Camborne, Redruth and Hayle Methodist Circuit TRUSTEE'S ANNUAL REPORT
For the year ending 31st August 2022
Introduction
In the year 2021-2022 we saw major changes to the staff within the circuit. As our Lay Pastor and our Superintendent both moved on and our one remaining presbyter took on the Superintendency. In September we employed a further Lay Pastoral worker and an additional Presbyter, and in October a Lay Discipleship Developer. It was intended to employ a Lay Pastor as and when a clear picture of the circuit emerged following the changes in personnel. For various reasons this did not happen. The work of the new staff has developed well, however in August our Lay Discipleship Developer resigned. With three Lay Pastoral Workers all of our 12 chapels and those who belonged to former chapels are offered regular pastoral care, freeing our Presbyters to look after the day-to-day management of the circuit. As churches have emerged from the effects of COVID 19, we have seen many of them returning to familiar patterns and beginning to think about new ways of being church in their local communities. Several are now open several times each week, with coffee mornings, ‘soup and sweet’ and toddler groups. With several key members either finding age has slowed them down or for other reasons they have left the church or are unable to attend the work often falls on fewer people. We have however seen new members join several of our churches and this means we are at least keeping numbers near to where they were at the beginning of the year. The last year has stretched us as staff and Circuit Stewards especially with our superintendent on sabbatical from May to July. Looking to the future we are now in the process of recruiting further staff members to ‘pastor’ churches and help develop disciples.
Aims and Activities
Our Circuit mission statement is: To make disciples through Christ-like living and so to build the Kingdom of God. In practical terms this translates as:
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Ensuring the spiritual wellbeing and development of the local Churches of the Circuit, through leadership, pastoral oversight and care.
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Supporting local Churches in their distinctive forms of mission and outreach and their efforts to demonstrate and share the love of God.
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Creating and developing appropriate means of mission and outreach to serve the present age.
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Supporting our Circuit ministry team of two full time presbyteral ministers, three part-time lay workers, and one part time administration officer.
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Maintaining and insuring the five Circuit Manses, and the payment of appropriate utilities for the two Manses occupied by Circuit staff.
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Using all assets and resources for the purpose of the charity
Brief financial review of the year
Stipend expenditure has increased each financial year in line with conference approved increases Together with lay workers’ and staff wages this forms the majority of our spending in the year under review and have all increased by the percentage increase of the living wage. Circuit contribution to the District and Connexion has enjoyed a small reduction in the year.
It was most gratifying to see that churches continued to pay their assessments at the agreed levels.
There were no significant projects running during the year however two items are worthy of note. The sale of land at Penponds is almost concluded after several years of patient work. The property at Kehelland has been refurbished using much of the funding left to the society via a bequest. We are now endeavouring to create a long term lease for the premises, to a Community Interest Company who plan to run the building as a community centre for the village and will retain the facility for worship when requested.
Plans for 2022/23
Whilst the pandemic may be behind us in many ways, it continues to impact our plans. The recruitment of one additional pastoral worker to the new post of a Discipleship Developer was a good step forward however, this person did not stay with us and has since left their post. It is still our mission to grow the witness in our circuit. To this end, our financial plan for 2022/23 retains the same basis of 2 full time ordained staff and the number of lay workers has a net increase of one. The Circuit has endeavoured to respond to the financial concerns of its churches by engaging with them in making future plans. We have reflected a further 2% reduction in assessments from district level and have embarked on our ‘Hybrid/Digital Church’ project which we anticipate will help to alleviate our shortage of preaching resources on Sundays.
Basis of preparation and legal framework
The Charity's annual report and accounts for the year ended 31 August 2022 have been prepared in accordance Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective 1 January 2019)
Full Name of Charity: Camborne, Redruth and Hayle Methodist Circuit Registration Charity Number: 1139494 Date of registration: 23[rd ] December 2010 Main communication address: - Circuit Office, 5 Mount Pleasant Close, Camborne, TR14 7RZ
The members of the Camborne Redruth and Hayle Methodist Circuit meeting are the Charity Trustees, membership being made up of circuit office holders, ministers and representatives appointed by the local churches. Full membership is shown as Appendix A to this report.
