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2022-12-31-accounts

Annual Report and Accounts of the Parochial Church Council For the year ended 31 December 2022

Contents

Parochial Church Council Trustees Annual Report

Statement of Financial Activities

Statement of Assets and Liabilities

Notes to the Accounts

Independent Examiner’s Report

Barkham Parochial Church Council

Trustees’ Annual Report for the year ended 31 December 2022

The Parochial Church Council (PCC) presents its Annual Report for the year ended 31 December 2022.

Reference and administrative information

The PCC is registered with the Charity Commission as ‘The Parochial Church Council of the Ecclesiastical Parish of Barkham’, registration number 1143332.

The address of the church office is The Rectory, Church Lane, Arborfield, Berkshire, RG2 9HZ. The trustees (members of the PCC) at the time of this report were as follows:

Basis of appointment Emma Benbow Elected (From APCM) The Rev’d Piers Bickersteth Ex officio The Rev’d Julian Bidgood Chairman Michael Byrne Deanery Synod representative Ruth Dand Elected (& appointed secretary) David Horrocks Deanery Synod representative Peter Kilby Elected Lionel Matsuya Elected/Treasurer Karen Pugh Churchwarden (From APCM) Frances Roberts Elected (From APCM) Tom Venables Elected (until July) Charlotte Wilde Deanery Synod representative

Structure, governance and management

The PCC has been formed under the Parochial Church Council (Powers) Measure 1956. The PCC members are recruited in a number of ways. The clergy are members by virtue of their office. The Deanery Synod representatives and churchwardens are elected by the annual parochial church meeting (APCM) and hold office for three years. The treasurer and secretary are appointed by the PCC. Other members of the PCC are elected annually at the APCM and hold office for three years.

There are the following committees:

Standing Committee – This committee consists of the church leadership team (the Minister in charge plus two others at present), the Churchwardens and the Treasurer. They have power to transact business of the PCC between PCC meetings, reporting to the full PCC as appropriate.

Objectives and activities

The objectives of the PCC are defined by the Parochial Church Council (Powers) Measure 1956 as ‘to co-operate with the minister in promoting in the parish the whole mission of the Church, pastoral, evangelistic, social and ecumenical’.

St James’ Church Barkham comprises two congregations meeting at 10am and 6pm. Our aim as a church is to honour the Lord Jesus Christ in all that we do. By his grace we are seeking to grow in our knowledge of him, our love for him and our obedience to him. We are also seeking to proclaim the gospel of Jesus Christ to others as well, both by reaching out to others ourselves and by supporting mission partners in the UK and overseas. We currently have particular links with Crosslinks, OMF, Open Doors, The Delhi Bible Institute, Yeldall Manor and a former member now working in a church in Russia.

Our Sunday services are the focus for our life as a church as we gather to listen to the word of God being read and preached and as we respond to him in prayer and praise. It is our assumption, however, that our life as a church should overflow into our daily lives and our midweek small groups provide a natural context for relationships to develop whereby people can serve and encourage one another further. We are committed to encouraging people of all ages to hear the Christian message and grow in faith, so we run a number of groups for children up to the age of 18, we run a baby and toddler group jointly with Arborfield Church, with whom we also run a monthly meeting for ‘seniors’.

Achievements and performance

This year saw the end to covid restrictions in the Spring term and the return to normal of nearly all church events and activities. Average attendance is currently 77 in the morning, including 15 under 16s, and 48 in the evening. Typically half a dozen go to both, so we are seeing about 120 people each Sunday. At the moment we have plenty of teenagers, but we have just seen a large cohort of our older teenagers go off to university. Although we have a regular group of younger children, one of our challenges is attracting young families.

We generally see high levels of commitment and involvement from the congregation. On any given Sunday around 25 people are serving in some official capacity. And it’s encouraging that when gaps appear on rotas, others step up.

Our involvement in the local community has also returned to normal. CAMEO, our monthly meeting for seniors or others who may be on their own is meeting regularly again and has been revitalised by some new regulars.

We are running our Friday Night Youth Club weekly in the Village Hall and are glad to see a number of non-church kids join us each week.

Our relationship with The Coombes, is as strong as ever and we have been glad to work alongside the new head Luke Henderson in providing special events to mark Harvest, Christmas and Easter in addition to weekly assemblies and supporting the RE syllabus whenever we can.

In accordance with Church of England rules, we have revised our Electoral Roll this year. The number on the roll is currently 115.

Financial Review

The gospel message gives great hope for all circumstances: whatever the outlook, whatever our circumstances, the Lord gives us grace, hope and encouragement to deal with the circumstances that surround us. This encouragement spurs all of us on, whatever our part of the church family, as we see the Lord’s love for his people reflected in our attitude towards one another.

