Registered Charity Number.. 1138075
REPORT OF THE TRUSTEESAND
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31ST DECEM8ER 2024
FOR ST PETER'S CHURCH SALESBURY PCC

ST PETER'S CHURCH SALESBURY PCC
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31ST DECEMBER 2024
Page
Reference and Administrab've Details
Report of the Twstees
4-5
Independent Examiner's Repyl
Statement of Financial Aclivibes
Bala￿ Sheet
Notes to the Financial Stslements
12

ST PETER'S CHURCH SALESBURY PCC
REFERENCE AND ADMINISTRATIVE DET￿Ls
FOR THE YEAR ENDED 315T DECEMBER 2024
Ch•lr
Rev'd Lvz McLoan
Trust•M who $•Th•d during th• y•aT
Elizabeth Bal¢*M'n
Trirya Beach
Janel Bevety
Amanda Birchall
Frank Booth
Ena t)ouglas
Howard t)ouglas
Diane Foote
Anne Goc*kn'n (resigned duriryJ the year)
Mick Grirne
Sue Grime
Janet Haworth
Liz Hind
Ha¥ry Shawes
Ruth Warren
Elaine Wray
PCC Seuetary
PCC Trnasurw
Chur¢lhv*don
Safeguardirs OffK*
Independènt Examln•r
Gill Taylor

ST PETER'S CHURCH SALESBURY PCC
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31ST DECEMBER 2024
The Trustee's present th6 a)nual report together wilh the fawicial statem￿ of ihe charity for the year ended 31#
De¢*mber 2024.
Publlc Benefit
Our Mission Action Plan is based on the Di0￿5￿n 2026'He*thy ChLbrd)¢s Tr8n$fonning Cornmunrf*' and
'Growing Leaders and moking DISTr￿eS and beiThJ Wtnesses,.
The Trustees provrfje the faeilib.es and SUFVOrt for ser¥wts open to 41 an opporiunity for ¢wiet contemplatK
nd prayer.
The Trustee5 are ¢ommrtt&d lo provK*ng an 0￿￿lIunty for everyone to worsFM"P at our thurch and to become part of our
community at Salesbury.
Structure and m*Mo•m•nt
St Peter'$ PCC has the re6ponsibilty of cMperatirrfJ wth the inoJmbent in kKOTh)tsr#J in the ecLlesiastical parish Ihe
whole mission of the chu￿￿. pastoral. avang81ist￿. 8(xi81 and It also has maintenanc* responsit¥"lth"6s for thè
churth ol Sl Peter's Salestr4Jry.
Commbttee8
The PCC opèiatès throu￿ a rwjmtef of commrttags. whth rrtei ful meets.ngs of the PCC.
R•vièw of th• y8ar
Throughout 2024 the chur¢h has ujninued to on three areas of minbsiry and mis8*)n vthich hvJhlighted in 2022
as being essentsal to the growlh ofthè chuwth's ministry and missiC￿ ￿thin the c%)mmunty'.
Children and Young peO￿e
Stewardship ofthurth finaFKes aFKJ the t￿Ildi￿a and gr￿ndS
Pastofal care
Th& chuf¢h has ¢ontsn￿￿ lo work dosely wth the sth¢x4 to ensure a pattem o1w￿kty iTrs(*ool wor5htp and seasonal
3eThices h8ld in the church for Education Sunday. Christmas. Easter and School Le￿erS services. Gateway Junio
Church and 'Messy Church, lor famtlies havè cc*)tsnued and Ihe TKldW"nks l(>3 tiyjdler giwpl ￿$tarte<l in Janu8ry
2024. Gateway youth{1￿15 yearsl also began to meèt in 2024.
th regards to stewardship the PCC conts"n￿d to work hard lo sijslain the dio¢wn c1mMrt￿￿nts. an¢J we are ple888(1 lo
again rewrt that we rret our pansh contritr*Jth)n in 2￿24. conbnue to support The Chika￿n.$ Sooety, Chnslian Aid.
Blackburn Diocese Bishop's Harvest Appeal and other local and intemational charities at vanous times throughoLrt the
y¢ar. The PCC continue lo bè very grateftjl lo 811 thurch family w￿) grye of t￿r bme and talents and who o)nth'bule
financially to the work ol St Peier s
During 2024 the foDJs on pastoral care indwled the Ueal￿ of a p8Stor81 care leam arld training sessions being held. Our
work coniinue5 in 2025 to reach out to those in Ihe church tsmity and the Icral communty who require pastoral ca
support in some way.
The thurch o)nlinues to be ath.ve in hosbng Life Ministries fu the communty eg bapbsms, w8ddtngs, confirniations and
funeral ministries. A Stab￿ pattem of WL¥shFp has been maintained through)ut the year wrth the indu%on of additional
special seryices as we seek to be relevanl to th• local corrnwnty with en98gwig wOtsh￿.
We look fo￿ald to conbnuing to hdp churth rwnbeTr rwise, dv4ek)p u6e t￿'r grfts to the glory of W'$ mission
and ministry in Salestrwry paith.