Circuit Ministers and officers:
Active Circuit Ministers:
Rev Keith Osborn (Superintendent) Rev Ray Borrett – from September 2021
Circuit Lay Workers: Ms Sue Voisey
Mrs Sharon James Mrs Claire Beavis – from September 2021 Ms Kathryn Vaughan – from October 2021
Circuit Stewards Mrs Jayne Rogers (Senior) Mr Nick Navratil – (Treasurer) Mrs Jeanette Wilson Mr Jason Hurr
Administrator Mrs Angela Rice 20
Independent examiner for 2021/22:
Mr Edward Pascoe, Pryor Begent &Fry, 13-15 Commercial Road, Hayle, TR27 4DE Investment Bankers:
HSBC Bank PLC, 17, Boscawen Street Truro.
Central Finance Board of the Methodist Church and Trustees for Methodist Church purposes
Objectives and organisation
Charity objective is to act as a Resource provider within the area around Camborne, Redruth and Hayle for the Methodist Church:
The purposes of the Methodist Church are and shall be deemed to have been since the Date of Union the advancement of:
a) The Christian faith in accordance with the doctrinal standards and discipline of The Methodist Church;
b) Any charitable purpose for the time being of any Connexional, District, Circuit. local or other organisation of The Methodist Church;
c) Any charitable purpose for the time being of any society or institution subsidiary or ancillary to The Methodist Church;
d) Any purpose for the time being of any charity being a charity subsidiary or ancillary to The Methodist Church
The organisation and resourcing of regular public acts of worship open to members of the church and non-members alike. The teaching of Christianity through sermons, courses and small groups. The resourcing of pastoral work including visiting the sick and bereaved. Taking religious assemblies in local schools. Promotion of Christianity through the staging of
events and services. Provision of chaplaincy services to the local university and other institutions.
Public Benefit
We confirm the trustees have had regard to the Charity Commission's guidance on public benefit.
Structure, Governance and Management
"The governing document for the circuit is the Deed of Union (1932) and Methodist Church Act (1976) Detailed governance arrangements are outlined within the Constitutional Practice and Discipline of the Methodist Church by order of the annual conference (CPD).
Circuit Meeting
The Circuit Meeting met four times during the year ended 31st August 2022 This meeting deals with essential business and also allows for other issues to be explored such as mission, resources and training. News is also heard from individual chapels of developments in their work and witness which may be of wider application in the Circuit.
Local Preachers' Meeting
Local preachers meet three times and these meetings are generally well supported. With church buildings closed during the period of lockdown, some preachers have contributed to the online worship offered weekly.
Circuit Finance Committee
The Circuit Finance Committee meets twice a year to review the annual statement of accounts in depth, in November and to discuss the budget for the forthcoming year, in May. The meeting provides the opportunity for the Treasurers from all the churches in the Circuit to meet to share ideas and discuss any financial pressures that may affect each individual church.
Circuit Leadership Team
During the year the Circuit Leadership Team met frequently to discuss Circuit Policy, property and finance matters. Recommendations were brought for consideration by the Circuit Meeting. The constitution of this meeting is the staff team plus Circuit stewards.
Circuit Events
Circuit have been slow to recommence since Covid restrictions were lifted however we continued to use and develop internet and media facilities to enable continuation of worship in different forms for different places.
Trustee Training
A range of guidance produced by Methodist Connexion to support the effective running of the circuit specifically the leaflet 'The Role of a Trustee in The Methodist Church' is given to all new Circuit meeting members as induction to their role as trustees.
Related Parties
The Circuit is part of the Cornwall and Isles of Scilly Methodist District and is also accountable to the Methodist Conference.
The following Methodist Churches are linked to the circuit:Angarrack, Barripper, Beacon, Camborne Wesley, Centenary, Gateway Porth an Dre, UMC Four Lanes, Hayle, Illogan Highway (closed December 2021), Mawla, Porthtowan, Troon and Wall.
The Wesley Centre is part of the outreach of Camborne Wesley Chapel
which is linked to the Circuit.
Risk Management
The major risks have been identified and recorded by the Circuit Finance and Property Committee with professional advice taken as required. The day to day business of the Circuit has been conducted by internet and social media platforms. Worship continued online and churches did begin to reopen for worship following the prescribed restrictions and Methodist guidelines for safe gatherings.
