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2021-12-31-accounts

THE BENEFICE OF ST DUNSTAN, ST PETER AND ST MILDRED, CANTERBURY

ST DUNSTAN WITH HOLY CROSS PCC

REGISTERED CHARITY 1140343

ANNUAL REPORT AND FINANCIAL STATEMENTS OF THE PARISH CHURCH COUNCIL

FOR THE YEAR ENDED 31[ST] DECEMBER 2021

RECTOR

REV. JO RICHARDS

Independent Examiners

Richard A. Jones SHPD Accountants 10 Littlebourne Road, Maidstone, Kent, ME14 5QP

PARISH OF ST DUNSTAN WITH HOLY CROSS PCC

CONTENTS

Pages
Annual report 1 - 6
Independent examiner's report 7
Statement of financial activities 8
Balance sheet (detailed) 9
Statement of assets and liabilities 10
Fund movement summary 11
Analysis of income and expenditure 12-14
Notes to the financial statements
Accounting policies 15

THE BENEFICE OF ST DUNSTAN, ST MILDRED AND ST PETER, CANTERBURY

ST DUNSTAN’S WITH HOLY CROSS, CANTERBURY PAROCHIAL CHURCH COUNCIL

ANNUAL REPORT FOR THE YEAR 2021

Aim and purposes

St Dunstan’s Parish is part of the Benefice of St Dunstan, St Mildred and St Peter and the Rector is the Revd Jo Richards. St Dunstan’s with Holy Cross Parochial Church Council (PCC) has the responsibility of co-operating with the incumbent, in promoting in the parish the whole mission of the Church, pastoral, social and ecumenical. The PCC also safeguards the fabric of the church and has responsibility for maintenance of the church hall and the former curate’s house at 69 Whitstable Road, Canterbury.

Objectives and Activities

In line with the Charity Commission’s guidance on public benefit, the PCC aims to involve both those who attend church regularly and the wider parish in worship at our church and in being part of the community of St Dunstan’s. It therefore takes very seriously its responsibility of maintaining the fabric of the church and the church hall. A group dedicated to fundraising for this purpose, the ‘Friends of St Dunstan’s Church’, is supported by the PCC, and has representatives from the PCC on its committee.

Achievements and Performance

Prayer and Worship

During 2021, the normal pattern of services and church attendance was disrupted owing to the continuing coronavirus pandemic, although to a lesser degree than in the previous year. Churches which had been closed at the end of 2020 during the national lockdown, opened again at the end of March. Fortunately, it was possible for many to watch the celebration of Holy Communion each Sunday online, either on YouTube or live streamed. Daily Morning and Night Prayer were also available through the same medium as well as other special services. Since the lifting of government coronavirus restrictions in July, this practice has continued and the Benefice has maintained its online congregation.

While services have continued to take place, with some restrictions in place, owing to the lack of availability of clergy, the frequency of them has altered. The 8.00 a.m.said Communion Service remains a weekly celebration, and the 10.00 a.m. Communion Service now takes place at St Dunstan’s on the 1[st] and 3[rd] Sundays of the month, with Communion being celebrated at St Peter’s Church at 9.30 a.m. and at St Mildred’s at 11.00 a.m. on the 2[nd] and 4[th] Sundays. Where there is a 5[th] Sunday in the month it is celebrated in each church of the Benefice in turn.

Page 1

Where Youth and Family worship is concerned, the coronavirus pandemic had a serious impact on activities. The last meeting of Messy Church took place in March 2020 and due to restrictions and the need for social distancing, it was not possible to hold further meetings. With the lifting of lockdowns in the summer of 2021, it was finally possible for Messy Church to begin again from 3 October, with some restrictions in place and less mixing between families and individuals than previously. Happily, it was possible to hold the Crib Service, a means of outreach to the community which has been a tradition at St Dunstan’s for many years, on Christmas Eve.

St Dunstan’s Mothers’ Union which had not been able to meet after March 2020 began holding meetings again after July 2021, in the safer environment of the Church Hall, rather than in the branch leader’s home. During these months a series of afternoon services for the MU have been held in St Dunstan’s Church, and we have been happy to be joined by some of our friends from St Mildred’s and St Peter’s MU.

