Registered Charity Numter.. 1138075
REPORT OF THE TRUSTEESANO
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31ST DECEMBER 2025
FOR ST PETER'S CHURCH SALESBURY PCC

ST PETER'S CHURCH SALESBURY PCC
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31ST DECEM8ER 2025
Page
Reference and Adminislrative Details
Report of the Trustees
Independent Examiner's Report
Statement of Financial Ath'vibes
Balance Sheet
Notes to the Financial state￿nts
9-12

ST PETER'S CHURCH SALESBURY PCC
REFERENCEANDADMINISTRATIVE DETAILS
FOR THE YEAR ENDED 31ST DECEMBER 2025
Chair
Rev'd Liz McLean
Trust•e• who •errfed durlng th• yo•r
Rol•
Tri¢Tr8 Beach
Amanda Birchall
Frank Booth
Ena Douglas
Howard Douglas
Oiane Foote
Mick Grim8
Sue Grime
Janet Haworth
Liz Hind
H8fry Sh8Wes
Ruth War￿n
Elaine ￿aY
PCC Tre&8urer
ChLwcffv4afd8n
S8feguarfiNJ Off
Churcfrfi¥arden
Ind•p•rKl•nt Examln•r
Gill Taylor

ST PETER'S CHURCH SALESBURY PCC
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31ST DECEMBER 2025
The Trustee's wesent the ￿nL￿al r¥pryt tCty3ethwwith fv fi￿￿>•1 $tat•mMts ofthe tharity for the year eThJed 3151
D￿rnber 2025.
Public Benefit
OUT Mission ActM)n Plan i8 based on the DI￿$all 2026'Heathy Churthes TTansfonning Commun￿"es, and
'Growing Leaders and making Disaples and b•iThJ Wtnesses,.
The TTUStees provide lacilibes arhj SUPF4Jrt for seTr•2s to 811 and an oppOrt￿ty for quièt contemplati
and prayer.
The Trustees are commttted to provKliTrJ an OFp￿￿1￿ to worship at wr ¢hurth and lo part ofour
commun¢ty at Salèsbury
StruC￿re ond m•n•9ern•nt
St Peter's PCC has the responsi￿1￿ of cr￿0p￿r#br￿j with the in¢)Jrt)ent in [￿o￿l'r￿j in Ihe ecdewasb.cal partsh the
whole miSs￿n of the Church. pasknal, ¥¥•ngdisK social and eL4Mnenral. It al80 has maintenarth Ieskw)nsikn"l￿￿8 for the
church of St Petor's SalesbLFry.
Commltt8•8
The PCC 0￿rateS through a number of ￿MMitte$S, nwt full Meetir￿ ofthe PCC.
Revlew ofthe yoar
Throughout 2025 the churth has continued to f(M)Js w three areas ol miThstry and miss*)n wh¢ch wwe hohlighted in 2022
as being essenttal to the grovrth of church's ministy and missicffj within the crynmunty. They form parl of a fve year
Vi510n plan for the churth.
Children aThJ YourvJ people
Stewardship of church fmnces arm1 ￿ t¥Jil¢Jng *d grwKIs
Pastoral care
The church has continwl Io Wofk dosefy with lh• sch¢>)I to ensure a pattem ol weekly in.schc4)I worship and 5èa5¢)nal
ervices held in Ihe church for Educat￿ Sunday, Harvest. Chrislmas. Easter and School Leavers services Gateway
JunK)r Churth", Gateway Games". Messy Churth TWJdfv.nks1￿3 years toddler group) contÉnue regularty.
With regards to stewardship. Ihe PCC rxjntinued to work hard to sustsin the diocesan crynmitments. and we are pleased
to again report ihat we rr¢t ouf parish conknbution in 2025. ￿ continue lo support The Children's Souety, Chrisban Aid.
Blackbum Di￿eSe Bishc¥)'s Harvest Appeal other Ictal and intemahonal charities at various times throughout the
year. The PCC contsnue lo be very gratefvjl to all our church lamity who gNe of their tsme and lajents and who ¢ontribLrte
fin8nGialty to the woth of St Peter'$.
During 2025 the pastoral carè team have ¢ontin[￿ to meel and have established pastoral visibrrfJ and a prayer group.
Our work continues lo reach (Kjt to those in the church famity and the bcal ojmmunity who requ1￿ Pastornl care support
in some way. often relatthy to Lrfe Evenls ministr￿$ such as lunérdls *)d bèreavement supwrt.
The church continues lo be ath've in hosts.ng Lrfe Minislres lor the commurmty 89 bapts5ms. weddir¥Js. o)nfirn8tions and
luneral ministries. A stable pattern olworship has been maintsined throUg￿l￿t the year wth the indusw)n ol addrtional
speaal services as we seek lo be le￿vant to the Icul C(￿Tr￿j￿￿ wrth engaging worship.
We look forward to C4Jnb'nuing to hdp chLbrth mambers recognise. develop and use their gffts lo the glory of Gc*J's mission
and minislry in Salesbvry parish.

