South WanNlckshire Methodist Clrcult
Reglstered Charlty Number 1154830
Trustees, Report and Audlted Accounts
lor the year ended 31 August 2025
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South Warwlckshlre Methodist Circult
Trustees, Report for ihe year ended 31 Auiust 2025
Introduction
Thls report and accounts covers the year to 31 August 2025.
The CSrEvit seeks to live out the callin8 of the MethodI5t Church to respond to the gospel of God's love In Chrlst and
to live out its discipleship and to..
increase awarenes5 of God's presence and to ￿lebrate God's love
help people tu 8row and learn a5 Chrtstlans through mutual support ènd Care
be a 8ood nel8hbour to people In need and to challenge injustice
The mlssion of ihe South Warwlckshlre Methodlst Circubt is to encoura8e and SUPPDrt people to be open and
responsive to God. each other and the world.
Revlew of the year
The Statement of Flnanclal Actlvltles shows a net deficit on the General Ft4nd, before Investment and other
reco8nlsed galns and losses, of £84,949 for the year. This rellEct5 planned utillsatlon of reserves to fund a poliry of
spendlnB reserve5 on new Initiative5 to spread the word of God.
During the year a new Leamington Spa manse was purchased and refurblshed to make it suitable lor a mlnlster.
WheTh a Methodist Church closes, rhe managln8 trusteeshlp of any land and bulldings passed tr the ClrcuS1. If the
plon is to dlsp05e of the buildlngs they are reco¢nlsed at lalr value In the Finantlal Statements of the Clrcuit. The galn
aris5ng on reco8nlslng the value Is shown In the Statement ol Financial Activity and they are tla551fied as current
a55et Investrnents Dn the Balance Sheet. The former church at Fenny Compton was sold lor E88.849 net of c05ts.
This matched it ¢arrylng value ar the prevlous year end.
Net expendlture of E37,470 on the Circult Model Trust Fundls after a District Advance Fund contrlbution of £61,599.
At the year end totèl reserves were £3.S48,669. Of thèi £3.089,422 is held In fixed assets or property awaltln8 Sèle.
come tr nds
The princlpal funding sources durln8 the year were..
11 Generul Fund A55es5rnents received from the churche5 in the Clrcuit.. £265,00212024.. £269,998).
21 Circuit Model Trust Fund.. Inve5trnent Income of £27,17712024.. £33,628).
endlture
The priThclpal items of Expenditure were the stipends of rninisters and provlslon of thelr maJse5, as WEII a5 the
sa13ries of lay workers ernployed by the Circuit. Stipends increase each year In Ilne with increases approved by the
Methodist Conferente. Lay workers are paid at or abDve the ￿VIng Wa8e (determined each November by thè Livin8
Wage FoundatlDnl. Lay worker salaries are reviewed periodically to take account of any change in the Scope and
scale of re5ponsibilitie5. individual performance and local cornparators.

Pogej
South Warwickshlre Methodist Circult
Trustees, Report lor the year ended 31 August 20251contlnued)
ndlture trends
ntlnued
An a55essment of £62,56812024.. £56,8321 was pald to the Birmin8ham Methodist Dlstrlct. to support the
work of the Methodist Dislri¢t and the wider Methodist Church. The annual contributlon to the District
Athance Fund, £61.59912024: £33.4471. was an Increasè from the previou5 year as a result of the higher
Model Trust Fund balance. The contrlbutlon is made under Standing Order 955161 and is a tarlff based on
ClrcuSt funds held by the Trustees for Methodist Church Purposes at the prevlous year end.
F ndbal
At 31 Au8USt 2025 net current assets were £825,890 12024: £1,599,738). Once a bulldln8 Is sold the net
proceed5 betome part of the Circuit Model Trust Fund. The transfer between funds of £502,422 represents
Clrcult Model Trust money used to pay for the new manse less sale proceeds added to the Clrcult Model
Trust Fund. Consequently, there is a 51Bnlficant reduction durlng the year.
r 2025
26 and
ears
The Clrcuit alms to cover normal ongoing costs from ihe assessment IneDme. The cost of addltlonal mlssion
activltiesls to be met from reserves.
as15
rè
aration of a
ounts and le
al fr¥mewo
The Charity's annual report and account5 for the year ended 31 August 2025 have been prepared sn
accordancè wlth the Charities Act 2011 and the Charities.. Statement of Recomrnended Practice 2019 as
applicablè to the Flnancial Reportlng Standard IFRSI 102.
These flnancial statements are subject to audlt owing to the gross asset value of the CSrcuSt exceeding the
relevant threshold.
Charity reilstratlon number:
1154830
Maln communlcatlon address .
9 Northvalè Close. Kenllworth, CV8 2EN

South Warwlckshire Methodist Clrcuit
Tfustees, Report for the year ended 31 August 2025 (eontinued)
Charlty trustees
The members of the South Warwlck5hire Methodlst Circuit meetlng are the Charity Trustees.
membership belng made up of clrcuit office holders, minlstèrs and representatives appolnted by the
local churche5 (see Appendlx to Trustees, Report for a full list of Trustee51. The Circuit meeting delegate5
the day to day running of the clrcuSt to a leadership tearn.
Clrcult Leader5hlp Team for the yeDr to 31 Au8USt 2025
Active circuit mlnisters
Rev lain Ballard
Rev Sally lones
Deacon lane Mllls
Rev Tlna Brooker
Aev Richard Wilde Ipart timel
Shella Brown
Christopher Bensu)n
David Witham (Treasurer)
Davld Wltharn acted as the prlncipal officer overseeing the day to day financlal maTra8ement and
accounting for the Clrcuit durin8 the year.
Clrcultstewords
Audltors
JW Hinks LLP- Chartered Accountants and Statutory Audltors
8ankers
Central Finance Board of the Methodlst Church
Trustees for Methodist Churth Purposes
CAF Bank
Alms and or8anlsatlon
The charlty's oblective is to act as a resource provider in South Warwlckshlrè for the MethodI5t Church.
The purposes of the Methodist Church are and shall be deerned to have been since the Date of Union
the advancement of:
al The Chrlstian faith In accordance with the doctrinal standards and diKipline of The Methodlst Church,.
bl Any charitable purpose for the tlme being of any Connemional. Di5tricL Circuit, local or other
or8ani5ation of The Methodist Church,.
cl Any charltable purpose for the trme being of any society or institution subsidiary or anclllary to The
Methodist Church;
dl Any purpose for the tlme bein8 of any charity being a charity subsldiary Dr anclllary to The Method15t
Church.

