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2025-08-31-accounts

RYEDALE METHODIST CIRCUIT 29/34

TRUSTEES’ ANNUAL REPORT AND ACCOUNTS FOR THE YEAR ENDED 31 AUGUST 2025

RYEDALE METHODIST CIRCUIT

ANNUAL REPORT FOR THE YEAR ENDED 31 AUGUST 2025

ADMINISTRATIVE INFORMATION

Circuit Number: 29/34

Circuit Staff:

Ordained: Superintendent Minister: Rev Peter Sheasby 7 Pinfold Garth, Malton, North Yorkshire, YO17 7XQ Ministers: Rev Graham Ransom

Lay: Missional Lay Employee: Mrs Karen Pattison Administration Assistant: Mrs Ann Thomas Trustees: All members of the Circuit Meeting. A full list is available on request. Circuit Stewards: Ms Kate Gibbs Dr Julia Branson Mr Steve Arnold Mr John Foster Mr Richard Lukey Independent Examiner: Ms S A Cutting

STRUCTURE GOVERNANCE AND MANAGEMENT

The Governing Document Deed of Union (1932) and Methodist Church Act (1976) Constituted Act of Parliament Selection of Trustees Appointed by local churches and existing trustees Ministers are automatically trustees Structure Part of the Yorkshire North and East District of the Methodist Church Accountable to the Methodist Conference Risks Considered by the Leadership Team Take professional advice when required Adopted Safeguarding Policy

2

OBJECTIVES AND ACTIVITIES

The Vision of Ryedale Methodist Circuit is to build fellowships of committed followers of Jesus Christ, who will share the Gospel, grow in faith and demonstrate this through loving service in both the local community and the wider world.

This vision will be worked out by:

Objectives:

The purposes of the Methodist Church are and shall be deemed to have been since the Date of Union the advancement of:

STRUCTURE AND DECISION MAKING

The Circuit staff work as a team sharing responsibilities across the Circuit.

Day-to-day management decisions are taken by the Circuit Leadership Team (CLT). The CLT is composed of the Circuit Stewards and ordained staff.

The Circuit Meeting is the principal decision-making body responsible for the affairs of the Circuit and the development of circuit policy, although decision on specific matters is delegated to the CLT when required. It also acts as the focal point of the working fellowship of the churches in the Circuit, overseeing their pastoral, training and evangelistic work. It meets twice yearly, in the autumn and spring.

CLT meets between Circuit Meetings to:

  1. discuss the life and work of the Circuit

  2. formulate recommendations for the Circuit Meeting

  3. carry out work on behalf of the Circuit Meeting, where appropriate.

  4. to ensure the Circuit effectively uses its financial resources through:

  5. (i) agreeing proposals for the annual circuit budget in advance of the Circuit Meeting (ii) monitoring financial procedures.

The CLT is responsible for the maintenance and upkeep of the manses and has the authority to approve emergency works to manses on behalf of the Circuit Meeting.

All property schemes within the Circuit are examined by the CLT who recommend an appropriate response to the Circuit Meeting. The CLT may seek clarification or modification of an application before making its recommendation to the Circuit Meeting.

In addition to seeking approval, a church may seek financial support from the Circuit for urgent repairs or essential improvements. No limit is placed on this although requests have to be justified and the continuation of the church considered appropriate within the Circuit. For other projects (up to £5000) the CLT may recommend that the Circuit Meeting grant from the Circuit Model Trust Fund up to 15% of the budgeted cost of the scheme (subject to funds being available) depending on how well the scheme fits the approval criteria.

The CLT is also responsible for ensuring staffing levels are maintained at a workable level and may allocate funds for the employment of lay staff to assist with the work of the church when deemed necessary.

3

RISK MANAGEMENT

The Trustees have examined the major strategic and operational risks facing the Circuit and have established the necessary systems to manage or mitigate these risks.

In particular:

Public Benefit

We confirm that the trustees have had regard to the Charity Commission’s guidance on public benefit.

Ryedale Methodist Circuit carries out a range of activities in pursuance of its mission. The Trustees consider that these activities, summarised below, provide benefit to those who are members of the Circuit through the local Methodist churches and the wider community.