There is a regular annual review process undertaken and recorded. Income and Expenditure is being monitored in total and is compared with the approved annual budget on a half yearly basis to detect trends as part of the risk management process to avoid unforeseen calls on reserves.
Safeguarding
Every person has a value and dignity which comes directly from the creation of male and female in God's own image and likeness. Christians see this potential as fulfilled by God's re-creation of us in Christ. Among other things this implies a duty to value all people as bearing the image of God and therefore to protect them from harm.
Methodist Connexional practice outlines commitment to the following principles:
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the care and nurture of, and respectful pastoral ministry with, all children,
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young people and adults
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the safeguarding and protection of all children, young people and adults when
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they are vulnerable
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the establishing of safe, caring communities which provide a
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loving environment where there is informed vigilance as to the dangers of abuse.
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We will carefully select and train all those with any responsibility
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within the Church, in line with Safer Recruitment principles, including the use of criminal records disclosures and registration with the relevant vetting and barring schemes.
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We will respond without delay to every complaint made which suggests that an
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adult, child or young person may have been harmed, cooperating with the police and local authority in any investigation.
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We will seek to work with anyone who has suffered abuse,
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developing with them an appropriate ministry of informed pastoral care.
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We will seek to challenge any abuse of power, especially by anyone in a
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position of trust.
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We will seek to offer pastoral care and support, including supervision
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and referral to the proper authorities, to any member of our church community known to have offended against a child, young person or vulnerable adult.
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In all these principles we will follow legislation, guidance and recognised good
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practice
The Camborne, Redruth and Hayle Circuit commits itself to ensuring the implementation of Connexional Safeguarding Policy; government legislation, guidance and safe practice in the circuit and in the churches.
The Camborne, Redruth and Hayle Circuit commits itself to the provision of support, advice and training for lay and ordained people that will ensure people are clear and confident about their roles and responsibilities in safeguarding and promoting the welfare of children and adults who may be vulnerable.
Reserves Policy
The Reserves Policy for the Circuit is to hold a minimum sum equivalent to six months' average expenditure. This should be sufficient to meet any unforeseen item of major expenditure on manses and/or to be able to continue short term funding planned activities in the event of any inability to raise the full Circuit Assessment from churches.