South Warwick5hire Methodist Circult
Trustees. Report for the year ended 31 August 2025 Ifontinuedl
Alms and organlsatlon Icontinuedl
The Circuit encourages and Supports the Methodist churches In South Warwlckshlre in..
the organisation and resourcin8 of regular public acts of worship which are open to members of the church and non
members alike.
- the tea¢hin8 of Christ13nity through serrnon5, courses and small groups.
the re50urcln8 of pastoral work Including visitlng the Sick and bereaved.
tsking religious assemblies in local schools.
-promotion of Chrlstlanity throu8h the 5taglng of events and seNltes.
-provlsion of club5. activltles and support groups wlth a Chrlstlan ethos.
supportln8 Other charities In the UK and Dverseas flnancially and with prayer.
The Clrcuit reviews its aSms, objective5 and a¢tlvitles and identifies DPPOrtunitles for future actlon. It promotes
misslon and Blves appropriate support to churches that demonstrate that they are outward looklng. mlssion
focused, not averse to change and taklng rlsk and, where posslble and approprlate, seekin8 to V40rk In
partnership wlth others.
Publlc Benefli
The trustees conflrm that they have had regard to the Charity Cornmlsslon's guidance on public benefit.
Structure. Gov•rn•nce ¥nd Mana8*ment
The 8overnln8 document for the clrcult Is the Deed of Union119321 and Methodlst Church Act119761.
Detailed governance arrangements are outlined withln the Constitutional Practice and Di5clpllne of the Methodlst
Church by order of the annual conference ICPDI.
Day to day management of the Circult is undertaken by the Clrcult Leadershlp tearn.
Selectlon ot Trustees and TraInI￿ of Trustees
Trustees are appointed a5 set out in the Constitutlonal Practlce and Dlsclpllne of the MethodSst Church. Appolntment
Is made by local churches or existing trustees or. In the case of mSni5ters, on statlonlng In the Clrcuit.
A r3nge of guldance produced by Methodist Connexion 10 SUPPOrt the effective runnin8 ol the Clrcuit 15 given to CSrcult
Meetin& mernbers. In particular the leaflet'The Role of a Trustee In The Methodist Church, is given to all new Circuit
Meetin8 mernbers as Inductlon to their role as trustees. oiher trainln8 is provided to Trustees appropriate to their role
and responsibility withln the Clrcuit.
Related Parties
The CirEUIt was part of the Birmingham District. untill 31 August 2025 when that distrlct combined wlth another to
form the West Midland District, and15 also aetountable to the Meihodist Conferenc2.
The followin8 Methodist Churches and Local Ecumenical Projects ILEPI are linked to the Clrcult.. cubbin￿ON, Dale
Street, Henley in Arden. Kenilworth, Kineton, Radford Road ILEPI. Stockton ILEPI, Stratford upon Avon. Welford on
Avon. Warwlck, Wellesbourne and Whitnash.
The tiustees and their close family members are also related parties.

South Warwick5hire Methodlst Clrcult
Trustees, Report for the year ended 31 Au8U5t 202S l¢ontlnuedl
Poge S
Rlsk Management
The major risks have been identified and recorded by the Circuit Leadership Team wlth professlonal
advice tèken as required. There is a regular annual review process undertaken and recorded.
Income and expend5ture is compared with the apprDved annual budget on a half yearly basss to detert
trend5 as part of the rlsk management process and avold unloreseen calls on reserves.
S•le8uardlni
Every person ha5 a value and dignlty whSch comes dlrectly from the creatlon of male and female in God's
own Imagè and Ilkene$5. Christians see this potentlal as fulfilled by God's re-creatlon of us in Chrlst.
Among other thlngs th15 Implles a duty to value all people as bearing the image of God and therefore to
protect them from harm.
MethodSst Connexional practice outlines commitment to the followlng pr5nclples-.
the care and nurture of, and respectful pastoral mlnlstry with. all children. young people and adults.
the safeguirdin8 and protectlon of all children. young people and adults when they are vulnèrable.
thè e5tablishin8 of safe, caring communltles which provide a loving envlronment where there Is
nformed vigilance as to thè dangers of abuse.
We wlll carefully select and train all those with any responslblllty wlthin the Church, In line with Safer
Recruitment princlples. Including the USÈ of crlmlnal records dlsc105ures and re8lStratlon wlth the
relevant vettln8 and barring schemès.
We will respond wlthout delay to every complaint made which suggests that an adult, child or youn8
person may have been harmed. cooperating with the pollce and local authority in any investigatlorn.
We will seek t() work wlth anyone who has suffered abuse, developing wlth them an appropriate
ministry of Informed pastoral care.
We will seek to challenge any abuse of power, especlally by anyonè In a positlon of trust.
We will seek to offer pastoral care and support, includlng superv15ion and referral to the proper
authorities, to any mernber of our church communlty known to have offended 08aln5t a child, young
person or vulnerable adult.
• In all these prin¢iple5 we will follow leglslatlon, guldance and recogni5ed 8ood practlce
The Circuit commits Itself to ensuring the implementation of Connexional Safeguardlng Policv-
government legislation, 8uidance and safe practlce in the clr¢uit and In the churche5.
The Circult commits Itself to the prov15ion of support, advlce and traSning for lay and ordained people
that will ensure people are clear and confident about their roles and responsibllities irtr safeguarding and
promoting the welfare of children and adult5 who may be vulnerable.