ACHIEVEMENTS AND PERFORMANCE

Religious Activities

Acts of worship and pastoral care

The Circuit produces a quarterly, or bi monthly, preaching plan to ensure regular acts of worship take place at each of the Methodist churches and Local Ecumenical Partnerships under its remit. These are open to all people, without charge. The Ministers have pastoral care for these churches.

Baptisms, Weddings and Funerals

The Circuit staff conducted baptisms, weddings and funerals at each of the churches in the Circuit. These services are available at the discretion of the person with pastoral charge. No charge is made for baptisms. A modest set fee is usually charged for weddings and funerals.

Work with Children, Youth, and Families in the local Community

The Circuit supports the work done in the local churches to

We aim to make these services available to everyone.

People and property

Presbyters, Deacons and Local Preachers

The Circuit spiritually and financially supported the above named Presbyters throughout the year (or for the period shown); a number of active Local Preachers and several Supernumerary Ministers took services and preached in the Circuit’s churches during the year.

Lay Employees

The Circuit funded:

Property management

The Circuit maintained two manses throughout the year. Unused manses are rented out until required for new ministers. The properties were only accounted for as manses whilst occupied by ministers. Four further former manses were commercially let. One redundant church was sold during the year and two closed church buildings were transferred to the Circuit.

Volunteers

A substantial part of the Circuit’s ministry is accomplished by volunteers. All the Circuit Stewards and the other members of the Circuit Meeting, except for the Ministers and paid lay employees, are volunteers. All the local preachers are volunteers.

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FINANCIAL REVIEW

The Accounts for the year ending 31[st] August 2025 and the Statement of Assets and Liabilities as at 31[st] August 2025 are contained in Appendix 1. These show a net deficit (gross income less expenditure) of £(134,141) in the year, with total cash funds of £374,748 at the end of the year.

The principal funding sources for the year to 31[st] August 2025 are the Assessments received from the churches within the Circuit and property rental. The principal expenditure is the salary costs of the ministers and lay employees of the Circuit, along with a loan to The Wesley Centre Malton within the year.

The Reserves policy is contained in Appendix 2.

The Trustees have established a policy whereby the unrestricted funds held in the General Reserve should be sufficient to cover six months of general running costs. At 31[st] August 2025, the level of reserves was £167,000, with net current liabilities deducted (but not including loans) and annual expected expenditure is £356K (including possible grants to churches to help with essential repairs). This approach to reserves is considered prudent and current balances, although higher than required, are considered beneficial in the current uncertain economic climate and will enable the Circuit to help local churches where considered beneficial.

The Trustees have also established a policy whereby the Circuit Model Trust Fund should be maintained at a level sufficient to fund an anticipated level of property projects plus the budgeted transfers to general funds over a five year horizon, after allowing for inflows from property sales. At 31[st] August 2025, the balance of the CMTF (excluding the restricted funds) is £203,984. The CMTF is currently in a position which exceeds the requirements of the policy.

This reserves policy will be reviewed regularly.

Overall, the Trustees consider the financial position to be satisfactory.

Approved on 24th March 2025 and signed on behalf of the Circuit by:

Reverend Andy Lindley

Superintendent Minister

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APPENDIX 1: ACCOUNTS FOR THE YEAR ENDED 31 AUGUST 2024

Unrestricted
Funds
Circuit Model
Trust Fund
Other Funds Total this
year
Total last
year
RECEIPTS
Assessment/share 159,973 - - 159,973 161,465
Capital receipts - 92,413 - 92,413 59,491
Interest and investment income 10,130 13,235 - 23,365 18,026
Grants - - - - 288,288
Other receipts 42,548 96,023 - 138,571 43,319
Total receipts 212,651 201,671 - 414,322 570,589
PAYMENTS
Stipends, salaries, NIC, pension and
travel costs
127,678 - - 127,678 102,748
Manse costs 10,333 - - 10,333 8,456
Administration etc 1,736 612 - 2,348 5,256
District assessment 31,216 - - 31,216 34,684
Grants Loans and donations 197,298 - 197,298 309,272
Other payments 20,403 50,408 - 70,811 39,005
Total payments 388,664 51,408 - 439,684 499,421
Net receipts and payments (176,013) 150,651 - (25,362) 71,168
Total funds brought forward from last
year
319,930 213,533 10,304 543,767 472,599
Transfers and adjustments (9,652) 8,074 2,062 484 1
Total funds at end of year 134,265 372,258 12,366 518,889 543,768