In the early part of 2021 a large number of funerals were conducted in the church with a limited number of attenders. As restrictions were eased it was possible for more people to be present to give thanks for lives ended. From July onwards, it was also possible to celebrate weddings and baptisms again. All these services for life events are an important part of our outreach to the community. All are welcome to attend any of our services. Together with St Peter’s and St Mildred’s Churches, we registered as Inclusive Church before the pandemic. This has now taken a step forward with the arrival in July of the Revd Jenny Walpole, Curate to the Benefice. As part of her training, she is undertaking a project to bring Open Table, a movement which provides safe space for LGBTQIA people to hold a service, containing a Eucharistic element, to the Benefice. Eco-Church also remains one of our priorities as we practice our concern for God’s world through this.

There were 78 people on the Church Electoral Roll at 31st December 2021, 49 of whom were resident and 29 of whom were non-resident within the parish. The average Sunday attendance counted for the year in October was 62 adults and 2 children, combining both services. The attendance for Messy Church in October was 7 adults and 17 children.

The Church

In normal circumstances, St Dunstan’s Church, is left open during throughout the day for visitors and for private prayer. This was facilitated by a team of parishioners who unlocked the church in the morning and locked at the end of the day. It was not possible for this practice to continue in the early part of the year. Now a new team of lockers and unlockers has been compiled enabling the church to be open for all during the daylight hours.

The PCC is aware of its responsibility to maintain the fabric of the church building not only as a place of worship, but as part of our historical heritage. This is carried out by the Fabric Committee which meets regularly in normal circumstances, to oversee renovation and repair as part of the quinquennial (five yearly inspection of church fabric) and reports back to the PCC. The ‘Big Plan,

Page 2

discussed by the PCC before and during the pandemic, a move to make the church a centre for pilgrimage and prayer by Mission through Heritage, remains very much on the agenda.

Pastoral Care

Members of the congregation and community who are ill or going through difficult times are visited by the ministry team.

Many of the activities and organisations, open to congregation, the wider parish and beyond, which formed part of St Dunstan’s outreach and aimed to benefit all, including Tiny Tots, Saturday Morning Coffee, and the Lunch Club have been able to function again with the lifting of covid restrictions. As yet, it has not been possible to hold a Christmas Tea, and the Art and Craft Group has closed, since there was no-one able to oversee it. St Dunstan’s is now no longer the Café and distribution centre for the Canterbury Food Bank as its management decided on a different method of distribution of food parcels.

The Thomas More Fellowship continued to discuss plans for making the Roper Chapel a more inviting place for the many pilgrims and visitors who come in normal times as part of the ‘Big Plan’ mentioned previously.

Mission and Evangelism

St Dunstan’s supports several missions as part of our ministry of outreach.

The Parish Magazine which halted publication in March 2020 has re-emerged in the form of a newsletter as part of the overall Benefice publication. The Magazine Committee, meeting in July came to a decision to re-launch publication in a different format with shorter, more vibrant articles. This is available both online and as a physical copy as part of the Benefice newsletter along with sections from each of the other churches and also as a separate entity for organisations such as the Lunch Club and for people who come to the coffee mornings. It was agreed by the PCC in December that this would be an experiment due for review in June 2022.

The Benefice website, www.dunstanmildredpeter.org.uk, is a valuable means of communication. So, too, are the many banners which have been purchased and displayed outside our various churches, and the digital presence, keeping people informed about our faith, services, and other matters.

Structure, governance and management

The method of appointment of PCC members is set out in the Church Representation Rules. All who attend Church regularly are encouraged to register on the Electoral Roll and stand for election to the PCC. There were 5 meetings of the full PCC during 2021, and the Standing Committee met on 3 occasions. The average attendance at PCC meetings was 80%.

Page 3

The PCC operates through several committees which meet between full meetings of the PCC. These are: the Standing Committee, the Hall and Fabric Committee, the Worship Committee, the Magazine Committee, the Flower Guild, the Social and Fundraising Team, the Fellowship of St Thomas More and the Eco-Church Committee. The leaders of these sub-committees report back to the PCC.

Administrative information

St Dunstan’s Church is situated in St Dunstan’s Street, Canterbury. It is part of the Canterbury Diocese within the Church of England. The Benefice Office address is St Dunstan’s Church Hall, London Road, Canterbury CT2 8LS. The former parish of Holy Cross is combined with the parish of St Dunstan’s. The Parochial Church Council (PCC) is a charity registered with the Charity Commission. Its number is 1140343.

