Trustees Annual Report and Financial Report The Pwothhl Church Councll of th• Eccl•sl•rtkal Parlsh of St Margaret, Rottingdean St Margarevs Church. The Green, Rottlngdean, Bri8hton BN2 7HA Registered Charity no. 1138715 For the year ended 31st December 2021 CONTENTS Page Trustees annual report Statement of flnanclal actlvltles Balance sheet Notes to the accounts 15 Report of the Independent examlner Website.. 5trnargaret.or8.uk The Revd Dr A Moore Incumbent.. St Mar8aret's Church The Green Rottingdean BN2 7HA Mr P Woodgate Unit 43 Newhaven Enterprise Centre Newhaven BN9 Independent eKaminer'. 8ankers.' Natwest
St Margaret's, Rottingdean Trustees Annual Report for 2021 Our alms and purposes as a charfty The PCC has the responsibility of co-operating with the inoJmbenL the Revd Dr Anthony Moore, in- The promotion of the gospel of the Lord Jesus Christ accordin8 to the dortrines and prattices of the Church of England Promoting in the parish the whole mission of the thurch. pastoral, social, evanBeli5tic and, ecumenScal To know jesus better and make Him better known Prartlcal support and care for people in the parh. from the youngest to the eldest, irrespertive of level of need or, ability to pay Providing flnancial support those in need and, to other organlsatlons wlth similar objectives. What we planned to do to achleve our tharltsble objectlves When planning our activities for the yeor. our Incumbent and the PCC have constdèred the Charity Comrnisslon's guidance on public benefit and. particularly, the specifi¢ guidance on 'charities for the advancement of reli8lon' Obviousty, some of the planned activities were curtailed due to dlfferent de8reè5 of Covid 19 restrictions. The council has complied wlth the duty under section 5 ot the Safeguarding and Cler8y 015cipline Measur* 2016, fully recognising it5 duty to have due regard to House of &'shops' guidance on safeguarding childien and vulnerable adults. For 2021 we discussed and planned the following objectives and activitles to fuWII our alms.. Enabling as many people as possible to worship at our church Enabling as many people a5 Possible to become part of our parish community Teaching, baptising and nurturing new and existin8 believers Maintalnlng an overview of worship throughout the parish Considerln¥ how servlces can Involve the Many groups that live within the parish Putting farth into prattice, through prayer and scrfpture, rnU and sacrament Offerlng worship and prayer, learnSne al)out the Gospel. in small group sltuations Assisting people from all walks of life to dèvtlop their knowledge of, and trust in. Jesus Provision of pastoral care for people lin¥ in the parish Provision of assistsnce to the poor and needy of the parish. kndudin8 workin8 in collaboratlon wlth Our Lady of Lourdes Roman Catholic Churth and the Queen Victoria Pub to set up Rottingdean Commun¢ty, which brought aid and support to local residents during the national lockdowns Glvlng donations to charitable organisations and sUPPOrting the local food bank Maintaining the fabric of the church building as a historic ntre and focus of Ilfe in the village. What we achleved and how we affected beneficiarieg lives Attendanceat wotshlp The church famity welcomes visitors from within as well as outside the parish Ix)undary. Visitors attend by personal choice and, it is our great pleasure to welcome anyone from all walks of life to take part in the life of TRUSTEES ANNUAL REPORT Pjge
