## Review of the Year 

I give thanks to God for his calling to serve him and to minister to his people in this parish. Many thanks to the PCC, wardens, leaders of various ministries, the parishioners for your support and partnership in the mission and ministry of Jesus. I believe ministry is a calling for all people as we all are a chosen in Christ to be a royal priesthood to declare praises of God through the presence and power of the Holy Spirit. 

Year 2022 was full of challenges as well as joys. Sadly, a few of our church family members passed away during the year. We continue to remember them and their faithfulness to the Lord till the end of their lives. Also, we continue to pray for all our friends who are unable to attend church services due to ill health. May the Lord surround them with his care, love, and protection. We have managed to build up a pastoral team who has been in contact with these friends either by telephone or through personal visits. This year we would like to further develop our pastoral team for better pastoral ministry. 

The Vision Action Plan (VAP) of our church is reviewed and updated by involving the congregation through a questionnaire, through personal conversations and through our PCC away day at Whalley Abby. Our VAP is in line with our Diocesan Vision 2026, ‘Healthy Churches Transforming Communities’ and simplified copies of this VAP were made available to the congregation. Our vision statement is, ‘ **loving, being and growing in Jesus** ’, because Jesus is the centre of all we are, and all we do as his church. 

Our long-term goals are: Increasing the number of under 50’s in our congregation, developing and strengthening our links/relationships with the local community, growing in faith and leadership, improving our digital technology and its use. 

During this year we have been focusing on growing in our faith in Christ through making disciples, being witnesses, raising leaders, and inspiring children and youth with the gospel of Jesus through various ministries: Sunday Services, weekdays services, Sunday School, Cornerstone, Bible Study, Mothers’ Union; and through the life events which we call occasional offices that include Baptisms, weddings, and Funerals. Though we had not had any weddings in 2022. 

Growing in faith and prayer life is significant part of our calling to be God’s people in Christ. I believe engaging with the Scriptures and spending time in reflection and prayer are crucial to this journey of faith. Our Diocese has been producing resources for our faith journey and growth. In 2022 we distributed daily devotional booklets both for Lent 2022 and Advent 2022. These booklets were well received and admired by many in our congregation. Our Bible Study sessions have been happening via Zoom. We also have a monthly prayer meeting on the first Thursday of every month. May I encourage all to spare sometime for the Bible study and prayer. During 2022 we started a new Burnley Prayer Group (ecumenical) which meets monthly in our Church or in the Community Hall. People from various denominations come together to spend time in prayer for the revival and growth of Church of God in Burnley and further afield. 

I give thanks to God for members of our congregation who have been faithful to God and loyal to this church sharing in God’s mission through thick and thin. Most of the members have sacrificially served the church in so many ways and are still serving. However, there is a reality that majority are in the upper range of their age and find it difficult to pass on the baton for God’s mission. Therefore, children and young people are an essential part of God’s mission and Church’s future ministry. We are thankful for our Sunday School leaders who make every effort to meet on Sundays and teach children from the Word of God. But involving children and young people in the Sunday Services is crucial as well if we want them to grow in the ministry of the church. Hence,the All-age Family Parade Services are so important. Children and young people and their leaders from uniformed organisations and Sunday School take active part in these services. In these all-age services various leaders and children and young people are involved which helps them to grow in the knowledge and love of Christ. However, we may need to invest in bringing in new technology to which this new generation is attached and use it in everyday life. 



Our link with the wider community, both within and beyond our parish, is vital for our outreach. In the previous years these links and our outreach mission were affected because of Covid pandemic. We have been trying our best to build our relationship with our local communities through Building Bridges and Mahabba and have attended various events through these links. I hope folks from St Cuthbert’s will join me to build these links stronger so that we may be able to reach out to the wider community to witness to Jesus. Also, our friendship with a Community School is in good shape as they visit the Church for their RE lessons. 

Reports of various ministries/initiatives are included in this annual report. These ministries represent much harder work and commitment from a range of people within the church family. Please do read and give thanks to God and pray for these different aspects of our life together in Christ. 