South Warwlckshire Methodlst Clrcult
Trustees, Report tor thè year ended 31 August 2025 Icontlnuedl
Reserves Policy
The Reserves Policy for the Cirtuitls to hold a mlnlmum sum equivalent to 4 months, average expeThdlture.
Thls should be sufficient to meet any unforeseen item of major expendrture on manses and contlnue
planned actlvltles for the short term In the event of any inability to ralse the full circuit asse55ment from
churches.
At 31 August 2025, the CSrcult held reserves of £825,890, excluding reserves held as tangible fixed a55ets.
Thls represents £646,766 In excess of the amount determined under the Circuit'5 reserves policy. The
Cir¢uSt continues to develop a strate8V to utlllse surplus reserve5 for the furtheranct cf its Dbjectives. The
Clrcuit Meeting has agreed that the followlng costs should be excluded from the base for calculat5n8
assessments on churches and will be funded from re5erves'.
Manse refurbi5hrnent costs In exce55 of regular malntenance
Costs of part time presbyters for the length of thelr appolntments
Cost of addltional mission focussed rninistry
Costs of malntainin8 and admlnlsterlng surplus property
Grants
The poliry 5s contlnuln8.

South W*witk8hlr• MethodSsl Clr¢ult
Trust••s' Rgportlorth¢ y•ar •Jded 31 Avo￿¢ 2025 (¢ontlnu•dJ
Thé trustees are re5ponsIid￿ for preparkn8 the Report gf the Yru5tees and the flnanclal $tafements In
accordance wlth ￿p￿[able and Unlted KI￿daM A¢countln£ 5tsrthrds IVnlte(l Ki￿d0M 6•nornlly
Acc•pted AccouThtln8 Practl¢•l.
The law op￿sCabIe to charftles In EnBland andw41es.the CharlknAct 2011, Charlty IAtCOUnts
Reports) Re8u10￿0ns 2CW andthe provlslons of the trustdqed requlras the trust•es to prepare fln•ndal
stsiements lore•ch flnwthl yearwhl¢h glve4 true and hlr vt•w of the state of èffalr¥ of ihe thirlty Ind
of tho IrKomln¥ rn50vrces and appllcatk>n of r•sources. Includln8th• Income ￿PendIt￿ of the
charftyfor that peTl&d. In prepaTlng those ffn¥￿thI stitmrtents. th• trust•es requlred to
-select Sulta￿e account￿ pot￿leS and then opply them conststentW,'
- observe the rnethodsaThl prfndples In the Charlty 50RP:
. makelu(*em•ntsand estIn￿lIS that are reasonable and prudenl.
- prepare ihe ￿na[￿lI statemonts on the go1￿ concern tsa$￿ unless It15 In•pproprthte to pre5um¢ thjt
th•c￿rity￿111 rontFnue In bwJrw55.
Th•trust•os are re5ponslt4• fork•eptftff prop•raccountln8 record5 whlch dlsdose wlth rèasomble
accuracyat anytlmeth• finandal posltlon of the charfty Ind to en•bk th•m to •nsure th•t the finandal
statements comply wlth the Chirttlos Act 2011, the ChBrty IA¢counts and fl•portsl Rp8ulatlon5 2008 and
the pro¥W￿5 Dlthe tntst dEed. They are a>so r•spon51ble lor saleuuardlrb8the a5s8ts of the chorlty and
hence fortaklng reasoTrabJ• 5tepsforthe preventlon and detectlon ol fraud and other Irre8ularftle$,
Apwoved by orderofthe board of truAee5 on 17Junv2026andsJ¥ned on itsbohalfty..
Rev loln Bollord
SupertntendentMln15ter

Appendlm A
Poge 9
South Warwick$hlre Methodist CIKuSt
Circuit Meetln8 Membership
MINISTERS
Rev Dr lain Ballard
Rev Sally Jones
t>ea¢on Jane Mi115
Rev Tina Brooker
OTHER MINISTERS RESIDING IN THE CIRCUIT WHO WISH TO BE MEMBERS OF THE CIRCUIT MEEnNG
Rev E Brian Mason
Rev Richard WiLda
Rev Oavid Butterworth
Fr¢)m 11 Saptemb8r 2024
CIRCUIT STEWARDS
David Witham - Treasurar
Sh8ila 8rown
Chrlstopher Benson
LOCAL PREACHERS REPRESENTATIVES
Russ611 Blackw911
CHURCH REPRESENTATIVES
Dale Str•et & Cubblnilon June Gabbllas
Jill Lloyd
Mark Whllehouse
Davld Sandv
Graham HL￿e
Derek Dwyer
Klnetorb & Wellsbourne fioger Cart8r
Keith Hi¢ks
L Jane Aimell
Sandra auaiterman
Trlcla Wilkinson
SRlly Mccawley
Jonathon BurTQWS
Flona Pethlck
Margaret Bull
Andrew Davidson
Heather Chamberlain
Janel Grant
Philip Ledgard
R Margar8t 81akemor8
A￿1reW Stedè
Anne Oliver
Julie 8arr
Ken Hayward
Trevor Wllls
Ethard Timmins
Mauri* Mills
To 11 Mqy 2025
To 11 May 2025
From 11 May 202S to 16 June 2026
From 16 Jun8 2026
From 11 Seplemb8r 2024
To 18 September 2025
To 9 June 2026
Frorn 9 June 2026
Kenllworth
From S Juno 2025
R*dford Road
stockton
Stratford upon Avon
Inc Henley In Arden
Warwlck & Whltnash
To 1 4Jrll 2025
Welford upon Avon
OTHERS APPOINTED
Climate Chanie
Safeguardlng
Archlvlst
CLEG
Mark Boulton
Penglop9 Sharp￿s
Edward Royle
Lindsey Sulliva
To 3 D•¢ember 2024