6

STATEMENT OF ASSETS AND LIABILITIES AS AT 31 AUGUST 2024

Opening balances Closing balances
CASH FUNDS HELD
Bank current account 57,407 53,325
Central Finance Board deposit account 263,685 80,941
Trustees for Methodist Church Purposes 222,676 384,624
Other funds
Total cash funds held by circuit 543,768 518,890
OTHER ASSETS AND LIABILITIES
Investments 11,194 11,194
Land and buildings 2,069,300 2,069,300
Other assets 8,266 9,200
Loans 84,810 175,910
Other liabilities 40,706 40,706

7

APPENDIX 2: RESERVES POLICY

Our Reserves Policy relates to our general (unrestricted) funds which are freely available to be used for any or all of the purposes of the Circuit.

Other funds are also included for the sake of clarity and openness and to show that the Circuit has a policy for the management of all of its money not simply those which are defined as reserves.

Aims

Three Step Process

In line with Connexional guidance, we undertake a three step process in setting reserves policy:

(1) Mission Policy

The Circuit’s Mission Policy is set out in a separate document developed during the merger process.

Essentially, it provides for:

(a) The ministerial oversight and pastoral care of up to twenty local churches in the Circuit.

(b) The support of a ministry team of two presbyteral Ministers (1 at 31[st] Aug 2024), several supernumerary ministers and two lay employees (one plus an Administrator currently).

(c) The maintenance of the two Circuit manses, four former manses that are currently let out commercially, and any closed chapels that are in the process of being sold.

(2) Financial Plans

Each year, the required levels of expenditure and income are reviewed and a Circuit budget is produced. This covers:

We make provision for our property maintenance programme by designating an amount per annum for each manse to maintain the properties, and an amount per annum to fund a program of periodic property inspections for all the Circuit properties including quinquennial reports for Circuit churches.

8

(3) Reserves Policy

The Circuit General Fund

Under Standing Orders the Circuit must meet its financial obligations in relation to the support of its ministers and the maintenance of the manses. The total budgeted expenditure for the next financial year (including planned contributions to the Manse Fund and the Property Inspection Fund) is c.£118,247. A further allowance of £20,000 is included for potential grants to churches.

Our Reserves Policy is to hold at least six month’s expenditure in hand. On 31/08/24, the balance was c..£330,613(excluding loans of £175,910) so it represented nearly one year’s expenditure. This is above our policy but is considered prudent in the current uncertain financial climate.

Circuit Model Trust Fund

This fund derives from sales of chapels and manses. Historically, the use of this fund has been restricted to specific purposes by the Conference, but more recently Circuits have been given the ability to use their CMTF as they see fit.

Our policy is to use the fund to provide support to the General Fund to further the work of the Circuit (budgeted at £10,000 in 2023/234 and to provide specific support for property related expenditure in individual chapels, through adhoc contributions to significant projects. The Circuit also uses this fund through an initiative to provide 15% of small property schemes.

The call upon CMTF reserves is increased in current financially difficult times to cover larger exceptional grants made where financial difficulties are experienced by specific churches.

Our Reserves Policy is to hold sufficient in the CMTF to cover projected expenditure, over a 5 year horizon, after allowing for anticipated proceeds from property sales – this expenditure comprising:

This would suggest a requirement of £225,000 plus the cost of specific projects less proceeds from sales of closed chapels (net of levies and fees).

The actual balance in CMTF at 31/08/24 was £372,258 but this is considered prudent. .

Restricted Funds

These funds comprise trusts managed by Trustees for Methodist Church Purposes (TMCP), where either the funds are committed to a specific project or the income is available for general use but the capital cannot generally be accessed. Restrictions for the latter case funds are in line with the wishes of the benefactors. These funds amounted to just over £10,000 as at 31/08/24.

Holdings of just over £1,100 are held within the Circuit bank account but had previously been held in a segregated savings account and is being treated as restricted until any requirements relating to its provenance can be confirmed.