ST PETER'S CHURCH SALESBURY PCC
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31ST DECEMBER 2025
Plans for the fvtur•
We intend to".
Nurture our children and famity groups and continue to support the s¢*0
Encourage Christian giving to be embedded in discipleshw) and maintain our c4)mmTbnent to P81i6h Shafe for a full-lim¢
vicar.
Nurture our Pastoral Care tsam N) develw'ng Iheif skil$ ts pastor* erthunters and visiti'rwJ
Continue to engage wrth the Ictal CL¥nmunity through misswjn events
Continue to pray lor the lrfe and 9rthth ol the churth famity and the needs of the worfd.
Flnanclal r￿•*
Total recèipts were £ 101.19112024." £ 167.69311 and a￿ detai￿￿ in Iho finarmxal ststgrnerts.
Total expeThjrtu￿ for Ihe year wa5 £ 127,701 12024." £ 123,S)21 of whith £ 80.83012024. £ 79,0141 wa8 spent to provhle
the Christian ministry from St Peter'$ Church. I￿lUdIr￿d the r?)ntrI￿￿8 dirxew parish share. whth largety
provKles the ¥tiptrnds and housing for Ihe dergy.
The net result lor the year was a def￿ of receipts over paynwrts of £ 26,510 (2024.. £44,191 suWu81.
R•8erv•s pollcy
The balance of uniastrirted tsnds al 31* Det*mber 2025 was £ 66.851 {2024.. £53.3101. This amount is adequate to meet
unrestrided expend*ltJre lor a penod of six fnonths. Thi5 th1 of reBerye8 to be sfftient for the continued
existen￿ of the PCC, however. it is to be reYthv&J annually.
The balance of £ 112.19512024.. £ 159.048) in restrthd and 0ndch￿t is rètained toward8 m8elir4J the cosis of
pkeep of the church and the churthyaid.
STATEMENT OF TRUSTEES. RESPONSI8IUTIES
Under d)arity law, the trustees are weparing Ihe Re￿1 of the Trustees and the finanaal statements for
each finanual year whth show a true and fair viv• of Ihe slate ofaffairs ofthe chanty and ofthe excess of income over
expendrturtr for that r¢rirA.
In p￿paring these fin8nual statements. gereralty acKwted acwnb.ng wactice entsi15 that th* trustees..
-S816d suitable accountsng pol￿*5 and then appty them conyslenty..
-make judgements and estimates that are reasonable aThJ prudent;
-slate whether the recommendations of the Statemnt olth¢ R8comm8nd8d Prnc*rA ha¥e been tr)ltrJ*èd, Subl￿t to any
materi81 departures disdosed and expl8irwl in the finarKd statement5."
-stale whether the financial statements cornpty wtth ttE trust deed. ¥ubiecl to any matwial departures disclosed and
explained in the finarrial statements.. and
.pr8paro the finanaal staterrents ￿ the cO￿*M basty unless li is wwpyopriate lo kwume that the (*arty Wbll
continue rt3 acIN￿l￿.
The trustees are iequired to ￿ in actord8nc* wth the Iwsl deed of the thanty. within the frarn￿rk ol trust law. They are
responsible for keeping proper accounting records. sufficjent to disdose at any b"m. ￿sonable acojrary, th6
nanaal position ol the tharrty at that time. and to ena￿e them to ènsu￿ that. wher• ￿Y slatements of accounts are
prepared by them under the Charities Act 2011 and th• app￿ab￿ CharFty (Accounts and Rtportsl Regulats"ons, those
stalements of acc(￿nts ￿rnpty wrth the requirerY￿ts of w10t￿)￿S under tlv)se provisi￿$. The tru8tees also have a
general rèsponsibiljty for lakiThJ SLth sleps as are reasonabty open to them to safeguard the as8ets ofth& tharity and to
prevenl and detect fraud and other irwulanties.
Approved by order of the board of trustaes on 31st May 21r26 aThJ 9gngd ty:
R¢v'd Lo McLean PCC Cha