Puqejo
South Watwickshire Methodist Circuit
Statement of Flnancial Attlvities ISOFAI for the year ended 31 August 2025
Yur•nd•d
31.1.25
Yearènded
31 8.Z4
Income
AssessmEnt5 from chur¢hes
Lettlngs
Grants
orher
265,DD2
62,1?3
27.ts41
165,LhJl
61113
27,041
31.191
269.998
23.876
269.998
23.176
22.318
37.139
353,93]
Zg.591
4149
33.678
Total Income
J•7,777
17.177
a2Q,303.
33.61
Expendlture
Stipends, salar￿e5, Nl, Penslon
Oistrlct A55e55ment
Telephone & travol
I72.￿3
Z72.105
61568
1&127
16,052
280.B51
56,832
280.851
56,83?
L8,942
28.335
3.053
5.834
Maintenance on manses
OffiEe costs
Sur
Iu5 propertles
Other Expèndlture
Grant5 and donatlon5
Depreciation
Contrlbutlons to Olstrlct Advance Fund
endlture
18,D82
15,198
39.954
I9￿06
514
39,¥S4
3,048
15,273
9,681
2.058
2,SYO
I,syo
61,S*Y
$37J73
2.058
61.S99
.647
1,726
438,Ots
473,053
Net lexpendlturel /lncom•
Other recoznised ialn5 ond IossEs
Gain on dlsposal ol fixed asset
Chan8e in faSr value of property held lor
IJ7A701
216,439
286,439
Reclasslflcation of funds
Transfers between funds
Draw down from model trust
14et movement in funds
RÈtonclllatlon of funds..
Total fullds broughttTrrward
Tolal Ivndscarrt¢d forward
114.5861
17S8,3681
758,368
1120.0001
636.946
12fj.ll(Ki
537,a7a
112D.nllQl
1659*911
120,OUU
142,711
2.519,501
115W4
I.U51.517
99L595
3.671,
414,641
I,r61.587
3.528,3fj7
3.671,008
,619.501

StyrthWar*kksNrv IA•thadlJt Clrtult
B•larKe Sheet*s at 31 Auw5t 2025
Gmernl Fund
IUnr•Sb**dl
tir(ult Model
Tru51 Fund
Iunrutwktedl
31 Au8u5t
1014
202$
TanBlblt Flxed Aw•ts
L•nd. buildin85 & equlpmént
lrtve%iment property
12
2.722.7T9
I,nz.m
2.071.350
Z.722,779
1712,Th
I071,35CI
urre
Inves
rnEn
Debtors and prepayments
Trustees for Methodlst Church PurpoJe5
Central Fln•nce Board DeposK5
Cash at bank
14
33.842
1.421
)90,274
J5,263
390.174
68A55
15.390
291,Z92
937.987
78.185
8,￿5
66,455
15.398
39L
rJ•dltorn •nd
d¥• In urth I
Is
50,143
171,223
4a4,195
J•i,
1,599,730
3.15&974
3.671,(￿8
F4mOsdth•Clr(ult
Glneral Fund
Clrcuit Model Tryst Fund
16
16
3.156.974
2.619.501
1.051.587
3.671,08
391.69S
J91,69S
3*1,69S
J.Yl.669
3.￿.9?
SlID￿..
17 Junq 2016
Withom FfA
Clrcuit freosvrer

South Warwrtkshire Methodist Clrcult
Notes to the Accounts for the year ended 31 AuBUSt 2025
Poqe12
l. Basls of a¢countinB
The flnancial Statements of the chadty, whlch Is a public benefSt entity under FRS 102. have been prepared in
accordance with the Charities SORP IFRS 1021"Aciounting and Reporting by Charities.. Statement ol Recommended
PradSce applicable to charities preparlng thelr accounts with the Financial Reportin8 Standard applicable In the
Unlted Kingdom and Republic of Ireland IFRC 1021 (effective l January 20191" Financlal Reportlng Standard 102 The
Flnanclal Reportin4 Stsndard applicable In the UK and Republlc of Ireland" and the Charltles Act 2011.
2. Publlc ben•flt entlty
The charity constitutes a publlc benefit entlty a5 dellned by FRS 102.
3. Consolldatlon
The Clrcult has denomlnotional regulatory oversight In respect of the work of the Churches wlthSn the Circult bui has
no legal or operatiL)nal control of those Churches and their governln8 bodie5 except in extreme civcumstèntes. Fof
thls reason, the financial statements of those Churches wlth5n the Clrcult are not consolidated into these flnanclal
statements.
4. Accountlni pollcle5
l. Income Recognltion
Incorne Is brought into account when the Clrcult becomes entitled to the resource5 and the Trustees believe It 15
more Ilkely than not that they w511 recelve the resources. and the monetary value can be measured with sufflcient
rellablllty.
In accordance wlth Cha￿tIeS SORP IFRS 1021. the tlme of volunteers15 not recognlsed.
11. Expendlture ind Ll•blllde5
LiabllStles are recognised where Ir is more Ilkely than not that there 15 a legal or construcrive obli83tlon commlttlnB
the Trustees to pay out resources and the 3mouni of the obllgation can be measured with reasonable CErtalnty.
111. Grnnts
Wherè there are no conditions attaching to a Brant made by the Clfcult from its own funds, the grant15 recognised Sn
full at the time of agreement to make the grant. Where the Cirtult Elves a granr with condltlons for its payment.
being a speclfic level of 5erwlce or output to be prtswided. the grallt is only recognised In the SOFA once the rEcipient
of the BTant has provlded the specified servlce Dr output. When the grant to be accured is recurrent Dver more than
one year, the balance payable In future years Is r￿ated as a provlslon for future commltments in the 8alance Sheet
a8ain5t the appropriate fund, the provlslon being released In future years a5 instalrnents are pard In accordance wlth
the originally a8reed term5.
Iv. VAT
Since the Circuit is not VAT re8i5tered, all input VAT Is charged wfth the expense5 to which it refers.