Our regular giving decreased again year on year by 5% (2021: 4%); there are always a number of reasons for this and with a relatively small congregation we will be sensitive to changes in the giving of even a few people, but at the same time we are all aware of the financial pressures that face us all. With that in mind we postponed our 2022 autumn giving day, which is often a point at which people might increase their giving or for those who have recently joined to start giving

Our overall receipts have also decreased to £179k (2021: £210k). The figures are somewhat misleading; in 2021 we received a delayed £17k gift aid payment from 2020. Excluding the effect of this, the decrease was closer to £14k, which is explained by the reduced income from regular giving and gift days.

Our payments are always a bit more difficult to predict, but these have also reduced to £183k overall (2021: £193k). A reduction in church activities and a modest decrease in church running expenses have helped to offset the reduced receipts.

At the end of 2022, we therefore had a deficit of £3,875 (2021: surplus of £17,141). Our reserves are still healthy at £89k (2021: £93k).

The church tower fund has a small balance remaining (£4k); as a restricted fund it can currently only be used for the purpose for which the appeal was made. The PCC is exploring ways in which these funds can be used for alternative essential tower works.

The Maintenance fund is a designated fund used for major repairs or projects to the church. There were no expenditures in 2022 and the annual transfer of £5k to the fund was completed. With the Quinquennial inspection having been completed, we expect a number of significant outlays in the next two years but it is not yet clear what they will be.

The Treasurer manages the day-to-day finances for St James Barkham and reports to the PCC as well as at the APCM, and at various points throughout the year to the congregations. Forecasts are prepared and re-assessed monthly to ensure that adequate funds exist for the church, and a Giving Day is normally held annually in the autumn.

Statement on the Church's policy on reserves

The Church does not have a formal reserve policy but it is regularly commented on at PCC that we expect to maintain at least 2 months' expenditure in reserve. This would amount to £27k based on General Fund expenditure.

Details on any funds materially in deficit

There are no funds materially in deficit as of year end 2022.

Declaration

The trustees declare that they have approved the trustees’ report above.

Signed on behalf of the PCC:

Julian Bidgood 20/3/23

The Parochial Church Council of the Ecclesiastical Parish of St James Barkham

Independent examiner’s report on the accounts to the Trustees of The Parochial Church Council of the Ecclesiastical Parish of St James Barkham (“the charity”) for the year ending 31 December 2022

Responsibilities and basis of report

As the charity’s Trustees, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (‘the Act’).

I report in respect of my examination of the charity’s accounts carried out under section 145 of the Act. In carrying out my examination I have followed all applicable Directions given by the Charity Commission under section 145(5)(b) of the 2011 Act.

Independent examiner’s statement

I have completed my examination. I confirm that no matters have come to my attention in connection with the examination giving me cause to believe:

  1. accounting records were not kept in respect of the Trust as required by section 130 of the Act; or

  2. the accounts do not accord with those records; or

  3. the accounts do not comply with the applicable requirements concerning the 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.

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.

Signed: Date: Name: Jason Foxwell

Relevant professional qualification(s) or body

Chartered Certified Accountant Fellow of the Association of Charity Independent Examiners

Address

39 Enfield Road Poole BH15 3LJ

The Parochial Church Council of the Ecclesiastical Parish of St James Barkham Receipts and Payments account

For the year ended 31 December 2022

2022 2022 2022 2021
Unrestricted
funds
Restricted funds Total funds Total funds
£ £ £ £
Receipts from:
Donations and other legacies
Planned Giving 126,244.00 - 126,244.00 133,274.00
Collections at services - - - 116.18
Other voluntary receipts 7,849.96 2,407.00 10,256.96 16,313.00
Voluntaryreceipts - - - -
Gift Aid recovered 32,397.22 - 32,397.22 51,541.74
166,491.18 2,407.00 168,898.18 201,244.92
Receipts from charitable activities
Receipts from church activities 3,447.98 - 3,447.98 1,820.60
3,447.98 - 3,447.98 1,820.60
Investments
Investment Income 65.71 - 65.71 3.01
65.71 - 65.71 3.01
Other receipts
Other receipts 6,410.00 90.00 6,500.00 6,585.86
6,410.00 90.00 6,500.00 6,585.86
Total receipts 176,414.87 2,497.00 178,911.87 209,654.39
Payments from:
Payments for charitable activities
Parish Share - - - -
Clergy and Stafng costs 127,254.63 - 127,254.63 128,276.64
Church Activities 13,876.15 - 13,876.15 21,572.71
Church RunningExpenses 21,142.63 2,438.37 23,581.00 26,263.73
Church Repairs and Maintenance - - - -
Mission Giving and Donations 17,150.00 - 17,150.00 16,400.00
Independent Examination Costs 925.00 - 925.00 -
Totalpayments 180,348.41 2,438.37 182,786.78 192,513.08
Net receipts /(payments) before transfer (3,933.54) 58.63 (3,874.91) 17,141.31
Transfers:
Gross transfers between funds - in 16,675.00 - 16,675.00 23,043.50
Gross transfers between funds - out (16,675.00) - (16,675.00) (23,043.50)
Other recognised gains / losses
Gains/losses on investment assets - - - -
Gains on revaluation, fxed assets, charity's
own use
- - - -
Net movement in funds (3,933.54) 58.63 (3,874.91) 17,141.31
Reconciliation of funds
Total funds brought forward 92,813.21 8,532.90 101,346.11 84,204.80
Total funds carried forward 88,879.67 8,591.53 97,471.20 101,346.11