May God bless us and help us to serve him for his glorious purposes and mission as we worship and share Christ in year 2023 and beyond. 

‘Let us continue to declare praises of God who called us out of darkness into his marvellous light in Jesus Christ _’._ 

Revd. Munawar Din 

## **COMMUNITY HALL REPORT FOR 2022** 

As I began to write this report for 2022 I realised that on the 1[st] January, 2023, our Management Committee had been in existence for 30 years, having taken over the every-day running and maintenance of the Hall from the Church, and Sylvia and myself are still members of that Committee. 

It was good to open the Hall again after lock-down and our regular groups were beginning again, but several had a reduction in numbers attending each week, which resulted in a loss of income for us. However, over the months most had seen a gradual increase in people attending and they now seem back to normal. 

We had two new groups begin in 2022, the first of which was a Mental Health Assessment group for Teenagers from Burnley General Hospital, which began in April, and takes the form of an activities morning away from the hospital environment each week.  The second was the formation of the Church family group “Cornerstones” which enables younger children and family members to meet together twice a month for games etc. and refreshments. 

“Slimming World” now have only one session each week, at 5-00pm, due to the reduction in the number of members. 

The “Book Sale” each month is back to normal and now includes the sale of Jigsaws by Kevin. Please come along and support us on a Saturday morning and  even if you do not read you can enjoy a chat, with a  cup of tea or coffee, and treat yourself to a slice of home- made cake. 

Thanks to our Bar staff and  our Bar manager, the Bar is open each Tuesday evening from 8-00pm , but as with other groups, the numbers attending have reduced so please come and enjoy a social night with your Church friends each week. You will be very welcome. 



The Hall has been used in many ways over the year, local elections in May,  a Christmas Social for “Burnley and Pendle Ramblers”, several children’s parties, and SCOADS  were, at last, able to go ahead with their production of “The Wind in the Willows” after the cancellation the year before, and was enjoyed by all who came. 

After a 2 year wait due to Covid, the “Pendle Woodturners” group were able to host their annual National Annual General meeting and it was a great success. 

We were able to hold the usual Spring and Christmas fairs this year, which were very successful, thanks to a lot of hard work from everyone involved, and raised much needed funds for the Church and Community Hall. 

In December, St. James C-of-E .school held their Christmas Nativity play in our Hall, for the first time, and were delighted with their new venue so much that they are planning to use it again in 2023 and also produce their annual concert 

by school leavers in the summer. 

Following a sudden death at Monday dancing, donations following the funeral of the gentleman concerned were passed to us, with a request to purchase a Defibrillator in his memory, and this is now in-situ in the Main Hall. 

We also had a new CCTV system installed, together with 3 new cameras. 

I thank our very dedicated and hard-working committee members for everything they do in various ways, in the day-to-day running of the Community Hall and those who help in the kitchen for Book Sales, putting tables and chairs out for the after Church refreshments each week, generous donations, and many other ways.  We also appreciate those who use the Hall each week for the care they take in keeping it clean and tidy and reporting any damage or faults they come across. 

The Community Hall is a great asset to St. Cuthbert’s Church and I hope it continues to be used in many ways for years to come. 

ALAN HUNTER  (Chairman) 