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APPENDIX 3: List of Trustees @31[st] August 2024

Role Name
CM Secretary (non Voting) Mrs R A Thomas
Superintendent Revd Peter Sheasby
Presbyter Revd Graham Ransom
Supernumerary Revd Peter Clark
Supernumerary Revd Jane Pickering
Supernumerary Revd Michael Williams
Minister Resident in Circuit Revd Dr Penny Worth
Minister Resident in Circuit Revd Mark Haynes
Lay Employee Mrs Karen Pattison
Circuit Steward Dr Julia Branson
Circuit Steward Kate Gibbs
Circuit Steward Mr Steve Arnold
Circuit Steward Mr John Foster
Circuit Steward Mr Richard Lukey
Synod Rep Mr Robert Rayner
Circuit Steward Finance/Ebberston
Treasurer
Mr Philip Evans
Circuit Property Rep Mr Mike Leng
Local Preachers Rep Mrs Rachel Prest
Allerston Steward Howard Parr
Allerston Treasurer Mary Kemp
Ebberston Representative Helen Leng
Ebberston Steward Mike Peck
Helmsley Representative Andrew Leckenby
Helmsley Steward Les Helm
Helmsley Treasurer Christine Wright

10

Hovingham Steward Sue Goodwill
KMS Representative Kath Hall
KMS Representative Audrey Windress
KMS Steward Janet Brown
KMS Treasurer Stuart Brown
Leavening Steward Steve Langton
Leavening Treasurer Nancy Spencer
Malton Rep Paul Emberley
Malton Steward Ann Lonsdale
Malton Treasurer Roger Hadfield
Norton Bethel Representative Jonathan Piercy
Norton Bethel Steward Veronica Piercy
Norton Bethel Treasurer Margaret Graham
Norton Trinity Representative John Hubery
Norton Trinity Steward Sue Holmes
Norton Trinity Treasurer Suzanne West
Pickering Representative Pam Sellers
Pickering Steward Ruth Hall
Pickering Treasurer Martin Redgard
Rievaulx Steward Edward Garbutt
Rievaulx Treasurer Sheila Foster
Scagglethorpe Rep Janet Smith
Scagglethorpe Steward Paul Douthwaite
Scagglethorpe Treasurer Nancy Wilson
Sinnington Steward David Scaling
Slingsby Representative Stephen Prest
Slingsby Steward Audrey Foster

11

Slingsby Treasurer Brian Smartl
Thornton Dale Representative Mervyn Hand
Thornton Dale Steward Mary Hoggarth
Thornton Dale Treasurer John Woodmansey

Name of Circuit Ryedale Methodist Circuit No 29/24

12

Independent Examiner’s Statement

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:

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 have obtained independent verification of all investments with the Trustees for Methodist Church Purposes or held in other trusts, bank balances and funds at the Central Finance Board of the Methodist Church which are individually in excess of £10,000 (ten thousand pounds) at the balance sheet date.

Signature of independent examiner

Name of independent examiner Ms S A Cutting

Relevant professional qualification of independent examiner AAT

Address 33 South Road, Dodsworth, Barnsley, South Yorkshire, S75 3LG

Date …………………………………………

13

CIRCUIT RECEIPTS AND PAYMENTS ACCOUNTS

THE METHODIST CHURCH STANDARD FORM OF ACCOUNTS

Ryedale

Circuit

FOR THE YEAR ENDED 31 August 2025

District
Yorkshire North and East
Circuit no 29/34
Registered Charity - Charity Registration number
1152920

If not a registered charity Her Majesty's Revenue and Customs Gift Aid number

(The HMRC number is equivalent to a registered charity number in terms of evidence of charitable status and may be used to give to donors or grant funders wishing to see evidence of the organisation's charitable status. Methodist charities in England and Wales that are not registered charities are excepted from registration under Statutory Instrument 2014 No.242 )

Ministers:

Andy Lindley

Graham Ransom

Circuit Stewards:

Julia Branson Kate Gibbs Richard Lukey Steve Arnold John Foster Treasurer:

