OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2020-12-31-accounts

The PCC of St Thomas Church, Wells with the Horringtons

Financial Statements for the year ending 31 December 2020

Bank National Westminster plc 7 High Street Wells Somerset BA5 2AD

Independent Examiner Michael Webb One New Street Wells Somerset BA5 2LA

Reg. Charity No. 1137161

The Parochial Church Council of St Thomas Church

St Thomas Street Wells

After an extraordinary 2020 we managed to generate a surplus performing, or not, our normal, or not operations. The highlight of the year was the Gift Day, the major contributor towards our surplus.

We were unable to make 3 of our Parish Share monthly instalments of £7,645.10 totalling £22,935.30.

Taking out the Gift Day proceeds with Gift Aid, and making all the Parish Share payments would have resulted in a further deficit to add to 2019’s of about £13,000.

This figure would have been much higher if not for other COVID related donations, unexpected legacies.

The Hall had to close but the new heating system was installed in May and hopefully we will soon be able to warmly welcome groups and clubs back in 2021. We appreciate the generous donation received to cover the bill for the new system.

Our operating income and expenditure in summary :

Income
Planned giving and gift 106,67
aid 5
Other income &
fundraising 42,020
Legacies 6,000
Wedding and funeral
fees 3,788
Hall hire 4,933
163,4
Total 16
Expenditure
Parish share and
salaries 87,825
Utilities and expenses 28,415
116,2
Total 40
Surplus at the end of 47,17
the year 6

Summary of the Development Fund accounts :

Income

Donations and gift aid 8,631

Fund raisingevents 1,473
10,10
Total 4
Expenditure
Building
Interest
Fundraisingexpenses 1,644
Total 1,644
Surplus for the year 8,460

The balance of the loan from the Diocese is £50,000 and future annual payments have been reduced to £10,000 annually.

Reserve Policy = a reserve of unrestricted funds of £15,000.

We have not needed to make any transfers from designated funds this year and the position of the funds is :

Unrestrict
ed
Designated Restricte
d
General
Hall
Bungalo
w
Dev Fund
Income 148,401
11,054
3,875
10,104
Expenditure (101,770)
(14,473)
(1,644)
Surplus 46,631
(3,419)
3,875
8,460
Openingbalance 182
3,575
8,751
0
Balance at Dec-20 46,631
156
12,626
8,460
Investment Losses (181)
Balance cfwd to 2021 46,631
156
8,751
8,460

The Restricted fund figures are just the Development fund and not Brice & Blisset etc.

Agency Payments

Parishioners are still using our facilities for donations, which are as follows :

201
2020 9
Caring & Sharing –
Wateraid 60 80
Livingstone East Parish
Zambia Link 120 120
Christian Aid 60 70
Associated Funds
Balanc Balance
e
31-Dec- 31-Dec-
20 19
Toddler Group 0 0
Women's fellowship 1,039.3
6
825.84
Snack & chat 18.89 18.89

St. Thomas Church

Receipts and Payments Account For the period from 01 January 2020 to 31 December 2020

Total
Unrestricted Designated Restricted funds Prioryear
Incoming resources
Voluntary Income 23 23 134
Tax efficient planned giving (net of tax recovered from 63,754 7,000 3,440 74,194 58,954
Other planned giving 6,241 6,241 17,930
Collections of loose cash at services 6,347 5,046 11,393 8,495
All tax recovered through Gift Aid 23,310 145 23,455 15,356
Legacies received 6,000 6,000 2,000
Activities for Generating Funds 1,005 90 33 1,128 4,249
Fund raising (gross amount) 32,644 1,440 34,084 4,429
Income from Investments
Dividents, interest, income from property etc 4,406 3,875 8,281 9,132
Church Activities
Statutory fees retained by the PCC 3,788 3,788 5,748
Bookstall, hall lettings, magazine advertising & sales 879 4,054 4,933 22,608
Total incoming resources 148,401 15,019 10,104 173,524 149,038
Resources used
Costs of Generating Funds (fundraising costs, etc) 1,540 1,644 3,184 1,835
All Mission Giving and Charitable Grants & Donations 832
Church Activities
Parish Share paid to Diocese 68,805 68,805 88,408
Salaries/honoraria (organist, administrator, caretaker) 16,442 2,577 19,020 24,454
Expenses (of clergy, pastoral staff, youth workers, etc) 952 952 1,792
Regular church running expenses (insurance, cleaning, 9,618 1,478 11,096 15,595
Church utilities (gas, electricity, water) 3,928 1,367 5,296 6,705
Costs of Trading (magazine, bookstall, Fairtrade etc) 158 158 161
Major repairs to church hall or other PCC property, inc. 324 9,049 9,373 1,481
New building work to church, church hall and other PCC 28,133
Total resources used 101,770 14,473 1,644 117,888 169,400
Excess of receipts over payments before transfer 46,631 545 8,459 55,636 -20,362
Transfers
Gross transfers between funds - in 32,741
Gross transfers between funds - out -32,741
Excess of receipts over payments before other gains 46,631 545 8,459 55,636 -20,362
Net movement in funds 46,449 545 8,542 55,537 -20,018
Reconciliation of funds
Excess of receipts over payments at beginning of 182 21,573 2,753 24,509 44,527
Excess of receipts over payments at the end of the year 46,631 22,119 11,295 80,047 24,509
Represented by
Unrestricted
General fund 46,631 46,631 182
Designated
Church Bungalow Fund 12,626 12,626 8,751
Church Hall Fund 156 156 3,575
Fabric Fund 4,610 4,610 4,610
Music Fund 92 92 92
Organ Fund 4,484 4,484 4,394
Revaluation reserves 149 149 149
Restricted
Agency collection 96 96 96
Brice & Blisset Fund 2,625 2,625 2,543
Development 8,459 8,459 0
Livingstone east parish 108 108 108
Zambia Link 5 5 5
46,631 22,117 11,293 80,041 24,505

Inde endent Examlnerfs Re ort for the PCC Accounts Report to the trustees of St Thomas Wells with Horiingtons Parochial Church Council On accounts forthe year ended 31 December2020 Charity Number 1137161 Respertive responsibilities of trustees and examiner The charity's trurtees are responsible for the preparation of the accounts. The charitvs trustees Eonsider that an audit is not required for this year under settion 144 Df the CharTties Art 2011 IThe Charities Artl and that an independent examination is needed It is my responsibility to: Examine the accounts under Section 145 of the Charities Art To follow the procedures laid down in the general Directions given by the Charity Commission (under section 14515llbl of the Charities Act and To state whether particular matters have come to my attention. Basi5 of independent examinerfs statement My examination was carried out in accordance with general Directions given by the Charity Commission. An examination includes a review of the accounting record5 kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of èny 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 fairf view and the report is limited to those matters set out in the statement below Independent Examinerfs Statement In connection with my examination, no matter has tome to my attention which gives me reasonable cause to believe that in. any material respect Accounting records were not kept in accordance with section 130 of the Charities Act or The accounts do not accord with the accounting records I 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 UiL. MF Webb FCA One New Street. Wells, BA5 2LA 12, April 2021