Typically, the Circuit reserve has been a sum of £100,000. In previous years, this sum has been reduced to £ 50,000 to take account of some exceptional outlay in refurbishment projects on manses. It is now considered appropriate to return this figure to the £ 100,000 level and we recommend this course of action.
Name of Circuit CAMBORNE, REDRUTH & HAYLE Circuit No 1211 Statement of Financial Activities (SOFA) for the year ended 31 August 2022 Notè8 to Clrcult Model 08slgnatod G•noral Fund TrLtst Funds accounts IUnr8strlctedl IUnrestrict8dl lunre5trictedl RoStrtct8d Endowment Funds Funds Totol 2021-22 Income 1 Donations 8j legac 2 Income from monetary inveslmenls 3 Income frotn inveslmenl prcpert 4 Assessments on Churches 5 Capital ReIp1S 6 Grants reiVed 7 Other¢harii8ble Income 8 Totsl income 2.946 3,730 32,552 173,524 32,552 173.524 78,996 285,856 2,946 288,802 Expenditure 9 Grants and don8llons 1Q SaLqrres 8nd associated costs 11 Prop8ty maintenance 12 Connexional assessment & model trust ¥y 13 District Assessrnenl & L 14 Depreciali 15 Offi eypenses 16 Other outgoings 17 fotal Charitable expendltUTe 18 Gainslllossesl on monekry investsnents 19 Gal1110*$esI on investment tKoperties 20 Net Incomellexpenditrjrel 21 Transfers bet¥veen funds 22 Other gainslllossesl 23 Not mov8m8nt in funds 24 To1 funds browhtfoNgrd 25Totsl lunds carried forward 153.945 106.864 153,945 106,864 53.S76 $27 6.561 1,918 323.391 53,576 527 6,86 1,918 323.391 137,5351 12.9461 134.5891 12.946) 140,481 213.846 173,365 2.946 36,903 39.849 137,5351 613,065 57153 328,879 32B,879 33,437 33.437
Name of Circuit CAMBORNE. REDRUTH & HAYLE Clrcult No 1211 statement of Financial Activities (SOFA) for the year ended 31 August 2021 Not8S to Circuit Modèl Dèsignatèd thè G¢noral FUNI Trust Funds accounts IUnr8gtrlctsdl Iunrestrlctadl (unrestrict) R8strtct8d Endowm8nt Funds Funds Total 2020-21 Income 1 Oonalions and legaaes 2 Income from monetary Investsnenls 3 Income from investment propert¢s 4 A55essrnents on Churches 5 Capital Receip1$ 6 Grants rÈoived 7 Oih&r charilable In¢ome 8 Total Income 1.910 1,910 1,066 16.149 181.816 143,595 1580 12,039 350 16,149 181,816 716 143,895 2,580 12.039 212,934 144,311 Expendlture 9 Grants and donauons 10 S8laries and associated co%t5 11 Propety mainlenance 12 Connexional assessment & rr¥)del trust levy 13 District Assessment & Le 14 Depreoalion 15 Offi¢e expenses 16 Other oulgoings 17 Total charitabl& 8xp8ndilur+ 18 Gainsloossesl on monetary investments 19 Gainslllossesl on inve51menl properiie$ 20 Net Incomellexpondlturèl 21 Tran$fers bekneen funds 22 Other gainslllossÈsl 23 Not movement In funds 24 Total fund5 trmughl foMar¢J 25Total lunds cayrled fovword 28.405 28,405 104,279 23,S47 42,230 19.562 175 7.256 15,SB4 241.038 104,279 20,967 42.230 10.861 175 7.256 15.135 200,903 2.560 8,701 449 40,135 12,931 104,176 1.910 118,117 12.031 201.815 213.846 104,176 224.703 328.879 1,910 34,993 36.903 118,117 494.948 613,065 33,437 33.437
Name of Circult CAMBORNE. REDRUTH & HAYLE Clrcult No Balance Sheet as at 31 August 2022 Gerteral Fund Iunrestrfctedl Clr¢uit Modfrl Trusts Iurwestrlctedl De$lgnated Funds Iunrestrfctedl Restrfcted Funds Endrwirnent Fund5 Tots15 2021122 Totals 2020121 Notes to Ihe Accounts FlxeLI Assets Crcuil IAanse5 & E Inwe51menl erties InVests ent 45.000 10,000 645.000 810.000 128.883 1.583.883 ,521 495.00( 137.52.- 1.593,05( 128.883 128,883 Totalfixedassets 1A55,QOO Curr4ntAsso& Deblors Loan$ b the ¢lr¢uit Inve$imentswith TMCP entral Finan Board De C8sh ai Bank and In hand Totslcurr•ntasstts 7,251 7,251 6.59 237.117 237,117 178,326 104,699 $27,393 328.87 280.92t 43,09, 6É1.491 sits 178326 104,699 290,276 Z37,117 redilors due m underl Grants payabje wilhin 2021-22 TotsicUr£ liablllues Netcurrenta5SetskbllS 40679 40.679 48.95f 249 $97 237117 rotaAa58ets its¥ ¢urrnntllabllltl•s 1,7D4,597 237,117 128,883 2,070,597 2,205.581 Longterm lÈabilties after mDre than one ear Gran able after 2021-22 LoaD$kn Circuil Idye Jvetassets 1.704,S97 237,117 128.B83 2.070,597 2.205.68', Fund5 ofthe Cfvcult General Fund Unrestricled Circuit Mode4 Trust Fund IUnre$trithdl Oesign8ted Fund5 Iunresthciedl Total UnrestrlctedFyts Re51ricted FuJE Enth¥menl Funds 1.704.5$7 1.704.597 237.117 1,ee8,84 328,87 141,36 2.012.00 5S,98 137,52 2.205.58 237,117 1.941.714 128,883 128,883 1070,$97 Total Funds 1,704,597 237,117 Signed ircuit Treasurer