the church. We tontend that voluntsry attendanee to Worship the Lord Jesus Christ, Is a major demonstration of the public benefft of our activities. Over the course of the year service attendance has fluctuated because of lockdowns and the confideTr of our congregation mernbers, many of whom are ehlerly or vulnerable. We look to encourage the deepenin8 of faith for all ages, and work cbsely wfth our church primary sthool. We trailed a Musical Theatre Project for young people. Christmas is a very special timè of celebration whère many section5 of the communtty come together to join in the services. Unfortunately, the number of Covid cases localty meant that some of our Christmas Servi$ were cancelled. At Easter 2021, nurnbers of people permitted to attend church were resirirted to 30, and again this had a serious impact on Celebrations and public outreach. $tIal Service provlslon was put in place so that as many people as posslble could a¢cess the church whilst workirtg within the restrictions. A weekty recorded audio service has bèen made available throu8hout the pandemi¢. People have been able to a¢¢ess thi5 Servi online. on Alexa, and a specially designated phoneline. We will be Continuing this into 2022. Teachlng. bapttslno amlnurturfnq new and exlsttTnq belle¥e It was with great delight that we celebrated the baptism of a child and the baptism and confirrnation of two adults. A small number of weddings were celebrated, as rèstrictions permitted, others were postponed untll 2022. Evanqellsm andoutreo¢h We ran an advent Study course on the Gospel of John and have been seeking to engage with the wider community in explaining our fijture development plans. We held an open day for congregation and local residents to refiex on our missSon plan, Includin8 the development of thé buildlng as a community space and different activities whlch w511 be possible in future. Pmvlslon of the ¢hurch IM•lldlnqforpeople to erfoy is important to us that the church is avallable for prlvate prayer, Dot just to the church famlly, but to the widèr vlsltln8 community. To this end the thur¢h building is open during the day. Many remark not only how refre5hlng It Is to find an open Church but, also the sense of peacefvlness and spirituality the churth pervades. Other fèedback indudes the sènse of history within. that people of much eartler generations found life and presence there, and comrnents on the appreciation of the architectural beauty of the building, espècially the Edward Burne-jones wlndows. Spatlal rnonlerlnq of the church bulldlnq ondfftrturepmkrts Our church family has a plan to reorder the nave of the thurth and ueate an extenslon. The new extenslon will house o kitchen, accessible touet and baby change facilities, new offlce actommodation, and a large and srnall meeting room for use by the churth and local community groups. As part of the project, we will ènhance the audio-visual equiprnent, replacing some elements where necessary. This will enable a more modem approach t0 Services, whilst protectlng those who prefer the alternative approach to worship through hymn books and leaflets. Ongolng deasions madè In faith. to adopt and encouragethe Dlocesan Strategy of reimaginin8 of ministry and, to modemise our Church building. point to a hopeful future, but will require the coftilnued spiritual commitment from all of us. to see it realrsed. We are in the fortunate position to be able to cover the cost of the projert by sellingst Margarets Cotlage, and because of two substantial legacies, and a generous donation of flnancial support. TRUSTÈES ANNUAL REPORT Page
Provlslon ofpartomltarnfvrpeople In theparish The Vicar and our Parish Visitor are responsible for hospital visits and home communions. We also vislt local care homes. During the lo(*downs the Vicarvisited ery mernber on our electoral roll and has kèpt in touch wlth the community by phone. Otherchqrftable glvlng The church famity has supported the church primary sch1 and the Royal British LègTron. Donations collected from OLEr congregation were given to Christian Aid. Brighton & Hove City Mission. and the Whitehawk Food Bank. Flnanclal Revlew Incomlng and outgolng resources Totsl recelpts on general Unrestcted funds received were £83,753 and are detailed in the Fin4ncial Report. The planned 8lvlng though envekipes and bankerfs orders decreased by nearly 14%. It was good to see the use of GiftAid through the Partsh Giving Scheme. Our total voluntary incomè in¢ludin8 tax recovered, but excludln8 legacies decreased by 5%. The PCC was grateful to re1Ve a legacy of £178,641 from the estate of Wllllam Balv. The le8aLry