South Warwickshlre Methodist Clr¢ult
Notes to the Accounts for the year ènded 31 Au8u5t 2025
4. Accounting polldes Icontlnuedl
V. Tanglble fixed assets
These are capitalised if they can be used for rnore than one year, and Indlvidually c05t at least £250.
The freehold property held at I September 2015 is shown in the accounts at 2015 deemed value, bein8 that
property's insurance reinstatement value. The freehold property purthased after 15eptember 2015 is 5h¢wn at
cost on acquisition. The frèehold prDperty acquired at the merger wSth part of rhe Stratlord and Evesham Circult
15 Shown at the value prevlously used In the accounts of that circuit. The land tomponent Of the freehold
property Is deemed to be £50,000 per property-
No deprtclation Is provided on properry because the Trustees con55dei the current resldual falr value of the
property In Its present condition to be not less than the value at whlch 5t 15 Stated In the balJnce sheet and, Sn
the absence of any evldence ol impalrment, any depreeiation for the bulldln85 component ol the property would
be immaterlal. Depreclatlon Is provided on flxtures, fittinqs and equipment on a straight Ilne basls over three
vears.
¥1. Propertl•s held tor Sale
From tlrne to tlme the Circuit may be required to assume respon5ibillty for Church prerni5es lollowlng closure and
essat5on of worshlp. This results In the Clrcuit Trustees becoming the mana8in8 trustees for the property so that
the Tru5tee5 declde whether the property can be used in a dlfferent way to further the m¢s5ion of the Circuit or
whether It 15 redundant ènd should be sold. If J declslon Is made to sell the property, it 15 classified as a current
sset Investment. Slmilarly, any oiher property held lor resale would be a Current asset Inyestrnenl. Such
propertles are recognlsed as an asset at Its antlcipated net sale prlce as determlneé by a profe551onal valuation
and after takln8 èccounl of the levy to be charged by the Connexion. Any expendlture on the property that 15
Ilkely to enhance Its sales value is capiialised ai the time that the expenditure 15 incurred. Wherp proceeds are
Intended to be spent on actlvities, the property15 Included in assets at the lower of cost and net rEallsable value.
vll. Debtors, credltors. bank and c35h
Debtor5 ère stated at Settlement amount or amount advanced by the tharlty. Subsequently they are measured at
the cash or other consideration empected to be received. Credltor5 are Initially recognlsed at Settlement amount
fter any trade dlscounts, where normal credlt terrns apply, or the arnount advanced to the CireuSt. Subsequently
Creditors that are current Ilabilitles are measured at cash or other conslderation expected to be pèld. The liquid
funds ol bank balance5 and deposit fund balance5 are shown at thelr realisable values.
vlll. Methodlst Connexlon41 Funds
The Methodist Church Connexlon ralses asses5ment5 a8ainst Clrcuits and these are paid quarterly to their
Districts. The Circuits ralse assessments against Churches in the Clrcuit. The District remits to The Methodist
Church Fund rn051 of the sum received from Clrcults. A small sum is retalned by the Dlstrlct to meet hs own costs.

PGqe14
South Warwickshire Methodist Circuft
Notes to the Accounts for the year ended 31 AuBust 2025
4. AccountlnB policies Icontlnuedl
IM. Ministers, Manse Cost5
The Circuit Is required to provlde accomodatlon for each minister In the Circuit and thelr families and
ministers are expected to OCCUPY the manse provlded lor thèm. The Clrcuit bears the c05t of repalrs,
rnalntenance, bulldlngs Insurance, Council Tax and water Charges, as well as the c05t of ministèrs, removal to
the Circuit. Where any manse costs are viewed by HMRC 35 taxable beneflt5 to the minister, the resulting
employer Nl charge 15 included as part of the Nl cost far the year.
5. ASS0￿mentS Irom Churches
Durln8 the year end the Clrcuit comprlsed 10 church counci15 which were assessed for a contrlbutlon to
meet the overall net core, ongolng ¢05t5 of the Clwult. Normally, 80% of the assessment 15 apportioned to
the Churches on the basi5 of thelr adjusted income, includin8 only 50% of letting income to allow for
increased running Costs and excludin8 one-off receipts, and 20% of the assessment is apportioned on the
basis of their unrestricted reserves.
Year
ended
31.8.25
Year
ended
31.8,24
Cubblngton
Dale Street linc Cubblngton 20251
Kenllworth
Klneton Ilnc Wellesbovrne 20251
Radford Road
Stratford upon Avon and Henley In Arden
WarwSck Ilnc Whltnash 20251
Wèlford on Avon
WellesboLtrne
Whltnash
18,324
62,136
62,664
7,153
9,228
51,148
36,144
5,393
10,400
7,408
76,104
63.504
17,408
10.248
49,268
43,284
5.186
6. Leltinis
Lettlngs income relate5 to either manse5 that are not required to house Clr¢uit minlsters in the short term or
church bulldings where the clr¢ult meeting is the managing trustee body rather than a local church countll.
Letting income 15 shown gr0$5 of fees and commission.
7. Grants
During the year the Circult clalmed gyants from the District Advance Fund relatin8 to part of the costs
incured by emplDyin8 a missioner and operating the Nourish project.