INDEPENDENT EXAMINERS. REPORT TOTHE MEMBERS OF
ST PETER'S CHURCH SALESBURY PCC
I report to the tiustees on my examination ot the 8ccounis of the charity for the year ended 31
December 2025 which ale set out on pages 7 to 12, carried out under section 145 of the Charities Act
2011 8nd in carrying out my examination I have followed 811 the 8pplicable directions gNen by the
Ch8rityCommission under section 145 ofthe Act.
I have completed my examination and confirm ihat no materi81 matters have come to my attention in
onnection with Ihe examinaiion giving me c8use to believe that in any material respect:
1. accounting records were not kept in respect ot the PCC of St Peter's Church S8le3bury. 8s required
by section 130 of the Act. or
2. the accountsdo not accord with those records: or
3. the accounts do not comply with the accounting reouirement8 concerning the form 8nd content of
the 8ccount3 set out in the Charities (Accounts and Reports) Reguletions 2008 other than the
requirement that the accounts give 8'ITue and fair view" which is not 8 matter considered as part of an
independent examination.
I h8ve no concerns 8nd have come 8ciogs no matters in ¢onnection with the examination to which
attention should be drawm in this report in order to enable a proper understanding of the accounts to be
reached.
AcM¢
Gill Toylor

8T PETEWg CHURCH SALESBURY PCC
8TATEIAENT OF FINANCIAL ACTMTY
FOR THE YEAR EIIDED 31ST DECEIABER 2026
X+24
Flanned GNWVJ
Other Gmng
leg3Ue5 Drffiatb)n8
Tax recovered
36.603
7.972
7.945
10.84e
63.266
4.327
23.576
5.Y7
4.373
38.102
7.945
10.846
64.315
9.696
121.859
3.740
33.157
5.268
3.869
Income from AtM*8
Fees rela1r￿0 ty PCC tr wjdirys
In¥eBlment Incr
r Inc4)m& aThl
23.578
1.917
4.3n
TOTAL IMCOME
99.274
1.917
101.191
167.693
Exp•ndWuF• on:
Ch8ntsb19 GI￿ThJ
Aai$rvJ Fundi
Church Athltb••'.
Parish sha￿ AyvJrnd Fees
Salario$ and HonrKana
Parish Ckrgy Costs
Ministry Costs
Rogubr Rwn¥¥J Cos1*
1.799
1.799
1.542
1.797
79.014
11.917
8.191
11.377
5.511
11.377
S.511
1.104
22.720
121.542
75
14.435
112.
121.Y2
75
Go¥8manc8 Costs
10
615
TOTAL EXPENomiRE
124.95
124.958
116,046
r*kY8cialhin
2.743
2.743
7,456
TOTAL ¢08TS
124.958
2.743
127.701
123,502
&JWuFJIDe*u¢l fr* ￿ y
QS.6841
18281
128.5101
44.191
Ga1￿{lo$S) w ￿¥0*¢M•￿t lsstts
1.135
427
(28.8191
42.
18261
132.4131
13.6671
19.94n
131.3121
43,764
Tr*n&f8f b8t**en fthJ8
R•¢ortlli•tlon ol Fund•
Total FurK15 brought fon¥ar
53.310
68.851
57.3n
24.111
101.676
88.(fj2
212.358
?81.046
1e8.591
212.358
16