ST PETER'S CHURCH SALESBURY PCC
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31ST DECEMBER 2024
Plan¥ lor the futur•
We intend lo..
Nurture and develop new ways lo minister to thldren and farnilies and suprort the sthoor
Encourage Chn5tl8n gNiNJ to be embethled in disufftshtp and m8Fntsin our C4)mmrtment lo Parish Share for a
fijll-time vicar.
conb.nue to pray lor the lrfe and growth of thÈ thurth famity and the needs of the worti.
Continue our Outreach and develcp our fellowship 9roups.
Flnanclal rnvl•w
Tot81 receipts were £167.693 Q023.' £10S.01918￿￿?le delailed in the financaal State￿nts
Total expenditure lor the year was £123.S)2 12023.. £121.$891 ofwhich £79.014 12023. £80.9231 was spent to Provide the
Christsan mtnislry from St Peler's Church. induding the ojn1ritrwjt￿S to Ihe dKtesan parish share, which L4rgèly provides
the stipends and housing for the dergy.
The nel result for the yéar was a surplus ol le￿Ipts over pay1r￿n18 of £44.191 121r23". £16.570 deffid).
Re•eNM pollcy
Thè balancé of unrestricted fvnds at 31st Decernbor 21Y24 was £53.310 {2023' £57.4531. This a￿￿￿nt is adequate to meet
unrestri¢#e(J expendrture lor a period of stx months. This ￿Ve1 of re6eryes is ccnsthjer￿ to be s(th.￿t for the conb.nued
èxislerv of the PCC,. however it is to be rgv*%¥Ed annually.
The balance of £159,04812023." £111.1411 in resirnAed and endOW￿nt fvThJs is reiall￿d towards meeting the costs of
upkeep of the church and the churd)yard.
STATEMENT OF TRUSTEES, RESPONSI8IUTIES
Under charity &iw, the trustees are res￿is1b1e fot weparing the Rel￿ of the Trustees and the finantsal statements for
each financial year whth shcfy¥ a true and fair ofthe state of affairs ofthe chairty and of the excess of tncome over
expendrture for thal powifyj.
In prep8Fing these finanaal statements. genefalty ac£epted &ctyJnting pracke entails that the trustees..
-select Suitab￿ aco)unting Wic4es aThJ then apply Ihem consistenty."
-make judgements and estimates Ihat afe ieaSLX)able and prudènt",
-stale whethèr the recomffendabons ofthe Ststemènt of the Recommended Practice have been folknved. suty'ect to any
material dep8rture3 disdosed and expL3ined in the finar￿* slalemerrts.
-stale whether the finanual statements conwty wtrth the trust de•¢, $ubpcl10 811y materK41 departu￿$ disdosed aTrJ
explained in the finanual statements.. and
-prepa￿ the finanual statefflents ￿ ttp wng ¢oncem basts UTh￿￿5 it ￿ inappro[￿.3te lo that the thanty will
contsnue rts ￿t￿lt￿$.
The trustees are raquired lo act in ar£orda￿ wbth the trust deed ofthe chanty. vthhin the framvwort ol trust law. Th¢y gro
responsible for k8eping proper acc￿￿n￿ng recxyds. suffi￿nt to disdose at any bme. with feasonabk accuracy, tho
finanaal Fxjsrtion of the charity at Ihat bffe. and lo enaNe them lo ensure thal. Whe￿ any statements of accounts are
prepared by them under the Charit*s Acl 2011 and the applKable Charity Ikcount5 and Reports) Regulations. those
statèmènts gf accKunls compty wth the requirements of wulatsons under ttM)se provisM)ns. The trustees also have a
98neral responsibility for takirwj such steps as are reasonabty open to them to safeguard the assets of the tharity and to
prèvent and delecl fraud and other irregu￿ntieS.
Approved by order of the board oflmste8s on 18￿ May 2025 and by..
Rev'd LrL McLèan PCC Chair

