di0￿Se> sel aside for fulure quinquennial repairs.
The Special Proiecis fund represents funds set aside for fuwre projects, including the cost5 of our Youth worker.
M. Donald Trainlng Fund repie5en(s a lÈgacy which the PCC set aside to assistance fortrainiro W￿Se$.
The F￿￿Er Fur¥J Ys the arnouTrt givw to tFE flower Co￿rdInatOr to d8corat8 the church each SuThJay and for s￿0a1 O￿aS￿n$.
The After Sthod Club funds holds retained surpluses from the After School Club which ¢loseo in 2024
Assockqted Org8nisaih)ns ¥howthè total movèmènts of thè hjnds hald by varitsjs LKdi&% bèlorKJifKJ to tf* ￿rish fellowship.
The Restricted Funds represent funds given wilh ¥ecrfic restrictb)ns on thwr use imposed bythe donors and o8nnot be used by the PCC for any ¢t￿r ojrpose without
the express rermtssion of doncKs.
The Mi5sv)n Specific fund is used to accumulate the fU￿4¥1$1rQ adivities urKI￿taken by Ihe parish for misS￿n wrKx)ses and to distribute the funds raised to a raroe of
mission organisawns as listed In note 17.
The Tanzania CCMP fund ret*esents donarions received for Ihe CCMP Kondoa pri48ct supporte(J Ihrough the R￿￿￿ter DK)￿se parinership link..
The Vicats Discrel¥Jnary Fund is set aS￿e for assistance ￿ parishioners suffanng hardship at the atsolute confidanual d&uetvJn ofthe vKar.
The Organ Repai Fund fund represents donat￿nS received for the cost of Organ rep8itS.
The Pre sc￿01 Fund represents Funds Used by the Pre Scmol
The Nicmson Bequest fund holds a bewest to St James from the late Da￿lj Cyrll NIcholsc￿ wNch must be sreN Sn aC￿r￿an￿ ￿ thewistres of the NiCr￿lSon Family
The 165 Cafflpaign Furmj hokJ5 fvnds rarsed for Ihe Projec1165 Building Fund Raising CampJgn
Page 25

16.
TRANSACTIONS 7AqTH PCC MEMBERS
Durtng the year the folknmng nRrnbers of Ihe PCC were relmbursed expenses as folows..
Frankio
Shortlond
Judi Harnmlll
Caz Mlll8
Totrl
Car tdephonp expenses
Mtscdlang)us Expenses
£0
£1,503
£2.225
£25
£2,225
£2.925
£1.398
£1,503
£2250
£100
£5,150
The PCC has entered Into a Ix)ntra¢t with a company In which we rnemberor the PCC. Mr MKhad Phillips. hag an interest. Mr. Michael
Phillip5 was involved in Lhe decison to Jward Ihis contract. with an amual value of £g)O exc￿ding VAT, lor the provision of payrdl
1nNnislrdiK)n services.
No PCC members or th&r ck)sefamily rn￿b￿S receive retnuneraiK)n frotn the PCC".
The total an￿Unt donalgj to the unresirKI& genera fund by of Ihe PCC and their close r￿al￿rA in 2025.
exdLQirwJ any Gitt recoverable, wa5 £48,4791£50,550 in 2(r241.
Pagé 28

3t Jamgs. PCG, Tunlwldg¢ W¢ll$
NOTES TO THE ACCOU14TS for ￿ y•ar ended 31st OKeml)er 2025 l¢ontinuedl
1T.
GPAIITS PA
M*$th Spscrfr Fu
An ona￿5019rdllts Papj ￿g￿eTr t•thY.
oth•ruTrr•*ty*t•d
Fwffl46
•IIMlgTr G•ngrJl
Tanz￿1&
ch*1•￿*￿15•1onJ￿￿hLInkP8rtrnr￿
Sèrwing In Islkll
Intèrt¢rYe
CMstrnasGvig
•nd R•u•f$oc￿e
The ￿bI￿
1,753
Lep￿$Y leA￿n
H(y•Garde
Sat7
260
249.
2.0
CCMP ptojèci Inl<onthA.Tan2ar
Korth
9.060
1,8eo
Roch'rDlocEs8 Pov8rty & HtypeApoeai
TEAR Pur￿ generdlfur
1,2ro
1.491.25
HDrnO h*tsk)rt* ￿aotherchur¢h SOCI￿•￿
Spur9eons a% Fegansl
Gr¥J￿Tr PathralAvJ soe
H￿sp￿e intheWe8ld
T￿nb￿￿ W411$ Youth ForCh￿st
1,7S2
St Phlip4churthCommunXyLE*der
Cw• brth•F8rnty
otrwDlgcrstsngty9Its
180
76
75
2,5
84
14.388
255
2￿(￿}
8,119
gM$o
Page 27