PogeJ5
South Warwlckshire Methodlst Clrcult
Notes to the Accounts for the year ended 31 August 2025
8. Other Income from Charltable Actlvlties
Unrestricted income of £31.196 Sncludes relmbursement from the Coventry and Warwickshire
Unlversity Free Church Standing Committee IFCSCI of £20,359, being expenditure by the clrcult In
provlding on the payroll cost of a chaplain at the Unlversity of Warwlck, and £10,000 from
Cubbington Methodist Church relating to the maintenance required when the Circuit took
resDon5ibilitv for their buildinA.
Tear
Year
9. Interest recelvable
UDrpstrfrt•d
tlrcult Model
Trurt Fund
end•d
31,8.25
ended
31,8.24
Central Flnance Board
Trustee5 for Methodist Church Purpose5
CAF Bank
Total
Z,390
2,390
27.177
25
29,592
4,086
33,628
25
37,739
27,177
25
2,415
27.177
io. stlpends. Salarles and Assoclated costs
Staff Costs paid durin8 the year were:
Year ended
31.8.25
31.8.24
Totsl
Total
Mlnlster5
Iclrcult
Trustees)
Mlsslon Admlnlst.
staff
ratlon
Gross stlpends and 53larles
Employer's National Insurance costs
Pension costs
Apprenticeship Le
Total Staff costs
ISO,652
15,686
27,918
855
195,111
27,670
2,914
1,660
141
32.385
41,608 219.930
3,137
21,737
363
29.941
199
1,195
45,307 272,803
221,310
17,699
40,638
1,204
280,851
Avera8• number of full tSme •quivalent number ot Staff employed dUrf￿ the year were .
Ministers
Mi5SlOn Staff
Administration
4.73
5.17
1.00
1.79
7.96
1.60
7.33

Puye16
South Warwickshlre Methodlst Clrcuit
Note5 to the Accounis for the year ended 31 Aueu5t 2025
10. StSpends. Salarie5 and A550clated costs Icontlnyedl
No employees received employee benefit5 that lotalled more than £60,000. There Is no accrual for holidav
Pav as It 1$ immaterial. All staff are paid at or above the living wage as calculated by the Living Wage
Foundation.
Methodist Mlnlster5 are noi employee5 of the Methodist Churth although for slmpllcity, when accountlng for
Nation31 Insurance and penslon contribution5, the terms Employer and employee are used a5 they would be in
an employin8 body.
Contrlbutlon5 are made to the Methodlst Ministers, Pension Scheme fDr all mln15ters. Thls Is a deflned benefit
scheme which 15 accounted for in the financial statements of the Methodist Church In Great Britlan. This
scheme is In deficit but a plan lor the removal of the dellcit Is belng Implemented.
Lay worker5 have the option of lolnSn8 a deflned contrlbutlon pension Scheme whlch the Clrcult has Set up
wlth TPT Retlrernent Solutions.
Each mlnister is entltled to a 3 month sèbbatical every 7 years and the expeThses Incurred by the mlnlster are
met by the ConnexSon wlth the CSrcult continuing io pay the stipend, The Circuit does not accrue for hollday
pay cover a5 the remalnlng staff cover ès needed wlthout extra pav.
P•yments to Trust•e5
The Superlntendent Mlnlster, other minlster5 01 the Circuit and the Clrcuit Stewards constltute the Clrcult
Leadershlp Team and are considered as Key Management Personel. The Superintendent chairs meetln85 Df the
C5r£ult Leadershlp Tearn and the Circuit Meetln8. The Clrcult Leadershlp Team. together with church and other
representatives, are rnernber5 of the Clrcult Meetlng and are the Trustees of the Clrcuit. The stipends,
empltsyer's Natlonal Insurance 3nd employer'5 penslon contrlbutign5 and other expense5 of the min15ter5 of
the Clrcult are paid by the Clrcult. as determined by the Methodlst Church, and are separately dlsclosed as part
of stsff costs above. Manses are provlded by the Clrcult and the Clrcuit maintalTrs the prapertv.
Ye•r ended
31.8.Z5
31.8.24
Payments made to trustees wh¢ are part of the leadershlp team
Travel expenses
Phone expenses
£10.672
£3,267
£13,939
£11,461
£3,830
EIS,291
Payment5 made to trustees who are not part of the Clrcuit Leadership Team for
dditional servlces- preaching fee5 and related expen5e5
£785
£475
Number of trustees who were paid expenses
11. Fees far audit of the •ccount5
Year ended
31.8.25
31.8.24
£4,020
£3.780
Audlt fees