PCC members who have served from 1 January 2021 until the date this report was approved are:

Ex Officio Rector Revd Jo Richards Curate Revd Jenny Walpole from July 2021 Churchwardens Mrs Jayne Ward Mrs Sue Palmer

Representatives on the Deanery Synod :

Ms Elizabeth Turner (PCC Secretary and Deputy Warden) Mrs Jacquie Webber to APCM 2021 Mrs L Parsons from APCM 2021

Elected members :

Mr John Albin Mrs Laurienne Edwards Mrs Lee Edwards Mr Richard Edwards Mr Geoffrey Parsons (Treasurer) Miss Philippa Trewby Mr Martin Ward

Page 4

Financial Review

The figures are intended as a summary of incoming resources and expenditure. The 2020 figures are shown in parenthesis for comparison purposes.

Before transfers and revaluations, we recorded a net operating loss on all funds of £3,340 (net loss £17,249), and an operating loss in the General Fund of £6,082 (£14,134). However, our investments with the CBF Church of England funds increased in value by £45,518 which more than offset these operating losses. The operating losses are directly related to the Covid pandemic and will be explored in more detail below.

Receipts

Overall, total receipts for all funds for the year were £80,640 (£82,691).

General Fund receipts were close to last year £76,965 (£76,381). Within these figures, the total ‘giving’ figure, that is regular giving, donations, plate collections and gift-aid was similar to last year £43,771 (£43,397), These two-year totals were approximately £5,000 lower than the prepandemic year 2019 However, our regular givers maintained their giving and more people now contribute by standing order.

As all activities were again curtailed during the year, so all fundraising, including the Friends contributions, were £3,009 (£1,164), or £3,500 less than 2019. In addition, hall rentals were still low £4,396 (3,674), compared to £14,530 in 2019.

Parochial fees increased £3,758 (£1,739). Dividend and bank interest continued to contribute significantly to overall income at £10,980 (£10,970). Rent for the year from Whitstable Road was £10,308 (£8,807). It is noted that rents are received net of expenses incurred by the agents. One-off grants totalled £1,767 of which VAT rebates were £1,518 and £250 from KCC towards WIFI installation. Streynshams gave £515 toward a defibrillator.

Expenditure

Total expenditures of all funds for the year were £83,908 (£99,941).

Total expenditure in the General Fund was £83,406 (£90,515), of which the Parish Share was £46,175 (£45,467).

Utility costs were flat £2,920 (£3.035).

Church maintenance costs were £4,989 (£10,623). The main items were electrical work, £1,818; roof alarm £924; new alarm £672. Hall maintenance costs were £3,330 (£4,240). A new hall

During the year donations were made to charities from restricted and unrestricted funds of £3,911 (£4,693).

Page 5

Funds Carried Forward

Total funds carried forward to 2022 are £555,307 (£508,789) of which unrestricted funds carried forward are £168,047 (£160,797).

Reserves Policy

It is PCC policy to maintain a balance of reserves of unrestricted funds of between twelve and twenty-four months unrestricted payments. Such reserves would allow for most emergency situations that may occur and will help to cushion any future decline in incoming resources. Fund balances will be held in the bank current account and CBF Church of England Funds.

Page 6

INDEPENDENT EXAMINERS' REPORT

TO THE PAROCHIAL CHURCH COUNCILLORS OF ST. DUNSTAN WITH HOLY CROSS PCC

This report on the accounts of the PCC for the year ended 31 December 2021, which are set out on pages 8 to 16, is in respect of an examination carried out under Regulation 3 of the Church Accounting Regulations 2006 and section 145 of the Charities Act 2011.

Respective responsibilities of PCC members and examiner

As members of the PCC you are responsible for the preparation of the accounts; you consider that the audit requirement of the Regulations and s.144(2) of the Act does not apply. It is my responsibility to issue this report on those accounts in accordance with the terms of the Regulations.

Basis of this report

My examination was carried out in accordance with the General Directions given by the Charity Commission under s.145(5)(b) of the Act and to be found in the Church guidance, 2006 edition. That examination includes a review of the accounting records kept by the PCC and a comparison of the accounts with those records. It also includes considering any unusual items or disclosures in the accounts and seeking explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently I do not express an audit opinion on the view given by the accounts.