Circuit Stewards

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ACCOUNTS FOR THE YEAR ENDED 31 August ACCOUNTS FOR THE YEAR ENDED 31 August ACCOUNTS FOR THE YEAR ENDED 31 August ACCOUNTS FOR THE YEAR ENDED 31 August 2025 2025 Ryedale Ryedale Ryedale Circuit Circuit
SECTION A £
£
Un -
restricted
Funds
Circuit
Model Trust
Fund
£
Restricted
Funds
£
166,181
18,588
294,282
Totals this
year
£
Totals last
year
a1 RECEIPTS Note
a2 Assessment/Share 166,181 166,181 159,973
a3 Capital receipts 92,413
a4 Bank and CFB interest and
Investment income
3,848 14,018 722 18,588 23,365
a5 Grants
a6 Other receipts 220,242 74,040 294,282 138,571
a7 TOTAL RECEIPTS 390,271 88,058 722 **479,051 ** (a8) 414,322
SECTION B 125,941
19,011
4,692
52,981
5,868
150,459
254,240
b1 PAYMENTS
b2 Stipends, salaries, NIC, Pension and
travel costs
125,941 125,941 127,678
b3 Manse Costs 19,011 19,011 10,333
b4 Administration etc 4,692 4,692 2,348
b5 District Assessment 34,336 18,645 52,981 31,216
b6 Grants & donations 5,868 5,868 197,298
b7 Loans 150,459 150,459
b8 Otherpayments 16,492 237,687 61 254,240 70,811
b9 TOTAL PAYMENTS 356,799 256,332 61 **613,192 ** (b9) 439,684
(134,141)
SECTION C
c1 NET RECEIPTS/PAYMENTS FOR
THE YEAR
(a7-b9) 33,472 (168,274) 661 (134,141)
c2 Total funds brought forward from lastyear 134,265 372,258 12,366 518,889 (c6) 543,767
384,748
c3 Sub total
(c1+c2)
167,737 203,984 13,027 384,748
c4 Transfers and adjustments (c7)
c5 TOTAL FUNDS AT END OF YEAR
(c3+c4)
167,737 203,984 13,027 **384,748 ** (c8) **518,405 ** (c6)
SECTION D -
d FOR INFORMATION ONLY: MONEY RECEIVED AND PASSED ON TO EXTERNAL ORGANISATIONS
(these amounts should not be included intotal receipts/payments above)
Offerings/Gifts -passed to external organisations
BALANCE STILL TO BE PAID (d1 + d2 - d3)
Offerings/Gifts - received for external organisations
Balance brought forward from lastyear
d1 Balance brought forward from lastyear
d2 Offerings/Gifts - received for external organisations
d3 Offerings/Gifts -passed to external organisations
d4 BALANCE STILL TO BE PAID (d1 + d2 - d3)

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Ryedale

Circuit

SUMMARY OF CIRCUIT ACCOUNTS AND INTERNAL ORGANISATION REPORTING TO THE CIRCUIT MEETING

SECTION E Please follow the Guidance Notes to complete this page Summary of the Circuit accounts for the year ended 31 August 2023 and Internal Organisations reporting to the Circuit Meeting. Note that the funds of an Internal Organisation would normally be Restricted funds unless it could be clearly shown that they could be used for any Methodist purpose. This section must be completed to arrive at the gross receipts and payments totals of the Circuit. If gross income exceeds the Accruals threshold of £250,000, then the Accruals method of accounting AND A DIFFERENT FORM must be used to report the accounts (see Methodist website). Please refer to the guidance notes regarding transfers between the Circuit and connected Circuit Organisations.

SECTION E SECTION E SECTION E SECTION E SECTION E SECTION E SECTION E SECTION E SECTION E
Summary of the Circuit accounts for the year ended 31 August 2023 and Internal Organisations reporting to the Circuit Meeting. Note that the funds of an
Internal Organisation would normally be Restricted funds unless it could be clearly shown that they could be used for any Methodist purpose. This section
must be completed to arrive at the gross receipts and payments totals of the Circuit. If gross income exceeds the Accruals threshold of £250,000, then the
Accruals method of accounting AND A DIFFERENT FORM must be used to report the accounts (see Methodist website). Please refer to the guidance
notes regarding transfers between the Circuit and connected Circuit Organisations.
INTERNAL
ORGANISATIONS
Net Receipts/
Payments
Adjustments Opening
balances
Closingbalances
e1
e2
e3
e4
e5
e6
e7
e8 Sub total of Internal
Organisations funds
(e11) (e12)
e9 Circuit accounts (totals
brought forward from
page 2 - totals column)
(134,141) (c7) 518,889 (c6) 384,748 (c8)
e10 TOTAL CASH FUNDS
HELD BY CIRCUIT
(134,141) **518,889 ** (x) **384,748 ** (y)
SECTION F