Independent Examln*$ Report to tho Membersftrust•u of
St. Cuthbervs Church. Bumleyi Parochlal Church Councll
I report on the accounts of the church for the year ended 311t Decernber 2022.
Respectlve Responslblmty of Trustees and Examlner .
The church's trustees are responslble forthe preparatlon of the accounts. The church's trustees
consider that an audlt is not required forthis year under section 144121 of the Charltles Art 2011
(the 2011 Act) and that an Independent examlnatlon Is needed. ft Is my responslblllty to:
Examlne the accounts (under 5ect•on 145 ofthe 2011 Art).
Follow the procedures lald down In the General Dlrectlons 8￿fi by the Charlty
Commissioner5 (under section 145(5llbl of the 2011 Artl; and
State whether particular maters have come to my attentlon.
Basts of Independent Examln•rfs Report
My examlnation wa5 carried out In accordance y￿th the Genernl Directlons gfven by the Charfty
Commlsslon. An examlnatlon 5ncludes a review of the accountlnl records kept by the Char￿ and a
cornpari50n of the accounts presented with those records. It a150 Include5 conslderatlon of any
unusual Items or dlxlosures in the accounts and seeklng explanatlons from you as trurtee5
concerning any such matters. The Procedu￿ undertaken do not provide all the evidence that
would be requlred In an audlt and Consequent￿ no oplnlon Is gfven as to whether the accounts
present a *rue and falr vievf and the report is limlted to those matters set out In the statement
below.
Indep•nd•nt EK4mln•rfs Stat￿Tre
In connectlon wlth my examlnatlon, no matter has come to my attentlon:
l) whlch Blves me reasonable cause to belleve that, In any materlal respect, the requlrements to:
keep accountln8 records in accordance wbth sectlon 130 of the 2011 Act have not been met;
P￿pare accounts which accord vAth the accountin8 records and comply wlth the attounting
requlrernents of the 2011 Act have not been rnet: or
21 to vthlch, In my oplnion. attention should be drawn In order to enable a proper understandln8 of
the accounts to be reached.
NAME: Mlke Woodhead
DATE: l* Aprll 2023
SIGNATURE".
J.
RELEvATr￿ PROFESSIONAL QUALIFICATION OR BODY: CIPFA
ADDRESS: The Chapel, Chapel Mews, 8umley Road East. Rossendale. BB4 9NT

Notes:
l) Atcoun
olicies
The financ￿1 statements of the PCC bave been prep￿￿1 in ac¢oTdance with the Cfrwch Accounting
Regulations 21K16 USTng the Receipts & payments basis. Income and eXp￿ditUre is therefore only
accounknl for when receiv￿ or paid.
General funds represeni the fimd of the PCC thai are noi subject to any restrictions regarding their use
and are available for application on the geDeTrl pUry￿ses of the PCC. Funds designated for a part]cular
PUTPK)se are also unr¢strictoJ.
The accounts include all traDsa¢tioDS, assds and liabilities for which the PCC is responsible in law. They
do not include the accounts of church groups that owe their main affiliation to another body. nor thos¢
that are infornthl gatherings of church mem1￿[S. They also eXcI￿]e St Curhkn'5 Owatic and Dramatic
Society. They also exclude any transaaions that bave ￿ fina[￿la1 effect on the PCC Aco)unts (eg where
a PCC cheque is issued in exchange for an Id￿tiCal anM)unt in cash to pay for an outing- such &$ a
coach ttip- organised by Olle or more church mejnbtrs.
Cousecratol land and buildings and moveable church fillnishings
Consecratsj and belleficed propety is excluded from the xLM)unts by s96(2Xa) of the Charities Act
1993.
No value is placed on moveable church fiunishings held by the churchwardens on S￿la1 for the
PCC a￿1 which wuire a faculty for disFK)sa] since the PCC o)nsiders tbis to be inalienable propaty.
Other fixal &ssets are shown in the SLtrment of A&s&s and Liabililies.
4) Contributions to
m IntenMI Grou
2022
Brownie5
£3(KJ
Gentle EX￿lse
£383
£175
Guides
£293
NIL
Rambows
£224
NIL
ScA)ads
£500
So)ut Group
£504
£279
Table Tamis (Mondays)
Table Tamis (Thursdays)
Sequence DarKing
Luncheon Club
£264
NIL
£612
NIL
NIL
Ihher Restricted Fund baknnees are ...
Choir Fund £505.. Sunday School £264: Fabric Fund £2037 & Bible Fund £24