will be used to help pay for the reordering and development project. The PCC was grateful to Maureen and Michael Chowen forvariou5 donatn5 to thechurch Development Fund, amountlng in total to £16,(KQ. We have also been notified of a Iqacy to come from the estste of the late jennifer Ingrarn. Sh¢7rfng the mlnlstrycosts olthe L¥ocese oAChkheJt•r The largest expendSture of the PCC was the sum of £74 paid to the do0Se for our share of all Churches, Parish Ministry Costs. The total relates dlrertly to the hou5in¥, support. stipend and peThOn Costs of the clergy of this parh. tralnin¥ of new ordinands, a contribution to national church fvnds and, shared costs of the Chrlstlan family throughout the whole diocese, including assistsnce towards the upkeep of churches less able to manage than ouTselve5. stoff costs The PCC employs no staff. Tnuteepoyments and t¥penses The PCC also SUPPOrted the clergy by paying Council Tax of £2.595, Water and environmental thar8es arnounting to £428 for the Vicarage plus otherannual costs towards travel, hospitality, telephone, postage and broadband amounting to £1,289. Clergy expenses are lower this year al cause our Atsi5tant Curate moved on and bl because of a drop in unrestricted income, the Vicar has not been claiming full expenses in the latter months of 2021.. this wlll contlnue Into 2022 until our finances recover. There were no payments to persons related to or connerted to. the truslees. Offlcecost5 The PCC also approved the purchase of a new computer. costiftg £1.449.' replacing the old one which was breaking down and failing to perform in the way that it usèd to. We have reduced our printing costs bv renegotiating our contract with Ri(xJh. We had preViouV negotiated a 5-year fixed rate utility contract, which will help us enormously as the predirted energy price increase hits in 2022. TRVSTEES ANNUAL REPOR7 P)ge
Repulys to thefvbffic of the churth buildlng The only significant repair this year was to the church elock, the face of which was in danger of fallin8 to the ground. A new digital Master clock was requtrèd as Wds a new striking hammer for the ho¢JTly chime. The cost of this was £5,6(Y). Why we hokl some money In reserve is PCC policy to maintain a balance on the general unrestricted funds lexdudin8 property) which equates to approximately three months, worth of unrestricted payments as contingency against unforeseen 51tuations. The closing balance of £15,297 this year did not achbeve this, although we expect to have sufficient cash flow to continue to pay bills when they fall due. As well as holding the above gèneral reserves, from time to time the PCC récèives restricted legacies for expenditure on restricted purposes. defined by the donor. The legacy of £178,641 from William Bailey fa115 into this category. When St Margarevs Cottage is sold, we will depostt the income and legacy money to our 6(kday dept account with Shawbrook Bank to a¢crue some interest and for security of not keeping large surns in our current accounL Management of risks and thelr mitigation The PCC has an ongoing tssk of reviewing the major risks impart on the work of the thurches in the paTish. The usual PAT testing and firè extinguisher checks have been carried out The PCC conslder that the prinapal risks and uncertainties are.. The heatth and safety within the churd) buikling in particular a potential trip hazard with lifting floor tiles. This issue be resolvoj following the re-ordertng project expected to commence in January 2023. The neeil to fund unexperted costs. Alt unexpected fall in income, as seen in 2020 and this year. The requirement to find volunteews with the appropriate skills. time and commitment to support the ministry of the congregation. The PCC seèks to manage these risks and uncertainties by regurtY reviewing its Mission Action Plan afid its plans forthe use of the churth buildings i.e. the chuich itseand St Margarevs Cottage, which is on the market for sale.. We aim to maintain our propertie5 to a high standard and carries Qut the priority