SECTION F

STATEMENT OF ASSETS AND LIABILITIES

SECTION F
STATEMENT OF ASSETS AND LIABILITIES
SECTION F
STATEMENT OF ASSETS AND LIABILITIES
CIRCUIT - CASH FUNDS HELD at 31 August 2023 OPENING
BALANCES
CLOSING
BALANCES
f1 Cash in hand
f2 BankCurrent Account 53,325 47,828
f3 Bank Deposit Account
f4 Central FinanceBoard 80,941 119,909
f5 Trustees for Methodist Church Purposes 384,624 217,011
f6 Other funds
f7 SUB TOTAL **518,890 ** (c6) 384,748 (c8)
f8 Total funds held by Internal Organisations (the closing
balance totals above) (e12)
(e11) (e12)
f9 TOTAL CASH FUNDS HELD BY CIRCUIT **518,890 ** (x) 384,748 (y)
SECTION G At At
SECTION G
OTHER ASSETS and LIABILITIES
Loan(s)-showamountoutstanding atyearend
Land andBuildings (seenotesreInsurancevalue)
Other Assets
Other Liabilities
Investments (includeEndowments)
1 September 2024
11194
2,069,300
8,266
175,910
40,706
31 August 2025
11194
2,069,300
8,266
217,000
40,706
g1 Investments (includeEndowments) 11194 11194
g2 Land andBuildings (seenotesreInsurancevalue) 2,069,300 2,069,300
g3 Other Assets 8,266 8,266
g4 Loan(s)-showamountoutstanding atyearend 175,910 217,000
g5 Other Liabilities 40,706 40,706

f4 Include only Funds held at the Central Finance Board

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circuit-r_and_p-2025

Name of Circuit …………………………………………………………… No………..

Declarations and Scrutiny

I confirm that these Receipt and Payment based accounts for the year to 31 August 2025 have been prepared from the records of the Circuit and that they include all funds under the control of the Circuit meeting.

Signature of treasurer Circuit Stewards Date……………………..

Presentation to the Circuit meeting

I confirm that the annual report and accounts for the year ended 31 August 2025 were/will be* presented to the Circuit meeting held on 24th March 2026

Name of the Chair of the meeting ……Rev Andy Lindley

Independent Examiner’s Report to the Trustees of the

Ryedale Methodist Circuit

Charity Number 29/34

Responsibilities and basis of report

I report to the trustees on my examination of the accounts of the Ryedale Methodist Church Circuit for the year ended 31 August 2025 set out on pages 1 to 3 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 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 the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

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circuit-r_and_p-2025

Name of Circuit Ryedale Methodsit Circuit No 29/34

Independent Examiner’s Statement

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:

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 have/have not* obtained independent verification of all investments with the Trustees for Methodist Church Purposes or held in other trusts, bank balances and funds at the Central Finance Board of the Methodist Church which are individually in excess of £10,000 (ten thousand pounds) at the balance sheet date.

Name of independent examiner Ms S A Cuttng

Relevant professional qualification of independent examiner AAT

Address 33 South Road, Dodworth, Barnsley, S75 3LG

Date 26.02.26

Form reviewed May-23

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circuit-r_and_p-2025

CIRCUIT RECEIPTS AND PAYMENTS ACCOUNTS

THE METHODIST CHURCH STANDARD FORM OF ACCOUNTS

Ryedale

Circuit

FOR THE YEAR ENDED 31 August 2025

District
Yorkshire North and East
Circuit no 29/34
Registered Charity - Charity Registration number
1152920