Pagt17
South Warwlckshlre Methodlrt Clrcult
Note5to the Accounts for the year ended 31 Au8USt 2025
11. T•￿ible FIKed A65ets
Marthos
Land
Mans
Flttlnis &
Byildlttos fquipm•nt
T*Jt•l
Co¥¢ orwluatlorl
Balance 8t I September 2024
Additions
DSsposals
Balance at 31 2025
250,(￿ 1,819,474
50,DOD
6l￿,265
10.261
3,754
2,079,735
654,019
300,000 2.419,739
11,654
2.732,393
Deprecl•tlon
Balance at I Septembpr 2024
Dispos31s
CharBe af year
Balance it 31 Auiurt 2025
8,385
11,3611
2,590
9.614
2,590
9,614
t book ¥•lu•
At 31 August 2025
At 31 August 2024
300,000 zNig,7a9
1.721,779
Ba￿$ of d•prid•tlgn
ne
3 ye•rs
Puwch•s• uf 35 StJ•m•i'i m￿dOW ftg•d, L•imln8ton Sp
Purchase prlce
Plus.. Expen5e5 of purCh￿Q
Improvements to brlng ￿ up to standard
582,$00
1,9Ql
64,864
67.765
Totsl
man￿ 4t 31 Auiust2025 rompilse,.
9 Northvale Close, KonSlworth
101 West Street. Warwick
22 Gardiner Road, Klneton
Gl Murcott Raad East, Whltnash
la Hillsldp Road. Slramord Up￿ Avon
35 Sl J4rTh)s's Meadow Hoad
Oci
Occupied by Circuit MIDlSter
Let on cornmerclal tErm5
Occuple.d by Concxtlonal Mlnlster
O£cupied by Clrcuit Mln15ter
Occupled b Clrcult Mlnister
11. Current Im¥*rtments
The fail value at 31 Au6USt Is made up of the f&lowln8 prgpertIes'.
jIA￿￿$t
10
31 Au8u5t
2024
Fenny Compton ch4pEI
Tysae chapel
Itkleton chapel ènd hall
88,849
208,D40
158,603
455,492
208,040
158.S03
366,643
Durfng the year to 31 August 1025 theformer chapel * Fenny Compton was sold.
Balanee at I September 2024
88,849
Net proceeds of sale
Balance at 31 AJÈust Z025
88.849

South Warnvltkshire Methodist Circu5t
Notes to the Actounts lor the year ended 31 Auwst 2025
Pqgt 18
14. Oebtors
31 Auiust
102S
31 August
2024
Prepayments and actrued Income
Other debtors
35.263
31.292
260,
291,292
35.263
IS. Credltors due In lem than one ye•r
Accrua15 and deferred income
Other creditor5
50.143
20,808
150,415
171.223
50,143
General
Fund
l& R•*rv•s
Model
Totsl
Trust Fund
At I September 2024
Net lexpendlturell Income tor the year
Transfers between fund5
Drawdown from CMTF
At 31 Ausust 2025
2,619,501 1.OSI,587
3,671,088
184,9491 137,4701 1122,4191
502,422 1502,4221
120,000 1120,0001
3,156,974 391.695
3,548,669
The purpose of the General Fund 15 for use at the dlscietlon of the Trustees In the furtherance of the
objectives of the Circuif, About 96% of thls fund is held a5 freehold property and so is not available to meet
expendlture in the short term.
The purpose ol the Clrcuit Model Trust Fund ICMTFI Is for use at the discretion of the Trustees In the
furtherance of the objectives of the Clrcuit. Its maln source of Incomels contrlbutlon5 from the sale of
manses and church bulldin8s in the Circuit, after contributlons and levie5 to the Connexlon determ5ned by
the Methodist Church. Althou8h technlcally an Unrestrlcted Funé under the control of the Circult Meetlnq,
prior approval 15 5tlll required from the District to utllise these fund5.

Page 19
South Warwickshlre Methodlst Clrcult
Notes to the Accounts tor the year ended 31 August 2025
17.Related party transa¢t5ons
Year ended 31 August Year ended 31 August
2025
2024
Pald to or
Paid to or
goods
goods
provided to
provlded to
related
related
party
paitv
Name of related partv
Relatlonship
Description ol
transactlon
Income
from
related
partv
Income
from
related
partv
Methodlst Churches
withln the South
Warwickshire Clrcuit
Kenilworth Methodist
Church
Churches
withln the
Circult
A Circuit
Church
Assessments Ishare
of Circult costs)
265,002
269.998
Eco 8rant towards
solar panels
Eco grant towards
battery storage.
S,368
Stratford upon Avon
Methodlst church
A Clrcuit
Church
4,313
Birmingham Methodist
D15trirt
Methodist
Assessment (share of
osts ol District and
Methodist
which Circuit
62.568
56,832
Birmingham Methodist
Distrlct
Methodist
District in
which Circult
Contribution to
employment and
project costs
27,041
8lrmingham Methodist
Dlstrlct
MethodSst
Olstrlct In
which Clrcuit
District Advance
Fund contribution
61,599
33,447
Cubbin8ton Method15t
Church
A Circuit
ChuTch
Contrlbution to
maintenante
10.000
KinEton Methodlst
Church
A Circuit
Church
Eco grant towards
heating contro15
443
There werE no amounts owed to related parties at the year end.

South Warwickshlre Methodlst arcult
Notes to the Accounts for the year ended 31 August 2025
PègE20
17. Contln8ent Llabllltles and Capltal Commltments
At 31 August 2025 the Circuit has no contracted capltal commStments. However, the Clrcult Meeting had
authorlsed the purchase and fittment of solar panels and batteries at the manses occupied by minlsters.
The expected cost wa5 £62,000 of which £29,000 was expetted to be covered by 8rants.
At 31 August 2025 there were no contlngent Ilabllltles.