CAMBORNE REDRtJlH HAYLEMETHODISTaRCLIIT-14UMBER 12101 NOTESTOTHEACCOUNYS Ye?r¢o315fAuyst2011 l B$15 tsfAtctsuntl Thefivno41 sratpm@ntshavebeen prered underthe CharltlesAct 20115n accordance wSth the 2014 Ve0 olAtcovnUnd RpDrtSbY Chèritles..Statementof RecDmmended PracbCe150RPlap4GhlEt0 char1ts eParingthe èC¢OUntS in accordan Vdlth FRS102-the Charltle5 SORP IFR51QII 2 Fhd$ Thefunds held n51r¢ute.. Genernl FdShE110rartyPjpSeofthe Circuitwhlth èreUniestrlcted.ThearcultModlTrusiFund h45W UFPD5e5dEfined inStandin8 Qrder5and lscJte80rf5ed a5 unrestrlcEEd. Re5trirted fund5whitharE held fora purwse.There are no Endowmentfunds. Detalls of exh rnaterfal fundare dlsd05ed In the ffnal noreto these ?¢COUDts. AnYfundsffl4Yb represented by mDrp tha JustSh. 3 •A£ountlr4Pollde5 The5e?fCQlmtshave beeh prep3rEd¢n the $1$01 historical costexceptthat Investments èle shown at thelrrnarketV41ue th&end of the¥ear. onthe atcru4Lsba5iJto true¥nd faIrPftPe tsrcuit'5financi41 ptIOnnltie5 hKomlwfiesour Inrome 15 IndudEd inthe5tsrementof FlnancialActiYltleslSOFAI when the CiruitbecornesenDtled 10t resources, andthet[s&re reasonètly¢ertain they willre¥ethe re50urce5', andthetnonetaryvalue Cart bemeèsuiedwlthsuFfioentrellat¥lity. Resour Empended Thi5 i5reioBni5ed when4 li4bility isinrurred, or J conMruriiveiliwipn pri5e5, thgt re5ultsinth2 payrnent un2V¢idab. Liabilities are rero¥ni5ed as 500na5an OUtoW olecononNcbenefitls cOndered more15kelythan notunderthelyalorcw5trwtS¥PobN¥an cottthttln8the Clrcuitt4 payout résource VAT ntethecircuit1snotvATre8tste1, all lTrputVATlsthareedwlth the e¥pense5to%thh Itrefers TarfblefixedaSSEts foruse by1 Clrcutt TanBlble fixed aet5 are capltalised If theycan beusedformore than onkyear, aTrJ c05t ot least £5flJ. Thefreehold propertiesar2 shownln the ?ccount5atvariousdEemedvalue& propÈrtyin Mounl PleasantClW2rerevaIuerfln 2Wg110, I P4rcQie5 lsbased the purchase price 2016117. Va4ue of North Roskearjloadwas Increased In 2017118tQ Show lue. PlOdepreCiati 15 providEdonthe6ull(fin¥ bec4u5Ethetru5teE5 ronsiderth2 Iufrenl re51dua1 fairwtse ofthe manse burndlny Ion propertyhasbpen revlew•J lor Imp31rnient.. InsrelPrawrti Investment prOp?e5- Ffomtime to tltnèthÈ c1rtLty1de$ldeThti31 properties Ifomwly mansesl whlch1sgJrplustoitsnormal 5tsffingrquirm8nr%When th151sthe caseand it 153nJdpatedthatthepropertyis unlikelyto bp u58d a5 a manse,thq property Is drIed a5 InwtmentPrrJperty. Ther1UithaS three swh prorertyJt 17 Moum Pleasama¢rye. 161 North Ro5keirRo8d, and I Parcaie5 Investemehts Investfflenuire vJlued the ban sheetèt Marketvalueat theyearend. Investment incornels1Uded[D iFe Jxountswhen ceivaNeand ènyEaln50r 105585 on revaluation at thEyearEndarE shown inth8 SOFA. Dtkns andPrepayMeTrts P4wnentin èdvanrelnduded Intheaccounts sPeCtO11 m5n5stersStlpeThY5. whlth arep31d IDAu8ust ZOZDrelir¥tothE 1020121 Credhrs Creditorslrtludè bDth$Udry expw5e5 and 5pedfi(allyihe Istquartera55essrneM re1ve41nAulUSt 2022 and r&11n$tothè zv2¥23 fiTraDdal year 4 PawmeThttolNs*e5 Therewereno paentS madetothe trusthe5f0rathDllal SErh¢ES pfDwdedt thE uriwtby B8rEemEntwIththefjr¢lrnet[n&thl5 Exdu5p2r5 Tw5EeesExpenses 202D Numberof trtee$ Total am01 £72 £0 5 FeoyfarexaffilonQraudof accounts IrOep?ndent ex3minersleesforreportlotslhÈdccotsts. ljtherfees le.8. al,a¢¢0t3nLry SEr@s) pald tothelndependEntex4mlneroraudittsr 202 22 2020 6 pald •mpio Staff CoxsDurjnethEYearwere'. Stlpendsand laywtsrket5l1ncl.ernpPr5 Nl & PPr&oncantrfJOH5l Apprenyce5PLe Trt¥dlMileaieNJlowanrE5et£ TotslStJflC05ts 202 20Z 146.624 IOL292 431 2.076 103,749 6,732 1,945