If not a registered charity Her Majesty's Revenue and Customs Gift Aid number

(The HMRC number is equivalent to a registered charity number in terms of evidence of charitable status and may be used to give to donors or grant funders wishing to see evidence of the organisation's charitable status. Methodist charities in England and Wales that are not registered charities are excepted from registration under Statutory Instrument 2014 No.242 )

Ministers:

Andy Lindley

Graham Ransom

Circuit Stewards:

Julia Branson Kate Gibbs Richard Lukey Steve Arnold John Foster Treasurer:

Circuit Stewards

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circuit-r_and_p-2025

ACCOUNTS FOR THE YEAR ENDED 31 August ACCOUNTS FOR THE YEAR ENDED 31 August ACCOUNTS FOR THE YEAR ENDED 31 August ACCOUNTS FOR THE YEAR ENDED 31 August 2025 2025 Ryedale Ryedale Ryedale Circuit Circuit
SECTION A £
£
Un -
restricted
Funds
Circuit
Model Trust
Fund
£
Restricted
Funds
£
166,181
18,588
294,282
Totals this
year
£
Totals last
year
a1 RECEIPTS Note
a2 Assessment/Share 166,181 166,181 159,973
a3 Capital receipts 92,413
a4 Bank and CFB interest and
Investment income
3,848 14,018 722 18,588 23,365
a5 Grants
a6 Other receipts 220,242 74,040 294,282 138,571
a7 TOTAL RECEIPTS 390,271 88,058 722 **479,051 ** (a8) 414,322
SECTION B 125,941
19,011
4,692
52,981
5,868
150,459
254,240
b1 PAYMENTS
b2 Stipends, salaries, NIC, Pension and
travel costs
125,941 125,941 127,678
b3 Manse Costs 19,011 19,011 10,333
b4 Administration etc 4,692 4,692 2,348
b5 District Assessment 34,336 18,645 52,981 31,216
b6 Grants & donations 5,868 5,868 197,298
b7 Loans 150,459 150,459
b8 Otherpayments 16,492 237,687 61 254,240 70,811
b9 TOTAL PAYMENTS 356,799 256,332 61 **613,192 ** (b9) 439,684
(134,141)
SECTION C
c1 NET RECEIPTS/PAYMENTS FOR
THE YEAR
(a7-b9) 33,472 (168,274) 661 (134,141)
c2 Total funds brought forward from lastyear 134,265 372,258 12,366 518,889 (c6) 543,767
384,748
c3 Sub total
(c1+c2)
167,737 203,984 13,027 384,748
c4 Transfers and adjustments (c7)
c5 TOTAL FUNDS AT END OF YEAR
(c3+c4)
167,737 203,984 13,027 **384,748 ** (c8) **518,405 ** (c6)
SECTION D -
d FOR INFORMATION ONLY: MONEY RECEIVED AND PASSED ON TO EXTERNAL ORGANISATIONS
(these amounts should not be included intotal receipts/payments above)
Offerings/Gifts -passed to external organisations
BALANCE STILL TO BE PAID (d1 + d2 - d3)
Offerings/Gifts - received for external organisations
Balance brought forward from lastyear
d1 Balance brought forward from lastyear
d2 Offerings/Gifts - received for external organisations
d3 Offerings/Gifts -passed to external organisations
d4 BALANCE STILL TO BE PAID (d1 + d2 - d3)

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circuit-r_and_p-2025

Ryedale

Circuit

SUMMARY OF CIRCUIT ACCOUNTS AND INTERNAL ORGANISATION REPORTING TO THE CIRCUIT MEETING

SECTION E Please follow the Guidance Notes to complete this page Summary of the Circuit accounts for the year ended 31 August 2023 and Internal Organisations reporting to the Circuit Meeting. Note that the funds of an Internal Organisation would normally be Restricted funds unless it could be clearly shown that they could be used for any Methodist purpose. This section must be completed to arrive at the gross receipts and payments totals of the Circuit. If gross income exceeds the Accruals threshold of £250,000, then the Accruals method of accounting AND A DIFFERENT FORM must be used to report the accounts (see Methodist website). Please refer to the guidance notes regarding transfers between the Circuit and connected Circuit Organisations.