Parothl
Cwn(il olst Cuth
Unrestricied
Total Fund5
Hal Fund
Hall Fund
Voluntsry Income
￿t￿tle5fOr Generatln8 Funds
In¥e5tment Income
Income from tharitableActiwtie5
Other Ordlnary Income
36373
L497
2(X)
U121
334
2.&39
I￿9
38346
356
547
5.712
3b
limo
347
4,691
6.fA15
si
3.117
Total Ir(omln6 Rtswres
Res¢wJv¢es ltsed
Costof Genoratln8Voluntsrylrthh
Fundra151rvdTradlngC05ts
Inve5tmeni Mana8efflont Costs
Chath3blePthI
Governance Costs
147
147
S.117
161
221YI
5.117
5.193
64J49
49*39
Icb)
1.992
Total RestyMtes used
44.637
17.211
5.193
2*72
69.913
54.096
Transfev rrt)natkJns to ￿￿1 l¥qa Churthl
Transfers bel¥￿¢0 F￿d5
Net Incoming/lOuf8olr¥l Resthxces
li0.1￿)
10201
112331
199521
2,184
RevalLwtiw of In¥e5tment Asstts
Net Movemetr)tsln Funds
li0.1￿)
110201
IL2331
9952
Balances blf at IstJ4ThJary2022
43.tsl
46863
IL720
IIB*15
Balan￿¢/f at 31st l)ecember 2022
33.645
49￿70
2,831
105999
Note.. Theremay be mlnLf(¥Thp3rthknth¢
Note.. The Endtr￿nent Fund column h*sbeen e￿d￿ed fwom a5wedo Krthc4danyETxhM*nt Fund5
and LkblWes
TÉrtal Furnls
2021
Fur*Js
Ilall F
HaN Fu
Other
Flxed Asset5-Tan
bleassets
Land & Buildin85
FumittJre& Flitir
S61
8.152
5C#).165
27258
.165
27.258
.ic
Current Assets. Cash at8ankand lTrknJ
Yorkshlre Bank
Yorkshire Bank IHalll
Marsden SuildinESocietylFklll
Cash hand
C8F Dep05TrtAccount
2￿1
17.817
15.768
41357
914
14589
41,7[
3.653
41.7(
30,IIXI
Toiais
herAssets-
Stock
and
374
Llabllities- CsedY(o
Loans recel
A8ency collections
counts Pa￿￿￿e
due within I
(91
146
137
237
N.B. The Hal Fund kntludesE4325Oasa Kla1￿ Repaiv5 ReseTh*

• Flnanclal Sta
Chuv£h
Incomkn Resou
Un
Vdunts Inc(xn
Planned fthir
Collections
23fv30
575
3*26
9.181
24.134
692
B￿n
3A69
2,480
52
$75
Taxreci>vered on GIftAid
9,In
36,373
38.0
AttNitie5for Generau Funds
Fundrai￿rg Events
M38a2ineAth*rts& S•
97
IA97
I￿35
ment Intom
Intsre5t
I￿35
30
Cha
IlJ21
Imi
1287
1287
er Or￿na
Incomin
Resourtes
InSU￿rKe aaims
1.892
1.892
Total Inco
39mi
L639
40,730
43A%
ResOU￿e$
Cost of6eWa￿￿
Velunts Income
Share Scherne ErwdL
147
147
161
Fun
T￿lIn
Event ÉxFenses
In¥estment Mana
mentcosts
none
Cha
Grants
Minl
240
Parish Share
VkaVs Exper6es
VI￿tin&c1eryy
Vlcarage Exw5e5
church RuTrnln Costs
Heav LWIWater
InsuTance
Upkeep of Ser¥￿t$
Organis¢sHcmraria
Organ Tunine
Maintenar*e & Repairs
Chtsrchyard Eynses
magazi￿ Éxw
Jnday Sch￿1
Revenue Item5 Pur¢hased
Othei E￿ensES li￿AdM￿l
26924
26.924
623
222
21JlS
140
L266
2AIIS
4.284
3￿?
1021
35
3226
1.067
i(rJ
312
1311
i(
312
3.207
475
375
1.623
38333
443
2372
47.262
GoVerna￿e
Audit Fee
ioj
Other Resources
Insuranceclaims EyThlftu
1,992
44.637
I￿r￿
475lVJ
40.586
Trar¢sfers between Funds
PCC towaids Hall runTriwcosts
Hall 5UPWrtto PCC
145601
I4￿)
45601