Independent Examiners' Statement

In connection with my examination, no matter has come to my attention:

I consider that I am able to sign this report on the basis of the above paragraph.

Richard A. Jones for SHPD Accountants 10 Littlebourne Road, Maidstone Kent, ME14 5QP

Dated: 07 March 2022

Page 7

St Dunstans PCC Canterbury

Statement of Financial Activities

For the period from 01 January 2021 to 31 December 2021

Unrestricted Restricted Endowment Total Total Prior year
funds funds funds funds total funds
Incoming resources
Incoming resources from generated funds
Voluntary income 45,014 2,968 47,982 55,922
Activities for generating funds 6,531 484 7,015 3,648
Investment income 21,288 21,288 19,777
Incoming resources from charitable activities 4,131 190 4,321 3,156
Other incoming resources 33 33 188
Total income 76,964 3,675 80,639 82,691
Resources used
Cost of generating funds
Cost of generating voluntary income 410 110 520 80
Charitable activities 80,324 823 81,147 97,077
Governance costs 2,312 2,312 2,784
Total expenditure 83,046 933 83,979 0 99,941
Net income / (expenditure) resources before transfer (6,082) 2,742 (3,340) (17,249)
Transfers
Gross transfers between funds - in 6,510 6,510 7
Gross transfers between funds - out (4,843) (1,667) (6,510) (7)
Other recognised gains / losses
Gains / losses on investment assets 18,174 13,408 18,275 49,858 17,657
Gains on revaluation, fixed assets, charity's own use
Net movement in funds 7,249 20,993 18,275 46,518 408
Reconciliation of funds
Total funds brought forward 160,797 123,518 224,474 508,789 508,381
Total funds carried forward 168,047 144,511 242,749 555,307 508,789
Represented by
Unrestricted
General fund 168,047 168,047 160,797
Restricted
Agency collection
Church Fabric 122,621 122,621 104,449
Community Outreach 1,151 1,151 1,067
Donations to Charities
Flower 220 220 464
Friends of St Dunstans 10,193 10,193 9,638
Friends of Thomas More 643 643 565
Hall Fabric Fund 1,105 1,105 590
Music 5,748 5,748 5,748
Rector Discretionary Fund 349 349
Support of Worship 55 55 55
Tower Fund 1,485 1,485
Youth Development 943 943 943
Endowment
Building 96,722 96,722 96,722
Endowments 146,027 146,027 127,752

Page 8

St Dunstans PCC Canterbury

Balance Sheet detailed

Balance Sheet detailed Balance Sheet detailed Balance Sheet detailed
As at
As at
31/12/2021
31/12/2020
6451: Hedley & Lowe Legacy Investment Fund
6452: Hedley & Lowe Legacy Property
Total
Fixed assets
6442: Watkins Memorial Investment
26,528
23,208
6440: Halestrap Legacy Investment
108,319
94,763
6431: 69 Whitstable Road
3,450
3,450
6432: Church Hall
93,272
93,272
6441: Helmore Bequest Investment
11,180
9,781
6450: Cheyney Legacy Investment
45,755
40,029
Total Fixed assets
495,221
445,363
6448: Rees Legacy Investment income
606078004S
73,902
64,653
6449: CBF Property Fund 001P
25,624
22,425
21,148
18,508
86,042
75,273
Current assets
6501: Bank current account
24,087
27,781
6510: CCLA (CBF) deposit account
36000
36,000
6521: Revenue receivable


6590: Cash in hand
199
120
6520: Prepayments


6620: Creditors for goods services


6699: Agency collections
199
475
Total Current assets
60,286
63,901
Liabilities
6610: Accruals Deferred Income


Net Asset surplus (deficit)
555,307
508,789
Reserves
Excess / (deficit) to date
(3,340)
(17,249)
Z04: Accounts Payable