CAMBORNE tiEDRUTH HAYLE METHODisf CIRCUIT- NUMBER 121 7 TANGIBLE FIXED ASSETS Yearto 31st August 2022 Poyrnent5 Qn FixtVTes, fittiny aThd e4uipment Other buildinE5 a55et5 Under on*rurtion Land Manses Total Cort or Valuation 8alance brought forward Addition5 Revaluations l+l.I Di5POsals l-l Transfers ' l+l_I Balance carried forward 960,OUO 495.0 1,936 1,456,936 11,9361 11.9361 960.000 495,000 1.455.OLhJ Accumulated Depreciation Balan brought forward 1.409 L409 Depreciation charge foryear l-l Revaluations +/-I 11,4091 11,4091 Transfers Balance carried forward Net bookvalue Brou ht forward Carried forward 960,000 960,iXIO 495.000 495,000 527 1.455,527 1.455.000 ANALYSIS OF FUN Vearto 3tst August 202Z Deslgnated Fund Name Openlng Balance Ineomlng Resources Resources Expended Transfers Closlng Balance Purpose of thefund The pUrp£e of the tund Is for use 3t the discretion of the trustee5 in the furtherance of the general objertives of the Circuit and which have not been Pro re Stationing of Mini5ter5 General 213.846 288,801 1323,3911 12,9451 176.311 Manse Fund 10.000 io,co) Reloc4tion Fund 2.000 Youth Worker Fund 2,357 2.357 Youth work Gateway Project 19.080 19.080 Supportin8 the new bulld Tota15 Z47 283 323 391 215 252 Restricted Fund Name Openlng Balance Incomlng Resources ReSoUrS Expended Tran51ers Closing Balance Purpose otthefvnd Supportlng mlnlstry Irestritted fund) Mlnistry Maintenance Fund 36,9D3 2.946 39,849 Tots15 36.903 9 ENDIWIMENTS Endownment How is capltal Invested The current value of the pltal Annual Income Purpose ofthe fvnd Fore Street Permanent Endownment Hee 5EeTrusr12058 128.883 2.946 Supporting ministry IstriCted fundl Totals 128.883
Name of Circuit.. Cambome Redruth & Ha le.. No...1211 Declarations and Scrutiny I confimi that these accruals-based accounts for the year to 31 August 2022 have been prepared from the records of the Circuit and that they include all funds under the control of the Circuit meeting. Signature of treasur Name and address of treasurer... 14rtyL.¢.......................... Postcode. IA2¥4H Presentation to the Circuit meeting I confi'rm that the annual report and accounts fo the year ended 31 August 2022 werelwill ' be Signature of the Chair of the meeting.. Name of the Chair of the meeting". . Date Jo.. .. Independent Examiner's Report to the Trustees of the Camborne, Redruth & Hayle Circuit Charlty Number". 1139494 Responsibilities and basis of report I report to the trustees on my examination of the accounts of the . Circuit for the year ended 31 August 2022 set out on pages As the Circuit's trustees. you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 ('the Act'i. I report in respect of my examination of the Circuit's accounts carried out under section 145 of the Act and, in carrying out my examination, I have followed all Ihe applicable Directions given by the Charity Commission under section 145{5){b) of the Act. delete or circle as appropriate
Name of Circuit: Cambome Redruth & Ha .No...1211 Independent Examiner's Statement rrhe Circuit's gross income exceeded £250,000 and l am qualified to undertake the examination by being a qualified member of (insert name of applicable listed body)]. Delete I l if not applicable. I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination (other than that disclosed below") which give me cause to believe that in, any material respect.. the accounting records were not kept in accordan with section 130 of the Act., or the accounts do not accord with the accounting records-, or the accounts do not comply with the applicable requirements concerning Ihe 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 Delete if not applicable i.e. all R&P accounts the trustees, annual report is not consistent with the accounts Delete if not applicable i.e. all R&P aGcounts. 