tothe Flnand l *aternents
forthe
31st
Totsl F
Vol
2021
Donatfjon5
IrthThtTax reco¥ered ￿ &ft*Jd
3.355
iesfor Gener*i
Funds
Hall Letti￿ to Exrernal Bodie5
FWdralsI￿- Fairs
FUnd￿￿r¥. brdSdelCoflee
FuThlra1￿￿- Other
Bar Sales
3,124
591
143
L014
494
6.031
11.020
6￿1
1,712
tmet)t Incorne
Ik)tÈrett
347
347
21
zi
(harltsble aC￿￿tIeS
al Events
Contrlbuuonsfrom IiiterF￿ Grwps
4.691
4MI
I￿30
Other O
Ina
Incornl Res￿[￿5
Grants. Fwlough
Tot41 Incom
nded
Costof Generau
Fundrd
Tradi
FundraI￿￿eXpEnseS
Bar Ccsts lexAJarml
Alami SeNce/ Repa
Adverdsln8&OtheTCosts
4327
347
Ji
meni Man
nonÈ
thadtableAtthntl
Insurance
Heatl Li8ht/Water
Telepl￿ne{netI
atanin8 Materials& Othercosts
aeaner IWa8es& Contraciorl
Spr¥lclngcosts
miTr
Repalr& MalntÈnarKe
Revenue Items Purch*ed
Social e¥efit5 ICatthn& Musk etrl
Lb43
IMJ
1.547
3.232
195
195
4P37
4.(135
747
1793
343
Gove
Audlt Fee
Other Resources
nded
Irtsurance Claims Expenditure
Transfers between Funds
Pcccontributionta Hal
Hall supportto PCC
Hall. exce55 repairco5rl￿rtsfer

Independent Examln*$ Report to tho Membersftrust•u of
St. Cuthbervs Church. Bumleyi Parochlal Church Councll
I report on the accounts of the church for the year ended 311t Decernber 2022.
Respectlve Responslblmty of Trustees and Examlner .
The church's trustees are responslble forthe preparatlon of the accounts. The church's trustees
consider that an audlt is not required forthis year under section 144121 of the Charltles Art 2011
(the 2011 Act) and that an Independent examlnatlon Is needed. ft Is my responslblllty to:
Examlne the accounts (under 5ect•on 145 ofthe 2011 Art).
Follow the procedures lald down In the General Dlrectlons 8￿fi by the Charlty
Commissioner5 (under section 145(5llbl of the 2011 Artl; and
State whether particular maters have come to my attentlon.
Basts of Independent Examln•rfs Report
My examlnation wa5 carried out In accordance y￿th the Genernl Directlons gfven by the Charfty
Commlsslon. An examlnatlon 5ncludes a review of the accountlnl records kept by the Char￿ and a
cornpari50n of the accounts presented with those records. It a150 Include5 conslderatlon of any
unusual Items or dlxlosures in the accounts and seeklng explanatlons from you as trurtee5
concerning any such matters. The Procedu￿ undertaken do not provide all the evidence that
would be requlred In an audlt and Consequent￿ no oplnlon Is gfven as to whether the accounts
present a *rue and falr vievf and the report is limlted to those matters set out In the statement
below.
Indep•nd•nt EK4mln•rfs Stat￿Tre
In connectlon wlth my examlnatlon, no matter has come to my attentlon:
l) whlch Blves me reasonable cause to belleve that, In any materlal respect, the requlrements to:
keep accountln8 records in accordance wbth sectlon 130 of the 2011 Act have not been met;
P￿pare accounts which accord vAth the accountin8 records and comply wlth the attounting
requlrernents of the 2011 Act have not been rnet: or
21 to vthlch, In my oplnion. attention should be drawn In order to enable a proper understandln8 of
the accounts to be reached.
NAME: Mlke Woodhead
DATE: l* Aprll 2023
SIGNATURE".
J.
RELEvATr￿ PROFESSIONAL QUALIFICATION OR BODY: CIPFA
ADDRESS: The Chapel, Chapel Mews, 8umley Road East. Rossendale. BB4 9NT