items of a quinquenntal review in a timely manner. We airn to diverslfy income and plan to more effertively hire out the churth building to external parties once the re-orderlng takes place. We are pleased to be able to pay l(KJ% of ourparish share Én 2021 lamounting to £74,3CQI and are working to continue this in 2022. Future UnrtaIntleS The incidence of COV11>19 and the subsequent lockdown necessttated closure of ourthurch and St Margaret's Cottagè for much of 2020 and also impartèd our acb"vities in 202L This resulted in a decrèase in incoming hiring fees, cash donations and fvnerallwedding fees. Fortunately, rnany parishioners had seen the necessity of transferring to the Parish Giving Scherne in 2020. At this point in our year. we do not expect more than a 5% reductbon in incomin8 resources, amounting to approximately £6,(, oftset by sawngs of heating and power costs of much thè same amount. TRUSTEES ANuAL REPORT Page
Structure, governance and management of the charlty The Parochial Church Councll IPCQ is reglstered wlth the Charfty Commisslon as qUired by the Charit1è5 Act 2011. Its governlng document Is the Parochlal Church Counclls (Powersl measu 1956. Dlfrlng the yearthe followlng seNed as members of the Parochlal Churth Councll.. Ex Olficlo members Incurnbent.. Th@ Revd Dr Anthony Moore Chxlrman Wardens.. Dawn Davldson Heather Butler Eletted Members eernle aark Lorna Coleman Lynd5ay Gardner K•rwin Hack Mary Hanna Ann Hayes John Laslett Susan Leaney Joanne SSce Susan Sparks Dun¢an Ward Treasurer Secretary Deonery Synod Ml¢hael Maddox Membershlp of the PCC Is determlned underthe Church Representatlon Rules and ¢on51sts of certaln ex-offlclo members Ithe Incumbentlprlest-In.char8e, curate, lay readers Ilcensed to offldate In the church), the churchwarden5 and members of the Deanery. DIOan or General Synods and rnembers of the church who are elected at the Annual Parorhlal Church Meetln8 IAPCMI. Members are warmly eneouraBed to stand for elertlon to the PCC and we try to ensure a ba5ance of skllls and •xpèrience where posslble. Thls Tru5tees' Annual Aeport was approv4d by the PCC and si8n4d on thglr b•h•lf by Tho R•vd. DT Anthony Moore, PCC Chairman PUSTEES ANNUAL REPORT ate
Annual Financial Report Th• Parochl•l thurch Councll otthe Eccl•slastlul P4r15h ol St Margaret's Church, Rottingdean St Margarevs Church, The Green, Rottlngdean, Brlghton BN2 7HA Registered Charity no. 1138715 For the year ended 31st December 2021 CONTENTS Page Statement of flnanclal actlvltles Balance sheet Notes to the accounts 15 Report of the Independent examlner
ANNUAL FINANCIAL REPORT
St Margareys Church, Rottingdean Statement of Financial Activities reoirtered cht7rity number 1138715 The finantlal effect of our activities durlng the year can be summarised as follows Unrstrl¢ted Fund Restrkted ENlowed Total Funds TotolFurt<ls lQ2Q Not•s Income Ind endowm•ntsfrom: Don3tlons and legacles Charftable actlvltles 72,167 201,054 273,121 8Z951 io, 10,790 14013 OthertrJdin8activrtles Investments 796 ', 783 oihor rnc•lptS Tot•1 IncL¥no 83,753 ¥Ji,OS4 284007 98,763 EWpand¥r¢ on.. R4L41nBfunds 1875 IOS,863 47,C95 152.958 114612 0thertrad1n8actr(leS oiherèxpethditure Totsl •xp•ndltur• los63 47,095 152,958 114487 Net galrts lor lossesl on Invèstrnent5 N•t Incom• ar In•t •xp•ndftur•l 122,1101 153,959 131,849 117,72dll Tr•Nf•rs b•tsv••nfurd$ io 122,1101 153,959 131,849 (17,7241 otr rn(rynls•dylnslllDM•51', G8lnOllossesl on revaluion of flx aetS Othor 8alns/ll¢)5se$l 7,198 e¢oncillatlon ofjurtds.. Net M0ment Inlunds 114,9311 153,959 141,595 | 117,7241 Total fuTrd5 broughtforward 215.2(Y3 78.899 18.668 ,, 312,716 | 330.500 Totsllundscarf forward 0,297 231858 21,2161 4S4.371 31Z776 ANNUAL FINANCIAL REPOR T