The Parochial Church Council of the Ecclesiastical Parish of St James Barkham Statement of Assets and Liabilities As at 31 December 2022

Cash At Bank And In Hand
Bank Current Account
General Fund
Unrestricted
Churchyard Fund
Restricted
QI Fund
Designated
Maintenance Fund
Designated
Bell Ringers Fund
Restricted
Agency collection
Restricted
Bank Deposit Account
General Fund
Unrestricted
Cash in hand
General Fund
Unrestricted
Total Cash at Bank and in hand
Liabilities
Agency accounts
Agency collection
Total Liabilities
Grand Total*
Balance
31 Dec 2022
£
39,855.06
4,304.51
3,535.34
18,507.60
751.68
1,851.00
68,805.19
30,273.25
30,273.25
243.76
243.76
99,322.20
1,851.00
1,851.00
1,851.00
97,471.20
Balance
31 Dec 2021
£
48,854.31
4,335.88
3,535.34
13,507.60
661.68
750.00
71,644.81
30,207.54
30,207.54
243.76
243.76
102,096.11
750.00
750.00
750.00
101,346.11

*Agency collections are those made on behalf of other parties, for example fees from weddings or funerals that are payable to the Diocese.

The accounts were approved by the trustees and signed on their behalf on 20 March 2023 by

Julian Bidgood Lionel Matsuya Chairman Treasurer

Notes to the accounts

Note 1: Basis of preparation

The financial statements have been prepared in accordance with the Church Accounting Regulations 2006 together with applicable accounting standards and the Statement of Recommended Practice for Accounting and Reporting by Charities 2005.

The basis of accounting is the Receipts and Payments basis as permitted by this SORP.

The PCC uses the Charity Commission recommended headings for the Statement of Financial Activities (Receipts and Payments account).

General funds are unrestricted funds which are available for use at the discretion of the PCC for the general objectives of the charity. Restricted funds are donations which are to be used in accordance with specific restrictions imposed by the donors, including those donations received from specific appeals.

The PCC holds no Endowment funds.

Note 2: Receipts

Donations and other legacies
Planned giving
Regular giving - Gift Aid
Regular giving - non Gift Aid
Collections at services
Collections and giving bags
Other voluntary receipts
Gift Days - Gift Aid
Gift Days - non Gift Aid
One-off giving - Gift Aid
One-off giving - non Gift Aid
Grants - recurring
Grants - non-recurring
Gift Aid recovered
Gift Aid recovered
Receipts from charitable activities
Receipts from church activities
Fees for weddings and funerals
Bookstall sales - objects related
Church activity receipts - objects
related
Investments
Investment income
Bank and building society interest
Other receipts
Other receipts
Other receipts
Insurance claims
Total receipts
2022
2022
2022
2021
Unrestricted
funds
Restricted
funds
Total funds
Total funds
£
£
£
£
121,097.00
-
121,097.00
128,302.00
5,147.00
-
5,147.00
4,972.00
-
-
-
116.18
5,250.00
-
5,250.00
11,198.00
622.96
-
622.96
2,108.00
577.00
-
577.00
712.00
1,400.00
-
1,400.00
-
-
2,407.00
2,407.00
2,295.00
-
-
-
-
32,397.22
-
32,397.22
51,541.74
166,491.18
2,407.00
168,898.18
201,244.92
-
-
2,428.00
-
2,428.00
1,626.00
181.75
-
181.75
-
838.23
-
838.23
194.60
3,447.98
-
3,447.98
1,820.60
-
-
65.71
-
65.71
3.01
65.71
-
65.71
3.01
-
-
6,410.00
90.00
6,500.00
6,585.86
-
-
-
-
6,410.00
90.00
6,500.00
6,585.86
176,414.87
2,497.00
178,911.87
209,654.39