Notes:
l) Atcoun
olicies
The financ￿1 statements of the PCC bave been prep￿￿1 in ac¢oTdance with the Cfrwch Accounting
Regulations 21K16 USTng the Receipts & payments basis. Income and eXp￿ditUre is therefore only
accounknl for when receiv￿ or paid.
General funds represeni the fimd of the PCC thai are noi subject to any restrictions regarding their use
and are available for application on the geDeTrl pUry￿ses of the PCC. Funds designated for a part]cular
PUTPK)se are also unr¢strictoJ.
The accounts include all traDsa¢tioDS, assds and liabilities for which the PCC is responsible in law. They
do not include the accounts of church groups that owe their main affiliation to another body. nor thos¢
that are infornthl gatherings of church mem1￿[S. They also eXcI￿]e St Curhkn'5 Owatic and Dramatic
Society. They also exclude any transaaions that bave ￿ fina[￿la1 effect on the PCC Aco)unts (eg where
a PCC cheque is issued in exchange for an Id￿tiCal anM)unt in cash to pay for an outing- such &$ a
coach ttip- organised by Olle or more church mejnbtrs.
Cousecratol land and buildings and moveable church fillnishings
Consecratsj and belleficed propety is excluded from the xLM)unts by s96(2Xa) of the Charities Act
1993.
No value is placed on moveable church fiunishings held by the churchwardens on S￿la1 for the
PCC a￿1 which wuire a faculty for disFK)sa] since the PCC o)nsiders tbis to be inalienable propaty.
Other fixal &ssets are shown in the SLtrment of A&s&s and Liabililies.
4) Contributions to
m IntenMI Grou
2022
Brownie5
£3(KJ
Gentle EX￿lse
£383
£175
Guides
£293
NIL
Rambows
£224
NIL
ScA)ads
£500
So)ut Group
£504
£279
Table Tamis (Mondays)
Table Tamis (Thursdays)
Sequence DarKing
Luncheon Club
£264
NIL
£612
NIL
NIL
Ihher Restricted Fund baknnees are ...
Choir Fund £505.. Sunday School £264: Fabric Fund £2037 & Bible Fund £24

Parothl
Cwn(il olst Cuth
Unrestricied
Total Fund5
Hal Fund
Hall Fund
Voluntsry Income
￿t￿tle5fOr Generatln8 Funds
In¥e5tment Income
Income from tharitableActiwtie5
Other Ordlnary Income
36373
L497
2(X)
U121
334
2.&39
I￿9
38346
356
547
5.712
3b
limo
347
4,691
6.fA15
si
3.117
Total Ir(omln6 Rtswres
Res¢wJv¢es ltsed
Costof Genoratln8Voluntsrylrthh
Fundra151rvdTradlngC05ts
Inve5tmeni Mana8efflont Costs
Chath3blePthI
Governance Costs
147
147
S.117
161
221YI
5.117
5.193
64J49
49*39
Icb)
1.992
Total RestyMtes used
44.637
17.211
5.193
2*72
69.913
54.096
Transfev rrt)natkJns to ￿￿1 l¥qa Churthl
Transfers bel¥￿¢0 F￿d5
Net Incoming/lOuf8olr¥l Resthxces
li0.1￿)
10201
112331
199521
2,184
RevalLwtiw of In¥e5tment Asstts
Net Movemetr)tsln Funds
li0.1￿)
110201
IL2331
9952
Balances blf at IstJ4ThJary2022
43.tsl
46863
IL720
IIB*15
Balan￿¢/f at 31st l)ecember 2022
33.645
49￿70
2,831
105999
Note.. Theremay be mlnLf(¥Thp3rthknth¢
Note.. The Endtr￿nent Fund column h*sbeen e￿d￿ed fwom a5wedo Krthc4danyETxhM*nt Fund5
and LkblWes
TÉrtal Furnls
2021
Fur*Js
Ilall F
HaN Fu
Other
Flxed Asset5-Tan
bleassets
Land & Buildin85
FumittJre& Flitir
S61
8.152
5C#).165
27258
.165
27.258
.ic
Current Assets. Cash at8ankand lTrknJ
Yorkshlre Bank
Yorkshire Bank IHalll
Marsden SuildinESocietylFklll
Cash hand
C8F Dep05TrtAccount
2￿1
17.817
15.768
41357
914
14589
41,7[
3.653
41.7(
30,IIXI
Toiais
herAssets-
Stock
and
374
Llabllities- CsedY(o
Loans recel
A8ency collections
counts Pa￿￿￿e
due within I
(91
146
137
237
N.B. The Hal Fund kntludesE4325Oasa Kla1￿ Repaiv5 ReseTh*