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. I havelhave not. obtained independent verification of all investments with the Trustees for Methodist Church Purposes or held in other trusts, bank balanS and funds at the Central Finance Board of the Methodist Church which are individually in excess of £10,000 (ten thousand pounds) at the balan sheet date. Signature of independent examiner Name of independent examiner.. Relevant professional qualification of independent examiner.. Name of fi (where appropriate).. Address.. rn.kJi............................................................ Post Code: f.Eg7FPL- Date: delete or circle as appropriate March 2023
ame of Clrcuit.. Declarations and Scrutiny confimi that these ac¢wals-based accounts for the year to 31 August 2022 hav8 been prepared rom the records of the Circuit and that they include all funds under the Control of the Circuit neeting. ?Ignature of trea3ur . Date..&.'. r!A .&z3 4ame and address of treasurer ... Hfiy&fy.......................... Po•tCode..rA resantatlon lo thg Clrcult maetlng confirm that the annual report and accou )re8ented to the Clrcult meeting held on.. ts f the year ended 31 AU81 2022 werelwill ' b•
lgnature of the Chair of the meeting-. ame of the Chair of thg meetlng- Independont Examlnerfs Report to the Trustees of tho Camborne, Redruth & Hayle Clrcult Charlty Number: 1139494 1osponslbllllle8 and ba818 ol report report to the trustees on my examination of Ihe accounts of the . ircuit for the year ended 31 August 2022 set out on pages . As the Clrcult's Irustees, you Ire responsible for the pParatIon of the accounts in accordance vAth the requlrements of the haTitie¥ Acl 2011 I'the ACYI. report in respect of my examination of the Circuit's accounts carried out under section 145 of the ct and. in cgrrying out my examination, I have followed all the applicable Directions given by the "harity Comrni55ion under section 14515)(bl of the ACL ' delete or circle as appropriate
Indgpondent Examiner's Statement The Circuit's gross income exceeded £250.c aThJ l am qualthed to undertake the examination ?y being a qualified member of (insert name olapplicable listed bodyll- Delete I l rfnot applicable. I have completed my examinats'on. I Confi that no material matters have come to my attention in -onnection with the examination (other than that disclosed belo) vthich give me ¢ause to believe ',hal in, any material respect". the accounting records were not kept in accordance with section 130 of the Act.. or the ac¢ounl$ do not accord wth the accounb.ng record$', or the accounts do not comply wlh the applicable requirements concerning the form and content of accounts set out in the Charities {Aceounts and Reports) Regulab"ons 2008 other than any requirement that the accounts give a 'true and fairf view. which is rsot a matter considered as part of an independent examination Delete if not 8ppli¢8ble i.e. 811 R&P accounts the liuslees. annual report is not consistent with the accounts Delete if not applic8bl8 i.e. 811 R&P accounts. I have no concerns and have come across no other matters in connection wlh the examination to hi¢h attèntion should be drawn in this POrt in order to enable a proper understanding of the accounts to be l¢hed. I havelhave not. obtained independent verification of all investrnents with the Truste89 for Melhodi$l Church Purposes or held in other trusts, bank balances and fvnds at the Central Finance Board of the Methodist Church Nthich are individually in excess of £10.000 (ten thousand pounds) al the balance sheet dale. Signature of independent examiner Name of independent examiner. .............. Relevant professional qualificati of independent examlner. Name ol fim (where appropriatel.. Address.. r.f.r.7. .r.n.kai............................................................. Postcode:..... ' delete or cirde as appropriate March 2023