Total Liabilities
199
475
Endowment
242,749
224,474
555,307
508,789
Designated


Restricted
144,511
123,518
Total Reserves
555,307
508,789
Represented by Funds
Unrestricted
168,047
160,797
Z01: Starting balances
508,789
508,381
Z02: Gains and losses on investments
49,858
17,657
26,528
23,208
108,319
94,763
3,450
3,450
93,272
93,272
11,180
9,781
45,755
40,029
73,902
64,653
25,624
22,425
21,148
18,508
86,042
75,273
495,221
445,363
24,087
27,781
36000
36,000


199
120



199
475
60,286
63,901



199
475
555,307
508,789
(3,340)
(17,249)
508,789
508,381
49,858
17,657
555,307
508,789
Represented by Funds
Unrestricted
168,047
160,797
Designated

Endowment
242,749
224,474
Restricted
144,511
123,518
Total
555,307
508,789

Accounts approved by: - Rev'd Jo Richards (Chair) Geoffrey Parsons (Hon Treasurer)

Dated: 07 March 2022 Dated: 07 March 2022

Page 9

St Dunstans PCC Canterbury

Statement of Assets and Liabilities (by code) As at: 31 December 2021

Last year
Class and nominal code
General
Designated
Restricted
Endowment
Total
Last year
Class and nominal code
General
Designated
Restricted
Endowment
Total
#
#
#
#



26,528
26,528
23,208
6441 : Helmore Bequest Investment
6590 : Cash in hand
199



199
120
6451 : Headley & Lowe Legacy
Investment 006S


86,042

86,042
75,273
6451 : Headley & Lowe Legacy Property
002P


Fixed assets - Investments
6440 : Halestrap Legacy
Investment



108,319
108,319
94,763
Total



96,722
96,722
9,781
6442 : Watkins Memorial
Investment
Fixed assets - Tangible assets
6431 : 69 Whitstable Road



3,450
3,450
3,450



11,180
11,180
27,781
Total
64,653
6449 : CBF Property Fund 001P
25,624



25,624
22,425
6448 : Rees Legacy Investment
0004S
73,902



73,902
40,029
6450 : Cheyney Legacy Investment
45,755



45,755
348,640
Current assets - Cash at bank and in hand
145,281

107,190
146,027
398,498
6432 : Church Hall



93,272
93,272
93,272
96,722
21,148

21,148
18,508
36,000
6510 : CBF deposit account 001D
15,982

20,018

36,000
6501 : Bank current account
6,585

17,502

24,087
63,901
Total
22,766

37,520

60,286
168,047

144,511
242,749
555,307
508,789
Liabilities - Agency accounts
6699 : Agency collections


199

199
475
Total
Net total assets


199

199
475
#
Total


199

199
475
168,047

144,511
242,749
555,307
508,789
Net total assets
#
168,047
160,797
Restricted - Chfabric


122,621

122,621
104,449
Restricted - Flower


220

220
1,067
Restricted - FOTM


643

643
565
Restricted - CommOut

Restricted - Friends


10,193

10,193
9,638
Restricted - Music


5,748

5,748
55


943

943
943
5,748
Restricted - HallFab


1,105

1,105
Restricted - RDF


349



146,027
Restricted - Worship


55

508,789
Total
168,047

144,511
242,749
555,307

1,151

1,151
96,722
Endowment - Endowments
146,027
127,752
590
464
Represented by
Unrestricted - General
168,047



Endowment - Building



96,722
96,722
55
Restricted - Youth

349

Restricted - Tower


1,485

1,485
#
508,789
Total
168,047

144,511
242,749
555,307

Page 10

St Dunstans PCC Canterbury

Fund movement summary Selected period: 01 January 2021 to 31 December 2021

Fund Fund balances Incoming Outgoing Transfers Gains and Fund balances
brought forward Resources Resources Losses Carried forward
Building - Building 96,722 96,722
Chfabric - Church Fabric 104,449 1,588 3,176 13,408 122,621
CommOut - Community Outreach 1,067 163 79 1,151
Charities - Donations to Charities 110 110
Endowments - Endowments 127,752 18,275 146,027
Flower - Flower 464 113 357 220
Friends - Friends of St Dunstans 9,638 679 124 10,193
Friends - Friends of Thomas More 566 108 30 644
HallFab - Hall Fabric Fund 590 515 1,105
Music - Music 5,747 5,747
RDF - Rector Discretionary Fund 400 51 349
Worship - Support of Worship 55 55
Tower - Tower Fund 182 1,667 1,485
Youth - Youth Development 943 943
General - General fund 160,797 76,965 83,046 (4,843) 18,174 168,047
Totals 508,789 80,639 83,979 49,858 555,307