• Flnanclal Sta
Chuv£h
Incomkn Resou
Un
Vdunts Inc(xn
Planned fthir
Collections
23fv30
575
3*26
9.181
24.134
692
B￿n
3A69
2,480
52
$75
Taxreci>vered on GIftAid
9,In
36,373
38.0
AttNitie5for Generau Funds
Fundrai￿rg Events
M38a2ineAth*rts& S•
97
IA97
I￿35
ment Intom
Intsre5t
I￿35
30
Cha
IlJ21
Imi
1287
1287
er Or￿na
Incomin
Resourtes
InSU￿rKe aaims
1.892
1.892
Total Inco
39mi
L639
40,730
43A%
ResOU￿e$
Cost of6eWa￿￿
Velunts Income
Share Scherne ErwdL
147
147
161
Fun
T￿lIn
Event ÉxFenses
In¥estment Mana
mentcosts
none
Cha
Grants
Minl
240
Parish Share
VkaVs Exper6es
VI￿tin&c1eryy
Vlcarage Exw5e5
church RuTrnln Costs
Heav LWIWater
InsuTance
Upkeep of Ser¥￿t$
Organis¢sHcmraria
Organ Tunine
Maintenar*e & Repairs
Chtsrchyard Eynses
magazi￿ Éxw
Jnday Sch￿1
Revenue Item5 Pur¢hased
Othei E￿ensES li￿AdM￿l
26924
26.924
623
222
21JlS
140
L266
2AIIS
4.284
3￿?
1021
35
3226
1.067
i(rJ
312
1311
i(
312
3.207
475
375
1.623
38333
443
2372
47.262
GoVerna￿e
Audit Fee
ioj
Other Resources
Insuranceclaims EyThlftu
1,992
44.637
I￿r￿
475lVJ
40.586
Trar¢sfers between Funds
PCC towaids Hall runTriwcosts
Hall 5UPWrtto PCC
145601
I4￿)
45601

tothe Flnand l *aternents
forthe
31st
Totsl F
Vol
2021
Donatfjon5
IrthThtTax reco¥ered ￿ &ft*Jd
3.355
iesfor Gener*i
Funds
Hall Letti￿ to Exrernal Bodie5
FWdralsI￿- Fairs
FUnd￿￿r¥. brdSdelCoflee
FuThlra1￿￿- Other
Bar Sales
3,124
591
143
L014
494
6.031
11.020
6￿1
1,712
tmet)t Incorne
Ik)tÈrett
347
347
21
zi
(harltsble aC￿￿tIeS
al Events
Contrlbuuonsfrom IiiterF￿ Grwps
4.691
4MI
I￿30
Other O
Ina
Incornl Res￿[￿5
Grants. Fwlough
Tot41 Incom
nded
Costof Generau
Fundrd
Tradi
FundraI￿￿eXpEnseS
Bar Ccsts lexAJarml
Alami SeNce/ Repa
Adverdsln8&OtheTCosts
4327
347
Ji
meni Man
nonÈ
thadtableAtthntl
Insurance
Heatl Li8ht/Water
Telepl￿ne{netI
atanin8 Materials& Othercosts
aeaner IWa8es& Contraciorl
Spr¥lclngcosts
miTr
Repalr& MalntÈnarKe
Revenue Items Purch*ed
Social e¥efit5 ICatthn& Musk etrl
Lb43
IMJ
1.547
3.232
195
195
4P37
4.(135
747
1793
343
Gove
Audlt Fee
Other Resources
nded
Irtsurance Claims Expenditure
Transfers between Funds
Pcccontributionta Hal
Hall supportto PCC
Hall. exce55 repairco5rl￿rtsfer