ST PETEWS CHURCH WESBURY PCC
8ALAMCE SHEET
31ST DECEIABER 2026
2025
2024
FIXED ASSETS
assets
Investrnents
12
13
2.743
126.510
129.253
121.708
121.7C
CURRENT AS8ET3
Cash al B•nk
Deblvs
84.282
1.951
a6.213
.229
14
J.229
CREDITOIIS
Amounts tsming du•*iYMn W ye
15
6.87S
7.124
NET CURRENT A88ET8
83.105
MET ASSETS
181.018
212.358
CHARifY FUNOS
Unroslncted FurKIS
Reslrtted FuTrls
EThJtr4mwnt Fur
6B.851
24.133
53,310
57.372
101.676
212.356
16
16
181.046
Re￿d Liz McLean
PCC Ch
P8qe 8

8T PETEifs CHURCH SALESBURY P¢¢
NOTES TO THE FINANCLIL STATEMEPITS
FOR THE YEAR ENDED 31ST DECEIABER 2028
1. AC¢OU1ffi14G POLlaES
of pr•p*dng th• fin•nt￿L •tthm•nts
The accounis (fina￿81 siatem8ntsl have been prep•rEd ￿ acccndarwJ¥w%th the Stat•ff*rt ol AecfrniThYed Prn¢tr*"
AC￿ffttn9 arKI R8Fthing by Ch*ibBs wepanrvJ Ihetr accrnlarK* F*i•ntsai Repthng Standard
Ihe UK and of I5￿J 16th 2014 R8F4YW StarKtard appkable In tr* UrM¢8d
rodorn and the Reput* of IFRS 1021 arKI ts Charts85 Act 2011 UK Accepw Prnr*rJJ 4$ rt aw
Ifom 1st J8rwary 2015.
In¢•mlth¥ rts¢)UG
8ftef trade d￿cOUnts
R•bourt•• •Ap•rbd•d
basi% conFASt•nl lh8 U80 ol tES0W￿.
n•cessary to Support them.
Indude aLHIit fees and oists Hnk80 10 th? stra189￿ •JmYAstrabon oftho (th•iity.
T*D91b￿ ft%•d a•Mts
[￿Pre￿all0￿ 18 provxsed 4tth8 foi¢*YwJ fmderto c4leK* a8•8t ONW rts
anl aTrY 15% &rWI i
Inv••trMnts
Im8rk¢l value) as al the balarrtx shEel dale The StatemerA ol Fm•nwl Athrtw w￿￿YeS ga￿ and *)5ses c
Fund Ac¢o¥ntlng
P>Jb g