Note 3: Payments

Payments for charitable activities
Parish share
Clergy and stafng costs
Salaries and wages of parish staff
National Insurance of parish staff
Pension contributions of parish staff
Minister expenses
Council tax
House rent
Mortgage
House insurance
House maintenance
Water rates
Church activities
Parish training and mission
Church activity costs - objects related
Bookstall costs - objects related
Church running expenses
Church insurance
Church routine maintenance
Upkeep of services
Upkeep of churchyard
Church electricity
Church heating oil
Literature for church building
Banking costs
Admin and other running costs
Central costs
Church repairs and maintenance
Church major repairs - structure
Church major repairs - installation
Church interior and exterior decoration
Mission giving and donations
Giving to missionary societies
Governance costs
Independent Examination costs
Total Payments
2022
2022
2022
2021
Unrestricted
funds
Restricted
funds
Total funds
Total funds
£
£
£
£
-
-
-
-
56,352.00
-
56,352.00
55,932.00
5,651.00
-
5,651.00
5,232.00
14,377.00
-
14,377.00
14,064.00
2,618.76
-
2,618.76
3,042.47
4,811.00
-
4,811.00
4,536.00
18,300.00
-
18,300.00
17,700.00
23,112.00
-
23,112.00
23,112.00
420.00
-
420.00
420.00
639.87
-
639.87
3,398.17
973.00
-
973.00
840.00
12,332.46
-
12,332.46
21,070.00
1,251.00
-
1,251.00
502.71
292.69
-
292.69
-
2,555.38
-
2,555.38
2,433.73
2,580.24
-
2,580.24
4,795.39
1,878.95
-
1,878.95
2,169.49
-
2,438.37
2,438.37
1,804.52
480.92
-
480.92
624.81
1,144.99
-
1,144.99
502.86
49.75
-
49.75
-
153.70
-
153.70
156.65
1,806.00
-
1,806.00
1,732.83
10,492.70
-
10,492.70
12,043.45
-
-
-
-
-
-
-
-
-
-
-
-
17,150.00
-
17,150.00
16,400.00
925.00
-
925.00
-
180,348.41
2,438.37
182,786.78
192,513.08
180,348.41
2,438.37
182,786.78
192,513.08

Note 4: Summary of restricted and designated funds

Restricted Funds
Bellringers fund
Church Tower fund
Churchyard fund
Total
Designated Funds
Church Plant fund
Maintenance fund
Total
Balance b/f
01/01/2021
Receipts
Payments
Transfers
Balance c/f
31/12/2021
£
£
£
£
£
662
90
-
-
752
3,535
-
-
-
3,535
4,336
2,407
2,438
-
4,304
8,533
2,497
2,438
-
8,592
Balance b/f
01/01/2021
Receipts
Payments
Transfers
Balance c/f
31/12/2021
£
£
£
£
£
-
325
12,000
11,675
-
13,508
-
-
5,000
18,508
13,508
325
12,000
16,675
18,508

Bellringers fund (restricted)

The Bellringers fund was created in 2017 to fund maintenance of the bells in the church tower. It is funded by occasional receipts from the use of the bells and funds are used for bell maintenance.

Church Tower fund (restricted)

The Church Tower fund was established in 2017 to fund maintenance and repairs of the tower carried out in 2018, the funds of which were raised in an appeal to address the items noted in the Quinquennial Inspection report from 2015. There is expected to be no further significant outlay with respect to the expenses relating to the 2015 Quinquennial Inspection report.

Churchyard fund (restricted)

The Churchyard fund receives grant and other monies for the maintenance of the churchyard.

Church plant fund (designated)

The Church Plant fund was established in 2016 to fund the Church at the Green, planted in 2017, with support continuing. Church at the Green (CTG) aims to become wholly funded through members (both new members and those previously from Arborfield and Barkham churches). However, as it becomes established, additional support is provided from these churches to help CTG meet its expenses. This additional support varies from year to year depending on a number of factors and is agreed by the respective PCCs in consultation with the Arborfield and Barkham Parish Churches Trust (ABPCT) and the CTG Elders.

A designated fund is used for tracking purposes only as the fund is designated. In 2022 payments were made to ABPCT, in line with agreed funding, totalling £12,000 (2021: £21,070).

Maintenance fund (designated)

The Maintenance fund exists to provide a build-up of funds for significant projects primarily for the church building and minister’s house. This is a designated fund with an annual transfer from the general fund of £5,000, as agreed by the PCC.

Note 5: Staff and Trustees

The church has no direct employees. Its activities are carried out by volunteers and by staff employed by an independent charity (The Arborfield and Barkham Parish Churches Trust). Grants paid to that trust to meet these costs are shown in the Clergy and Staffing costs section of note 3 above.

Included in the staff employed by that independent charity are Rev Julian Bidgood and David Horrocks, who are members of the PCC of St James Barkham and hence are trustees. The Clergy and Staffing costs shown in Note 3 above represent the amounts paid to The Arborfield and Barkham Parish Churches Trust for provision of the services of Julian Bidgood and David Horrocks by that trust.