St Margaret's Church, Rottingdean Balance Sheet reglstered cftortty number 1138715 Our financial position 3nd summary offvnds at the year end were Totsl Funds 2021 TorolFunds Intsrybk assets TanYb$sets HEritsBea55ets Endu¥¥ed investments J85.000 14668 208,66S ij Ttstsittuodasse 207,303 Stocks 14 Debtor5 Invesbnents Qshat bankand in hand 118,830 Toi•l uJrrert8ssÈts 258M57 121,866 Cred&ts". AmouDtsfallTr8due wlthlnotyear 110.9891 {12.7581 etCLrwtas5ets 247M68 109,108 , Total assets le55 L%srrent Ilably rftleE Crethitor5.' AtDountsf8lllngdue èfter morethan oneyear pslon5for Ilabllltle5 312.TJ6 16 Totrl assot5o¥lffiabllltlul 4Y,371 311776 Thefd5Ofthedrfty.. dowmentfvnds Pstrscted incor(fun Total resirfct4dfvnds 21,216 232,858 154074 1.306 14668 7&899 97,567 215.209 Totsi u[WÈs(l8dfjjnd$ 200,297 215,2Q9 Total choltyfuna$ 454371 311776 13 Thi5 Financial Report for the year ended 3tst December 2021. Indudlng the noies followin& was approved by the PCC alld signed on its behalf by The Revd. Anthony Moore, PCC Chaimian.. ANNUAL FINANCIAL REPOR T
St Margarevs Church, Rottingdean Notes to the Financial Report reg1steredch¢7rrtynumberi7ls l Accounting policles Basis of prepardtion The PCC is a public beneflt entltywthin the rneaning of FRS102. The finandal Statements have been prepared under th Charities Act 2011 and the Churth Accountlrvd Regulations 2, In a(KordarKewith appli¢able accounting standard5 and the rrent Statement of Re(xJmmended Practi. Accwntin8 and Repn8 by amrities. (SORP IFIL$ 10211. Thefinancial statements have been prepared underthe historical cost ¢onvention as modlfled by the inclusion of investments at rnarket value. The financial statements indLxle all traaCtIonS. assets and liabilitiesfor which the PCC is responsible in law. They do not include the acu)unts of thurch groupsthat ¢)we thelr afflllatlon to another bcxly, northose whlch are informal gathering5 of thurch members Funds accountin8 Funds held by the PCC are= Un$trittedfyTrds. gerral fundsvthich ¢an be led for PCCrdinary purposes Designotedfvnds- monies set aslde by the PCC ¢yJt of unrestritted funds forsFeoficfutyre purpose5 or Projeets Restrictedfvnds. al incomefrom trusts or endowments whith may Fended onty on those restrieted objects provhled in the tèrms of the trust or bequest,. bl donatior or grants r1Ved for a speaficobject or Inv(ted by the Pccfor a spe¢ifi object. The funds May only be expended on the speaficoblertfoT whKh they were tyven. Any balan remalnlng unspent at thé end of the yearls carried forward as a bala1) on thatfuTr Endowmentfvnds- fundsforwh¢ch tsixtal rnust be maintained.. only in(Xe arisin8 from the Investment ofthe endowment may be used. either as restrkEedor UnstriCt funds. dwndirg on the purp)seset out in theternis of the origlnal endowmfnt Income and endowments All income and endowments, èCJnted for wthout deduction for any costs of recetvaknlty. are recognised when there is eviderKe of entitlement, reIpt 15 probat4e. and the arTh)unt¢an be measured rdiab Donations and legacies Collections are remgnised when lelÈd. Plunnedgiving receivoble is rQgnIsed wh there is lden of entidemrt apt Is probable, and the amount aCrdS wlth the Glft Ald dedaration orother record of IntentKJnto dona Gift Uldrecovedls recogned when the inccffieto whith itis attathed is recognised Gronts undlegaaes are reccgnised when theformal offer in TIltr ofthefurKlin& is e1Ved by the PCC Charitable actsvitFe5 Statutory fees for weddin85 funerals are reccgnlsed theOffi Lrcurs OthertrBdinz activities Trading aetiwties are where income is re(eivable In fttr 5eflir6 goods or provldlng seTvKe5. Incomefrom trading Is recognised either: a- when Teve. or b- in the easeof a)ncerts.' for the year in whith the event cccurs. irrespertlve of date of receipt. Advance boDkinK5 are induded in creditors until the u)ncert has taken F4ace Sales of magazines and study notes are reccgnised when reiVed Rents from property are reco8nlsed In aiwdancè th the rentsl agreements, when rerript is probable Investm*nt income Dividend5 are accwnted forwhen dueand payae. Interest entldementsart a¢xount&J for as tw a¢Lyue ANNUAL FINANCIAL REPORT