8T PETERS CHIIRCH SALESBiMY PCC
NOTES TO THE FINAIICIAL STATEIIENTS
FOR THE YEAR ENDED 318T DECEMBER 2025
Total
2024
Fund•
2025
2. Pl•nn•d IrKorn•
Star￿Ing vders gWiIVJ
Othor regulai gNir*J
21,864
14,739
21,884
14,739
32.885
5.217
38.102
InGonM
8ank iniefesi
1.917
2.981
3.180
5.268
1.917
5.547
Oth•i In¢wr•
Baptism dwabor
Other appeals
167
s,7￿
3,869
4.323
4.373
4.323
4.373
P*rtsh Sh•r• yld to Dlotw•
The Pansh Share p•tyJ to lh• (￿Cese ol BlaCktr￿n t4)¥ws fv crAI olthe Slwd Isal¥yl. d￿vY •rwJ traSnlrwJ.
In addllion. th? Parlth also ￿1n1XrtOS lo ts (a)st ol rwr¥q tts 8ry1 a to of
National crllffjth.
Total
2024
Fund8
2025
6. S•l•rkn Ind Honomrtum
Organist salary
8nlSI 1888
c￿sn￿r
Sexton
1.370
1.370
2,052
855
1.280
2.052
1.035
1.050
11.917
11,377
11,377
7. P•rf•h CW ¢o•i•
C￿rgY 8MP8r
Vl¢arag8 CO*8
1.143
4.016
1.143
4.016
352
5.511
1.375
3.727
I,Q85
6.191
5.511
Chiklren ar￿ Youth
Safeguard￿9
Choir and mwi
F￿r$
152
220
819
440
310
310
9. 11•9¥l•r Churth rnnnlng •Ap•1M￿*
Church ubl
1.201
2.620
010
7.715
810
7,715
8,703
22,720
Grwnds upkeep
aThJ Ngan
22.720
14.435
10 Gowrn•ne• Co•1#
Irthpendent wamin•tw)n fe•
75
75
75
75
815
615
P49e 10

PETERB CHUR¢M SAth$8URY PCC
TES TO THE FINAIKIAL STATEMexTS
FOR THE YEAR ENDED 31$T DECEMeER 2026
11. N•t movqThn¢ In fun
Toi•l
2026
Totsl
2024
re&ourw •rv slaloJ
r*preriabon
815
11 Tanqlbh Ilx•d •M•ts
Pl•rt &
Totsi
¢o•t
AI 1st j￿uSry 2025
Addit￿
As •131sl Llrycemtér 2￿2$
49.7
49.TOB
49.709
49,709
Al 1st January 2025
Ch•rge fw the y881
As ot 31$t Lknmbw 2WLS
2.743
49.709
2.743
49.709
N•t boo* valu•
At 31st t)ecemb8r 2025
At 3181 Cwmb•r2O24
2.743
2.743
Taill
F*lrvalu•
Al 1st January 2025
AdditvJn•
A$ 4131st tknmbef2025
126,510
4.802
121.708
Il•t book valu•
At 31st t*omber 2trk5
121.708
At 318t (Nrycomkn 2024
126.510
The In¥eslments CCLA ￿ 8 TrJmtw olltrw c*rtr* fiThYs bei*r of re￿n than thurth
invested saparaloty. Try **re Its re￿ ofltya(ie8 W o*ftr¢ yur¥ cawi was Thestrj ￿ cthr lo jrKf*
to hdp m•ini•in
Totsl
2028
Toial
2ff24
1,951
1.gS1
18. Cr•dltorn du• wlhln J*•r
Tr*Je ¢redrtor&
6.675
6.675
7,124
7,124
Pwe11

ST PETER? CHURCH SAL￿BURy P¢C
NOTES TO THE FIMANCIAL STAYeMENTS
FOR THE YEAR E14DED 31ST DECEMBER 2026
16. Fund iMty4bb
B•1￿ 4t I￿￿n• E¥p•ndliur• Trnnrf•r B•Tr•nc• It
1st J•riu•ry
b•t*••n 31•t p￿•fflb*r
Fun
2025
Tarvaib￿ fixed asset
Reslr41XEd LegatAes
Organ fijnd
Speci•l proie(ts fiJTrJ
Choir fiJry*
Total tÈ$tr*x8d luThY*
2.743
2.743
132.4131
22,328
246
449
57.372
246
1.917
2.743
132.4131
24,133
Endownwtfvnd•
Invesir(*N portwki
101.676
3.e67
19.947}
53.310
99.274
126,093
68.851
212,35B
132.503
181.018
hDir fund
Tru•tg•B' •Xp•r￿*
re ¥we no Irusts8$' pgbj y•*r•Th*d 31¥1 Lknrt•r 202S year 8Th￿ 31st c*¢*mbw2024.
18. Stlff eo•¢•
There staff co¥ls ￿.
P•J8 12