SECTION E SECTION E SECTION E SECTION E SECTION E SECTION E SECTION E SECTION E SECTION E
Summary of the Circuit accounts for the year ended 31 August 2023 and Internal Organisations reporting to the Circuit Meeting. Note that the funds of an
Internal Organisation would normally be Restricted funds unless it could be clearly shown that they could be used for any Methodist purpose. This section
must be completed to arrive at the gross receipts and payments totals of the Circuit. If gross income exceeds the Accruals threshold of £250,000, then the
Accruals method of accounting AND A DIFFERENT FORM must be used to report the accounts (see Methodist website). Please refer to the guidance
notes regarding transfers between the Circuit and connected Circuit Organisations.
INTERNAL
ORGANISATIONS
Net Receipts/
Payments
Adjustments Opening
balances
Closingbalances
e1
e2
e3
e4
e5
e6
e7
e8 Sub total of Internal
Organisations funds
(e11) (e12)
e9 Circuit accounts (totals
brought forward from
page 2 - totals column)
(134,141) (c7) 518,889 (c6) 384,748 (c8)
e10 TOTAL CASH FUNDS
HELD BY CIRCUIT
(134,141) **518,889 ** (x) **384,748 ** (y)
SECTION F

SECTION F

STATEMENT OF ASSETS AND LIABILITIES

SECTION F
STATEMENT OF ASSETS AND LIABILITIES
SECTION F
STATEMENT OF ASSETS AND LIABILITIES
CIRCUIT - CASH FUNDS HELD at 31 August 2023 OPENING
BALANCES
CLOSING
BALANCES
f1 Cash in hand
f2 BankCurrent Account 53,325 47,828
f3 Bank Deposit Account
f4 Central FinanceBoard 80,941 119,909
f5 Trustees for Methodist Church Purposes 384,624 217,011
f6 Other funds
f7 SUB TOTAL **518,890 ** (c6) 384,748 (c8)
f8 Total funds held by Internal Organisations (the closing
balance totals above) (e12)
(e11) (e12)
f9 TOTAL CASH FUNDS HELD BY CIRCUIT **518,890 ** (x) 384,748 (y)
SECTION G At At
SECTION G
OTHER ASSETS and LIABILITIES
Loan(s)-showamountoutstanding atyearend
Land andBuildings (seenotesreInsurancevalue)
Other Assets
Other Liabilities
Investments (includeEndowments)
1 September 2024
11194
2,069,300
8,266
175,910
40,706
31 August 2025
11194
2,069,300
8,266
217,000
40,706
g1 Investments (includeEndowments) 11194 11194
g2 Land andBuildings (seenotesreInsurancevalue) 2,069,300 2,069,300
g3 Other Assets 8,266 8,266
g4 Loan(s)-showamountoutstanding atyearend 175,910 217,000
g5 Other Liabilities 40,706 40,706

f4 Include only Funds held at the Central Finance Board

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Name of Circuit …………………………………………………………… No………..

Declarations and Scrutiny

I confirm that these Receipt and Payment based accounts for the year to 31 August 2025 have been prepared from the records of the Circuit and that they include all funds under the control of the Circuit meeting.

Signature of treasurer Circuit Stewards Date……………………..

Presentation to the Circuit meeting

I confirm that the annual report and accounts for the year ended 31 August 2025 were/will be* presented to the Circuit meeting held on 24th March 2026

Name of the Chair of the meeting ……Rev Andy Lindley

Independent Examiner’s Report to the Trustees of the

Ryedale Methodist Circuit

Charity Number 29/34

Responsibilities and basis of report

I report to the trustees on my examination of the accounts of the Ryedale Methodist Church Circuit for the year ended 31 August 2025 set out on pages 1 to 3 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 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 the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

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Name of Circuit Ryedale Methodsit Circuit No 29/34

Independent Examiner’s Statement

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:

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 have/have not* obtained independent verification of all investments with the Trustees for Methodist Church Purposes or held in other trusts, bank balances and funds at the Central Finance Board of the Methodist Church which are individually in excess of £10,000 (ten thousand pounds) at the balance sheet date.

Name of independent examiner Ms S A Cuttng

Relevant professional qualification of independent examiner AAT

Address 33 South Road, Dodworth, Barnsley, S75 3LG

Date 26.02.26

Form reviewed May-23

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