St Margaret's Church, Rottingdean Notes to the Financial Report registered thurlty number 1138715 All other income l other brrne L4 recognlsed In accn with the3trfe overnll Galns and lo>ses on Investments R•)Ilsed 8alns are recegn15ed when the Srwe5tments are sold Unrealls•d galns and losses I accounted foron reVaIOn at 31 tcember Expenditure Expendlture Is re¢o8n158d when there Is evidert of IndemeThi payTnent Is Fyobable. and the amount can be measured Grants fjrants •nd donatlons•re Keounted for ¥th•n pald rNw, or when wrnTded Wre the VArd ueat•s • blndln8 obll8ation on the PCC Church actlvftles The dloces•n parish Contrlbutlon 15 a¢£ounted tr on an annu $1$, reftectln¥ the allwlon Mt our Deanery. Any p•rlsh contrfbution unpaid at YI Dec•mber Is wrJ4ldEd for In thesè accounts as an operational Ithwgh t • legaD Ilablllty nd Is shown •$ 8 c¥edltor In th• bala• sh•et FL¥•d assets rangibleAixed ussets Consecrated •nd beneflced woperty of •ny klnd lsexduded from the •Cnts bys.ICI21 ofthe Ch•rltle5 Act 2011. Movable church lurnlshlng held by theVi¢ar •nd ChurthWard5 spets¥l trust for the PCC and whlth TequlT• • l•oJlty for dlspos•l, ar• accounted a5 In•ll¢nabl• property unless conseuated. They ar• Ilst•d in the churth's Inventory whlch be Inspect•d but are not Induded in the fln•rKJal stattments. Fty other property aoulred prlor to I9 there Ss Insuffldent cost Informauon aval14+ •nd therdore th• fJ)St of suth •ss•ts Is st•ted at• nominal £1 In th• flnondal Sulements All •xpendltur• on ¢ons•cr•ted or nefiCed bulldlnp •nd lrrfl1dU•I ltem5cosu undef £1.¢•Te wrftt•n off In th• ye•1 they w•re Incurr Depreciotlon Depred•tlon15 ¢alcuted lo wrlte dLwm the (ost of tarybte ffxed assets, •xdudln8 freeh?k4 proFrUes. over thelr expeet•d U5elul Il¥è& The Tate5 general aWlcalAè ir•'. Ld Bulldln85 Olficeequlpmeht No depr•oation is provlded on freehold bulldln8s asthe u5ehJl e¢oTh)mic lffe of these assets exceeds 50ye•rs ènd residual values 50 high thatpotentlal depredation WOU immaterial. It Is the PCCS pjllcyto malntaln these asset5 In a continual state ofsound repalr. Resultlnglrom r48ular Impalment rvdlews, VAII made ff there has b••n any pem)•nent dlrnlnutlon In vallte Investments Investments are stated at marketvalue atthe b8l•n¢esheet date Current Ass$ Amounts 0%ngtO the Pccat 31 Cttener in resFed of fees. rents or other IOme art shown a debtors, le5S PTovlsbnfor amounts that may prob uncollortible Short-terrn d•pOS Ind cash hdd on dep)yt etts wrihthe CBF Churth ofEwland Funds, or •t the nk ANIIUAL FItIANCIAL REPORT 61Page
St Margaret's Church, Rottingdean Notes to the Financial Report registered chority number 1138715 2 Analysls of Income and endowments Unre5trlcted | R•5trlctAd Endow•d Total Fur TotalFunds Notes Pnfted VIng lexd. tax refun&l P13nnod Blvlnglno lax refundsl Loose cash collectlons 41.6(YJ 41,6CIJ 2A69 9.363 I,050 10,413 16.0 7,320 545 1 Church Development iocno 2,orKI 2,188 Headstones 2,181 Mlsslon Fund I,C(JD I,CQD 3,263 178,641 ioj MusSc Thèatre Prolett Grft Aid récowerable 1,0 9,551 178,641 8J50 6,288 3,686 Le8acle5 Donatior 8,250 8.797 11,400 Grants DoTr•tlcns •nd leycK•s £71167 £1.054 £273,221 £82,967 Feès forweddlngs & funora15 10,790 10,7 Ch•rft•bl• IctltI £10,790 10,79J £15,013 oih•r trndlw adlvltl Bank & CBF dew51t Interest C8F Investment fund dividend 796 783 Irbv•5trTr•nts £y É796 £783 her recelpfs Tot•l1rt4Wnt •nd endowments on •ll fund5 £83,753 É201.(S4 £284,807 £98,763 ANNUAL FINANCIAL REPOIIT
St Margaret's Church, Rottingdean Notes to the Financial Report registered charitynumber 1138715 3 Analysls of expenditure Restrirted TLx•I FI TotalFuthls Notes Speual appea costs Stè•4•rdshlp costs Grènts costs Investment man¢rrnt oiherfuThdrablnÉ costs 1875 Coll of raf¥Ir4fu$ 1875 Charttabl•8r•nts and donatSorth Dknce54n parbh share aeray and other people'5 •p•rtses salar84nd honorarla Incl Nl x) 74, 4313 743 74,035 &061 4313 Upkoy pf 5grvlcqs Church runnlng costs Hall runnlngeosts Church development project Church mantennt• and r•p4lr Upkeép OF churchyard Stora8e costs of donared good5 Mlscellanéol L971 7.674 T74 9.9 L584 31) 1575 9548 7.819 1177 1619 1.349 Insuranc• I19 1504 Prlntln8and sratlonery Bank ¢hèr8es Depreclatlon 1349 Z092 295 362 li Cortol¢hrltbk aeU¥ftles rs É47mS £152958 £114,612 Co¥tot0thrtr1r•dI¥tt> Tot•1 •xp•rxI tyi dl at63 E152g58 £114487 ANNUAL FINANCIAL REPOR T