INDEPENDENT EXAMINERS. REPORTTO THE MEMBERS OF
ST PETER'S CHURCH SALESBURY PCC
I report to the Iruslees on my examination of the accounts of the chanty for the year ended 31 December 2024
which are sel out on pages 7 to 12, carried out under seCt￿n 145 of the Charities Act 2011 and in carrying out
my examination I have followed all the appltsble direclK)ns given by the Chanty Commission under secb'on
145 of the Act.
I have completed my examination and eonfim that no material matters have come to my attention in
connection with the examinatson gNing me cause to believe that in any material respect..
1. accounting record$ were not kept in re¥￿t of the PCC of Sl Peterfs Church Salesbury, as ￿qUired by
section 130 of the Act". or
2. the a¢¢ounts do not accord with those records; or
3. the a¢￿Unts do not compty with the accounting requireff*nts con¢eming the form and content of the
accounts set out in the Charities (Accounts and Reports) Regulatsons 2008 other than the requirement that
the accounts gwe a "tfue and fair view. which is not a matter cons￿￿ered as part of an inde￿ndent
examination.
I have no concerns and have corrE across no matters In connect￿n with the examination lo which attention
should be diawn in this report in order to enable a proper understanding of the accounts to be reached.
Gill Taylor
g fhf Jcrfi

ST PETEII'S CHURCH SALESBURY PCC
STATEAIENT OF FINAFICIAL ACTMTY
FOR THE YEAR ENDED 31ST DECEMBER 2Q24
2023
Fund•
P18nn8d G￿ttYJ
Ott*r Giving
Legatses and 8equests Reci¥ed
To¥ recovere¢J thrwh G￿ Awj
38.102
38.102
43.835
13.042
11.986
9.6
69.330
3.740
13.157
4.751
$2,329
64,315
9.6
121.659
3.740
.157
12.250
69.127
3.776
25.833
4.128
2,155
Ir￿ffje from Fundra￿1V￿ At*vil*s
Fees relamd by PCC for ¥+E(IdirrtJs aTrY ￿￿raISe1C
I￿estment Irthme
Other InC￿e and ￿￿e811
517
3.869
TOTAL INCOME
114.847
52.846
167.693
105,019
Exp•ndfjtur• on:
charitab￿ GNrMJ
RaisifKJ Funds
ch¥￿+1 ActlvMIg•:
Parish Share arK1 Fees
Sala￿8 aThJ Honor&
Pan$h Cwgy Costs
Ministry Costs
Regular Churclb RWMJ C￿$
1.797
1,797
132
1,193
79.014
11.917
6.191
1.411
14.435
112.968
615
79,014
80,923
12,042
5,322
1,078
13,047
112,412
6.197
14.435
112.968
615
Go¥eman(* ¢osts
10
TOTAL EXPENDITURÈ
116.016
116.046
114.133
t*preLy*'on
7.456
7.456
7.456
TOTAL COSTS
116.046
7.456
123.502
121.589
44,191
116.570
G8inllL¢)881 ￿ Invèstrw)t &5sets
2.517
427
11,159
14.1431
2.517
43.784
Transfer bewn fiJTrJ8
R•con¢lll•tl¢)rt of Fur
Total FL*ds brwhl foTh¥8n%
Total fur￿5 rwried foTh¥wd
57.453
53.310
11.982
57.372
99.159
101.676
168.594
212.358
174.005
168.594
16
P•ge 7