Page 11

St Dunstans PCC Canterbury

Analysis of income and expenditure Selected period: 01 January 2021 to 31 December 2021

Total
Unrestricted Designated Restricted Endowment This year Last year
Incoming resources
Incoming resources from generated funds
0101 - Gift Aid bank 27,173 27,173 27,887
0110 - Gift Aid Envelopes 802 802 1,995
0201 - Other planned giving 2,634 2,634 1,634
0301 - Loose plate collections 1,290 88 1,378 588
0401 - Regular gift days
0410 - Giving through church boxes 585 585 133
0501 - One-off Gift Aid gifts 1,224 820 2,044 446
0510 - Gifts of quoted securities
0550 - Donations appeals etc 2,186 318 2,504 1,152
0551 - Donations on-line Benefice 565 565 20
0552 - On-line donations St Dunstans only 95 95
0601 - Tax recoverable on Gift Aid 7,500 7,500 10,123
0701 - Legacies 5,000
0801 - Recurring grants 915 915
08A1 - Non-recurring one-off grants 960 808 1,768 6,369
0901 - Other funds generated 20 20 575
0503 - Friends subs Gift-aid 65 65 35
1220 - Bookstall sales - fund raising 144 144 53
1240 - Church hall lettings - fund raising 4,006 4,006 2,509
1250 - Magazine income - advertising - 95
1270 - Coffee mornings 680 680 452
1301 - Rummage sales etc 1,058 1,058 -
1302 - Other fundraising income 643 419 1,062 504
1001 - Dividends 10,944 10,944 10,685
1020 - Bank and building society 36 36 285
interest
1030 - Rent from lands or buildings 10,308 10,308 8,807
Incoming resources from 72,833 3,452 76,285 79,347
generated funds Totals
Incoming resources from charitable activities
1101 - Fees for weddings and funerals 3,758 3,758 1,739
1210 - Bookstall sales to promote 150 150 120
objectives
1230 - Church hall lettings - objectives 350 40 390 1,165
1260 - Parish magazine sales 23 23 133
1303 - Fairtrade Sales
Incoming resources from 4,131 190 4,321 3,156
charitable activities Totals
Other incoming resources
0502 - Subscriptions received 33 33 188
1310 - Insurance claims
1320 - Surplus - sales of fixed assets
Other incoming resources Totals 33 33 188
Incoming resources Grand 76,964 3,675 80,639 82,691
totals

Page 12

Resources used
Cost of generating funds
1701 - Fees paid to fund raisers
1710 - Costs of applying for grants
1730 - Costs of fetes & other events
1720 - Costs of stewardship campaign
Charitable activities
1731 - Faitrade purchases
Cost of generating funds Totals
1740 - Investment management costs
1801 - Giving to missionary societies
1850 - Home mission
1830 - Giving - relief and development
agencies
1901 - Stipends quota
1870 - Secular charities
2001 - Assistant staff costs
1910 - Ministry parish share etc
2051 - Organist fees
2050 - Parish administrator expenses
2110 - Visiting speakers / locums
2101 - Working expenses of incumbent
2130 - Parsonage house expenses
2120 - Council tax
2145 - Parsonage - water
2140 - Water rates - vicarage
2160 - Parish training and mission
2150 - Vicar's telephone
2201 - Mission expenses
2170 - Education
2310 - Church office - telephone
2301 - Church running - insurance
2309 - Church Office Supplies
2312 - Photocopier hire
2311 - Telephone church hall
2330 - Church maintenance
2320 - Organ / piano tuning
2340 - Upkeep of services
2331 - Cleaning
2360 - Administration/stationary
2350 - Upkeep of churchyard
2410 - Church running - gas
2401 - Church running - electric
2430 - Church running - oil
2420 - Church running - water
2441 - Misc Expenses Church
2440 - Church running - heating and
lighting
2443 - Rubbish collection
2442 - Refreshments
2501 - Magazine expenses
2444 - Church Other consumables
2502 - Outreach costs
2102 - Curate's Expenses
2510 - Bookstall costs
Total
Last year
Unrestricted
Designated
Restricted
Endowment
This year