St Margareys Church, Rottingdean Notes to the Financial Report registered chority number 1138715 4 Mlsslonary and charitable givln8 TotolFun¢ts I 2QZQ ' Note5 Morne.. Rowl 8ritlsh Legion PoppyAKwl OttThèFentÈ Vottes rn Exik 8ethlehem BASR Ilowtd 1,102 io¥J io 5 Staff costs l Totsl FuThJs TotulFunds 2020 Notes RemLW*rntton Wogesondsok)ries EmYeT30ClO1setIgycOs EmployerpeJAwon costs 6 Payments to PCC members other payrnents were made to PCC memkrs in the year for reimbursement of èxpenses incurred on behalf of the pcc., al Clergy supph)rt.' Council tax £2.595. Environrnentsl tharges £428. Travel. hospttality, postage, telephone £1,289 bl No other mernbers received reimbursement for telephone, postsge and travelling expenses. No person received remuneration in exces5 of £KJ,CKKI. 7 Transactions wlth persons related to PCC members There were no transactions with persons related to PCC members in the year12020'. none). ANNUAL FINANCIAL REPORT 91Page
St Margaret's Church, Rottingdean Notes to the Financial Report registered thoritynumber 1138ns 8 Transactlons with related charltles In thè year ended 31 December 2021 thère werè no transactions wlth related tharikn"es12020.. None). 9 Governance lowed . Tothl F$ TotulFunds IndepeThlent t¥omlnotlo &)okkeep1Tr9 10 Transfers between funds Total Fwds TrtolFur Not•S ANNUAL FINANCIAL REPORT lol Pa
St Margaret's Church, Rottingdean Notes to the Financial Report reqistered chority number 1138715 11 Fixed assets • Investments Thr•strl¢t•d | Restrf<tsd Endowed Total Fund5 Mwket value l January 2U21 DpOSal5 at caTrylng val Purchas5 It t05t 18,668 18,668 Net É•ins and revaluatlon 2,548 M•rk•t valu• ai D•mb•r 2021 £21,216 É21,216 b Tanilble flmed ass•ts Frn•knld l•nd Ofltc• l Tot411• IIIILI Notes Cprt rvalu1• At I January 2021 Addltlon5 185,CQD 185,0 1,449 1,449 O&p05a15 Revaluatlon t 41 OAc•mb•r ?021 1g5.C*)) 1,449 196.44• , ChlfOr Imp•lrm•nt Al l January 2021 Char8efortheye8r Dtsposa R@valuAtbn 13621 13621 At 31 Dècèmbèr 2Ql 13621 Net book amouwrts At 31 December 2021 185.cDJ 1,087 186,087 i At31 ikcember2020 ANNUAL FINANCIAL REPQR T ILI Pag e
St Margaret's Church, Rottingdean Notes to the Financial Report registered chority number 1138715 12 Fixed assets contlnued Yhe freehold land and bulldin85 compflseThe Cotta8e. The Green. Rottlngdean. The historf¢al cost of thts property was £185,CW. In the opinion of the PCC Its current market value Is estimated to be in the region of £750.CO11. A computer was purchased in the year for£l,449. 13 Net assets by fund Unrestrfcted Fund5 R•Jirl¢t•d Fun E•d T•1 FuTr45 TotalFuF5 Notts Fed assets for church u5• Investmènt flxed assets Currént a55ers (except cèshl C•sh 8t bank and on dep05 186,087 186,(7 21.216 185,( 18,668 3,036 21.216 1,219 23.980 110,9891 1,219 232058 256,838 110,9891 115,830 112,758) Lonqterm Ilab411tles £2W,297 £232.858 £21,216 E454,371 311776 14 Debtors Ur••trfrt•d R•*trlrt•d ErQw•d Tot•1 Furos Totol Funds Notes Intome tax recorIble Prgpayments and actrued Income orherdlbtors 1,219 1,219 3,036 £1,219 £1.219 E3,036 15 Credltors: amounts falllng due wlthln one year Llnr•rtrf¢tod R•rICted Eth4owed Totsl FndS TotalFunds Not•s Deforred Income 11,Z20) 3.120 11,2201 3.120 2.229 Accruak L440 Loan 5,1 sioo 5,200 3.989 other creditor5 £10,9891 É10,989 £IZ758 ANNUAL F1NANCIAL REPORT 121 Pa Ée
St Margaret's Church, Rottingdean Notes to the Financial Report registered charity number 1138715 16 Credltors: amounts falling due after one year Unrestrkt•d Restrlettd und Endowed Totsl Fthdj TotolFunds Notes Deferred Incomg Ac¢ruals for utiir(le5 and other cost$ Archdeacon'5 loan Other credltor5 17 Comparatlves for the statement of flnanclal actlvltles Unrestrlct•d R•wl¢ttd Endow•d Tot41 Fundi Incom• and endowm•nts from.. Donatlons IpB4¢leg Charhable adlvltl#s 76,673 1294 8Z,967 15,013 15.013 1 Orhertradln8aLtlvttl•s Investmefjts 783 | 783 oiheT rtcelpts T4)t•l IOme 9Z469 , 6,294 , 94763 Exp•t)Jltur• on.. Ratsln8fund5 Charlile aalvttles 1,875 ICV),C66 1,875 114612 5,556 Othertradlnq attivttles herependVre Total eyendttur• 110,931 5,556 116,487 Net 8alns lor10$5esl on Investment5 Net Incorne orlnfrt xpeNtltuI 118,461 758 i 117,7241 Trarffjfer5 betwqenfunds 738 17381 117,7241 117.7241 Other recogrdsÈd plnsll1098•$1: Gain{lOSSeS) on raluatIOn of flxed a55ets I othergalnsl1l$e5I Reconciliation olfvnbs.. Net mowrnentinlund3 117.7241 3,sCI) 117,7241 330,XYJ Total lunds brought foNard Totsl tundscanled fon¥ard 312,776 311776 ANNUAL FINANCIAL REPOR T 131 Pa¢e