ST PETElf3 CHURCH SALESBURY PCC
BALANCE SHEET
31ST DECEMBER 2024
2024
2023
FIXED ASSErs
TOThJib￿ assets
Inveslrwnls
12
13
2.743
126.510
129.253
10.199
123.436
133.635
CURRENT ASSETS
C8sh ai 88nk
Debtors
34.269
14
40.749
CREtMTOf¢S
Amounts due
15
5.7
NET CURRENT ASSETS
83.705
34,959
NET ASSETS
212.3S8
168.594
CPIARITY FUNDS
Unrestricted Fur￿8
Restr￿ed Funds
16
16
16
53.310
57.372
101 67S
212,358
57.453
11.982
99.159
168.594
The finanual slalwnwls were aFpoved bythe ol T1￿10e5 ¢)rb 1&h May2025 swawj ffi ts W¥aWby.
Revd LrL McLe
PCC Chthw
P•Je 8

ST PETER? CHURCH SALESBURY PCC
NOTES TO THE R14ANCIAL STATEMENTS
FOII THE YEAR ENOED 31ST DECEMBER X+24
1. ACCOUNMNG POUCIES
8•81• of preparirw th• IIMn¢l•l •t•l•m
accounts lfinonoal slatemefttsl haye been Fwar*J ￿ aLxxwwJaKe wth ts StstemeN of RecA￿Mended P￿tiCe
AccounlTrJ aTrJ Reportry by Chariw prep8rThJ ts"r wxxwrts *ilh tt% Finanual Reptytry S¢aThYard applicat4e
in the UK and Republ¢ of IrE￿￿ i8SLrl ￿ 16th Juty 2014 arxl Financial Repth"r4J StaThlard applK4t4e in Unrted
Kinwlom arKI the Reput4￿Of IrelaTrJ IFRS 1021 aTrJ ts Clwths Ad 2011 aTrJ UK Prac*r* a8rt appl¢$
frLYn 1st Jar¥Jary 2Q15
I￿ornI1￿
in(x)mir¥J re8ourc*s 8re on Statemert ofF￿r￿1 A£*￿tieS (*atity ￿ kgaty enlthd lo thè Inw*
after trade dis¢wr
EXp￿dthre Is 8co)untett ILY on an 8ThJ has been da88thed ¢hat aggreg*e all cost rdated
to the category WI￿re costs Can￿ be lo partojar tsadrys iw have bew alwted lo ¥r*YitsEJ t)n •
b4¥k4 txjrthtyterrfwith th• uye ol re8oJrw.
neos$0ry10 support them.
dlth a￿fjrt fees aThJ costs Iwthed to￿ strategK •JnYistrakn ofthe c*anty.
T•ngibh ffi¥od •uets
0epreuali￿ ￿ provwjed 81 the rths ￿ rytsto ￿lte off eath asaei w rfsesimJW usefil
Plant ¥rKI Eqiiwnont- 15% Stragm i
In¥wtm•nl¥
Fixe(S asael inveslments are irnlialy recwN5¢d al Ihew transadpjn vahje are 81 thw faw vabje
Imarkel valuel a$ 81 ts baL8r￿ date siatemem ol FiMNJbi 98iro aThY k)88OS 8n8ry Crfl
Fund Ac¢ouAllng
Unrestricted be tL8ed m act(￿a￿* Milh the c*wt8ble attr* oftr* trustee5. Tr PCC may
designate sorr* ofthe unreslnrAed pa￿￿1*r kxvyoses. I￿ frmds may te L#￿Trated at Ihe trusiee8 discMK)n.
Poge 9