58


110

110
21
410



410









410

110

520
80


650



650
615
2,184
300

51

351
594
2,150

110

2,260
1,300






650



650
45,467
4,765



4,765
3,580
46,175



46,175

3,435



3,435
3,465
108



108





































24



24












45





3,541
241



241
410
3,235



3,235
396



396
1,261

516



516
571





647
4,776

182

4,958
10,623
499



499

2,473

247

2,720
1,270
48



48
288
384



384
386
66

110

176
623
1,270



1,270
1,090
679



679
111






82



82

25

25

50
325





82
417



417
409


19

19





-
210
















56



56

Page 13

2530 - Hall running - electricity
2520 - Hall running - oil
2550 - Hall running - insurance
2540 - Hall running - gas
2570 - Hall running - telephone
2560 - Hall running - maintenance
2590 - Hall running - heating and
lighting
2580 - Hall running - water
2592 - Hall kitchen supplies
2591 - Misc Expenses Hall
2701 - Church major repairs - structure
2593 - Hall: Other consumables
2720 - Church interior and exterior
decorating
2710 - Church major repairs -
installation
2820 - Hall + major repairs - installation
2801 - Hall + major repairs - structure
2840 - Other PCC property upkeep
2830 - Hall + interior and exterior
decorating
2910 - New building house for curate
2901 - New building parsonage house
2930 - New building Hall
2920 - New building Church
Governance costs
2302 - Licences and subscriptions
Charitable activities Totals
Resources used Grand totals
Governance costs Totals
2601 - Governance costs
examination/audit fee
2515 - Hall caretakers renumeration
Total
Last year
Unrestricted
Designated
Restricted
Endowment
This year

511



511
527





264
1,054



1,054
1,034
292



292
4,240






3,330



3,330
420






86



86
5


46

46
33
52



52
101





6,634
40

34

74
2,706





1,050






1,014



1,014







528



528
967


































97,077
1,142



1,142
1,614
80,324

823

81,147
1,170
1,170



1,170
2,312



2,312
2,784
99,941
83,046

933

83,979

Page 14

ST DUNSTAN WITH HOLY CROSS PCC NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31ST DECEMBER 2021

1 ACCOUNTING POLICIES

The financial statements have been prepared in accordance with Church Accounting Regulations and Charities Act 2011 using the receipts and payments basis.

The financial statements have been prepared under the historical cost convention other than for the value of investments which have been shown at market value.

The accounts are framed as receipts and payments and do not take in account timing differences caused by accruals or prepayments.

1 (a) Funds

Unrestricted funds represent the funds of the PCC that are not subject to any restrictions regarding their use and are available for application on the general purposes of the PCC. These include funds designated for a particular purpose by the PCC. The purposes of restricted funds are noted in the accounts.

The accounts include transactions, assets and liabilities for the which the PCC are held responsible . They do not include the accounts of church groups that owe an affiliation to another body nor those that are informal gatherings of church members.

1 (b) Incoming resources

Voluntary income and capital sources

Collections are recognised when made. Amounts receivable under covenant are recognised only when honoured by the covenantor. Income tax recoverable on covenanted or gift aid donations is recognised when received.

Grants and legacies to the PCC are accounted for as soon as the PCC is notified of its entitlement and the likely amount due.

Other ordinary income

Rental income from letting of church premises is accounted for when earned.

1 (c) Resources expended

Grants

Grants and donations are accounted for when paid.

Costs

Costs are accounted for when they are expended.

1 (d) Fixed Assets

Consecrated land and buildings and movable church furnishings

Consecrated and beneficed property is excluded from the accounts by s. 10(2)(c) of the Charities Act 2011. No value is placed on movable church furnishings held by churchwardens on special trusts for the PCC and which require a faculty for disposal since the PCC considers this to be an inalienable property. All expenditure during the year on consecrated or beneficed buildings and movable church furnishings, whether maintenance or improvement, is written off.

Freehold Property

Freehold property is stated at cost. No depreciation is charged against the values stated. Fixed asset investments

Investments are initially recognised at their transaction value and subsequently measured at their market value as at the balance sheet date using the closing quoted market price. The statement of financial activities includes the net gains and losses arising on revaluation and disposals throughout the year.

Page 15