St Margaret's Church, Rottingdean Notes to the Financial Report registered churity number 1138715 18 Statement of funds Explanatlon of funds Endow•dfvnds ore rt9u1dbY the tob¢ I¥ted the income sptnton spec4Jl¢ Obe$ The Chancel, Graves and Coveney bequests •re Fermanent tloWments. A•strlrt•dfvnd¥ urnnot InveStedpern¢TrentlYL ore to bespent MSonal timescoles Unr•strfrt•dlund¥¢re not5ubie¢t to t7nyLwrrestdcdons ¢7nd¢an IsPent?$ the Pccthides Summary of all funds Fund 5ncomt and expendtture Iln•l balanees are a5 fdlows= clfwd 31 D¢c 21 lJ•n2W 1rtom• nd lojsej Incel 213 1703 4.449 15,08¢ Gr•ves 3,892 14286 557 L778 Covenev Tat•l of 411 •ndowd lur 14fj68 21216 Chureh aock Church Lhv•lopmeDt Colon•lJukes Churthyd MOn Fund 2.n2 11.6931 49.224 1.813 197,166 IS,FJ f1065} IN,183 . 39,6 19.$481 Musical Theatre Prolect Tower A•$toi4tlor• 1.075 1657> 418 2&642 28,642 Tot•1 of Dll r•Arlct•dfvfvAi 147 23Z858 General fund O•slgnatedfund Revaluatlon rts¢rve 21%j 83.753 1105. ,297 Total ol•ll Tttr[ lunds 7,198 XQ,297 Toi•l fdI U12,776 q15l9581 £9,746 £454.371 ANNUAL FINANCIAL REPOR T 141Pa8e
Independent Examinerfs Report to the PCC of St Margarevs Church, Rottingdean for the Year Ended 31st December, 2021 Thls Is my report to the Parochial Churth Counal of the Ecdesiastical Parosh IPCCI of St Margaret Rottingdean, on the annual report for the year ended 31" December 2021 set out on pages I to 14. Respectl¥e respon$lbllitl•s ol trustees and examlner The PCC members are responsible for the prep4rauon of the annual reports. The PCC members COnderthat an audit is not required for this year under section 144 of the Charities Act 20111.the Charities A¢VI and that an independent examination 15 needed. It is rny responsibility to.. examine the accounts under sectlon 145 of the Charlties Act, to follow the procedures laid down in the general Directions given by the Charrty Cornrnission (under section 14515llbl of the ChaTltie5 Act, and to state whether partlcukr matters have corne to my attention. B•$ of Independent •xamln•rfi rt4t•m•nt My examination was carried out in ac¢ordance wrth general Dirertions given by the Charity Commission. An examination includes a review of the accountin8 record5 kept by the charity and a comparison of the ac¢ounts presented with those records. It also Includes consideration of any unusual Items or disclosures in the accounts and 5eekin8 explanations from the trustees concerning any such matter5. The procedures undertaken do not provide all the evidence that would be required in an audlt, and consequently no opinion h glven a5 to whether the accounts present a'true and fairf view and the report Is limited to those matters set out in the statement below. Ind•p•nd•nt examln•rf$ rt4tement In connectlon wllh my examination, no matter has corne to my attentlon., which gives me reasonable cause to belleve th8t In, any materlal respect, the requirements.. to kèep ac¢ountin8 records in accordance with section 130 of th• Charities Act,. and to prepare accounts which accord with the accounting records and compfy wlth the aoUntIng requlremenis of the Charltles Act have not been met,. or 2. to which, in my opinion, attention should be drawn in order to enable a proper under5tandinB of the accounts to be reathed. Exam5nerfs stlnature Examlnerfs name C4PJ7AAS Philip Woodgate, FC Relevant professional qualificatlonls) or body ACC4 Examlnerfs address Unit 43, Newhaven Enterpre Centre. Newhaven, BN9 9BA ANNUAL FINANCIAL Rf PORT 151 Page