ST PETER'S CHURCH SALtSBUftY PCC
NOTES TO THE FINAIICIAL STATeMEtrirs
FOR THE YEAR ÉNDED 31ST DECEMBER 2024
Toial
2023
2024
2. Plonrwd Incom•
Standing orders gN*wJ
Other regulargryiryj
32.885
5,217
38.102
30.820
13,015
43,e35
5.2t7
38.102
3. In¥e•ts￿rtl In¢0
Bank Inieresl
DI￿de￿j income
1.$71
3.180
4.751
517
843
3.2e5
4.128
3.180
517
4. othor Incom•
Baojsm donalKns
(Jher apre8L8
167
3.702
167
3.702
3.869
1.325
2,155
S. P•rf•h Sh•rn p•ld to Dhx•s•
The Pgrtsh pa￿ lo the Cl(¢88e of8iac*tsm cows tr* ly)5101￿ (saw. •rwJ tr8irxvJ.
Natsonal CNJrc*.
Tot81
2023
Fund•
2024
Organist salary
(￿ganISI fee8
c￿tner
Sexton
Vwger
1.280
2.052
1.035
1.OSJ
11.917
2.1
2.052
2.052
1.Ir85
4rpJ
12.042
11.917
7. P•rknh cknrgy coats
C￿rgY em4)￿888
W￿￿rage costs
v￿ar£**r
1.379
3.727
1.379
3.727
1.085
6.191
1.4C6
3.529
367
5.322
6.191
8. Mln¥try Co•ts
Chiklren and Y<Mth mirnstry
Saleguardin9
ChThr arNI m
152
210
42
458
819
440
819
1,078
9. R•guL*r churth funnlnB •Ap•n
Churth ulilth.
I￿￿rance
Gereral costs
GrourKl5 upkeep
BLykJing uF*eEp
1.201
2.620
1.080
8.350
3.730
2.215
418
6.092
592
13.047
1.184
14.435
14,435
10 Gov•m*nc• Co•ts
Inde￿r￿n1 examinalion fee
(£75 rel8tii¥d to 20241
615
615
615
615
10

ST PETER'S CMURCH SALESBURY PC¢
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31ST DECEMBER 2024
11. N•t rno¥•m•nt In lund•
Tolal
2024
Total
2023
Net resourees ¥rE ¥ta¢•d after chargir¥J.
Depreaalion
INlepwvJeni examinat*JTr IBe
7,456
615
7,4
12. T¥nglbl•flx•d M••ts
Pl•nt&
egulpm•nt
C￿l
At 181 Jan￿ry 2024
dfiion8
A8 at 3181 c*¢em￿ 2024
49.709
49.709
49.709
49.7C8
DoprKi•tlo
Al 1st January 2024
Charge for >t8r
As al 31$t C)ectmt*r 2024
39.510
7,456
39.510
7.456
N•t ljook ￿lu•
At 3181 2024
2,743
2,743
Al 3131 Dec•nt*r 2023
10.199
10.199
13. FIA•d a•*•t
F*lrvalu
At 1st January 2024
drtK)ns
A$ 8131st C*t*nber 2024
123.436
3.074
126.510
N•t book ¥al￿b
Al 3151 Decernber 2024
126.510
At 3111 Decwnbef 2023
123.436
The investments we l*ld %Mth CCLA m a n￿ntser oflhw ceniral hJThJs a L*iter rate of reiwn Ihan Iflhe d)urch
invested 8ep8raiety the of *ft ovef the >*arswtse tr* c•prtal wa5 m¥%slett in 4yder 10
14. oobtorn
Totsi
2024
Total
2023
t*blorJ
PrePay￿r
1.750
6,480
Is. Cr•dltorn du• wlthln on• y•*r
Trade ereditors
7.124
7.124
5,790
5.790
P4e11