p•J•21
Indepemdent Audfjtorfs Rewttothe TWU#•￿ of South War•Jltkshlre Method15t Clrwlt
Oplnlon
WE have audlted the flnanclal statement5 of South Warwlckshire Methodist Clr¢ult Ithe'charity'l forthe Year ended 31 Au8USt 2025 whlch
comprise of the Staternent of Flnancial Actfvltles, Statement of Cash Flow5, Balance Sheet and notes ta the financial statements, including
summary Df ￿gnIficant accountin8 pollcSes. The financial reportin8 framework th3t ha5 beet) applied in thelr preparatlon is appllcable law and
Unlted Kingdorn AtcotsntSn8 Slandards, includln8 FSnancial Reportin8 Stand8Id 102 The finGncio1 Rtportlno StLTndordopplJctsble In the UKond
Republlcollrelond Ivnited Kingdom Generally Accepted Accounting Practlcel.
In Dur oplnlon the fln3nclal statements..
glve a true and fair view of the state of the charlt¢s affalrs as at 31 Au8utt 2025. and of bts InEomln8 re￿UrceS and #pplicatioft of
resource5, includin4 its Income and e*penditure, for the year then efided..
have been properly prepared in accordance wlth Unlted Klngdom Generally Actepted Aceeuntlng Practlce,. Ind
have been prepared in iicordance wlth the requlrements of the Chiritle5 Act 2011.
8¥1$ for oplnlon
We ¢onducted our audit in accordance wlth lThternatlonal Standards on Audltlng IUKI IISAS IUKII and applicablp law. Our responsI￿lItIeS under
those standards are further described in the Audltor's re5P0Tr51billlles for the audlt of the fln8ntial statements section of our report. We are
Independent of the chtyrlty in accordance wlth the eihlcal requlrernents that gre rtlewant to our oudit of the financlol statements In the UK,
Intludlngthe FRC'S EthScJl Standard. and we have lulfilled uur other ethlcal respcinslbilitles In accordance with these requlrements. We belleve
that the iudlt evldence we have obtalned is sufficient and apprtsprl3te to pr￿Ade a bas15 for our oplnlon.
Conclu51on5 r•l•llngto8oln8 ¢onc•rn
In audltlni the flnantlal statement5. we have concluded that thetrustEes' use of the Koing cDNtem basls of 3CCOUnt5ng In the prEpar4tlDn of the
Ilnanclal sialements Is appropriate.
8ased on the work we have performed, we have not Identlfled any materlal uncertalntles r￿1317￿8 to events or conditlons that, Indl¥ldually ar
collectlvely, may cost Si8niflcani doubt on the rhailtable ctsmpany'5 ablllly to ¢ontlnue as a 8oln8contern lor a perlod of at least iwelve months
from when the flnanclal ststernent5 ar? aurhod5ed for15sue.
Ouf respon5INlltles and the fespon5ibllltlès af the trustees wlth Te5pert to 8thn8 concern are descrlbed In the relevant $ectlons of th15 report.
Othtr Inlorrnatlon
The trustees aTe responslble for the other Informatlon. The other Inlorm•tion compr15e5 tht informatlon Includod In the trustees annual repo
other than the financl315taternents and our audltor's report thereon. Our opinion on the flnanclal statements does Dot coverthe other
Inforrnatlm and, except to the extent otherwlse explldtly 5t•tEd In our report, we do not express any lorrn of assurance condu5i0n thereon.
In connection wlth our audlt of the flnanclal statements, our re5pgn51blllt¥ Is to read the other informatlon and, In doing so, conslder whether
the ather Informatlon is materlalfy Snconsistent wlth the financlèl statements oi our knowledge obiainpd in the audlt or otheTWi52 appears to be
materlalty mlsstatpd. If we Identlfy 5u¢h materlal inconsistencie5 orapparent rnaterial mlsstattmtnts, we are requlred te determlne whether
there15 a material mlsstatement In the flnancial statements or a material rni55tatement of the othEr informatlon. If, based on the workwe have
performed. we conclude that there is a material rnis5tatement of this other Inforrnatlon, we are requlred to report that fad.
We have nothing to report In this reuard.
Mwltery onwhlch we are requlred tD report by exceptlon
We have nothing to report in respect of the following matter5 in relatlon to whlch the Charitles (Accounts and Reports) Re8ulatlOn5 2C¥J8 requlre
us to reportto you if, in our opinion.
the information gNen In theflnanclal statements Is Incon$15tent IN any materlal respect with the trustee5' report or
the charlty has not kept adequate accountin8 rpcords,. or
the flnanclal staternents are not in agreement with the acctruthtin8 record5 and returns,. or
we have nct recEived 811 the information and explanation5 we requlre for our audit.

ptrge 22
R¢sponslb51hies oltwstees
As explained more fully In the trustees. reswnslbillties Statement. the trustees are responslble for the prep3ratiM of the financlal Statements
and tor be5ng 5Otisfied that thev Eive a true and f3lrview, and for Such intemal contrcl as the tru5tee5 determine 15 necessary to enablE rhè
preparation of finan£lal statement5 that are free from mèterial rnisstaternent, whether due to fraud or error.
In prep3rin8 the flnancial statements. the trustees are resFK)nslble for 3S5e55in8 the charit¢s abllity to cmtinue as a 8oln8 concern, dlscloslng, as
applicable, matters related to 8oing concern and u5in8the 60in8 con￿rn bas15 Qf accountlng unlessthe trustees either intend to Ilquldate the
charity or to cease operatlons, or have no realistlc akert)èLlve but io do so.
Audltorf5 resportslblllt￿ forthe audtt olth• Ilnantlil sta¢em•nts
We have been appointed a5 audltcr under sectlon 144 of the Chorities Act 2011 and report In accordance ￿th re8ul*ions made under sKtion
IS4 of thot Act.
Our objective5 are to obtain reasonable a5surancp about whether the financial Statements a5 a ¥¥hole are free from materlal mlsstaternent,
whether dve io fraud or erTor, and to issue an audltor's report that Incjudes our oplnion. Reèsonable a55tsrance15 è hl8h level of 35surance, but
Is not a Buarantee that an audit conducted sn accordènce wlth ISAS IUKI wlll alway5 detect 3 material mlsstotemenr when It exlsts.
M155tatements can arlse from fraud or error and are consideted materlal If, Indlvldually or it) the a88re8ate, they could reasonably be expected
to Snfiuence the econornic dtclslon5 of users t•ken on the basls of these fininclal st4tements.
Irregularltle5, Includln8fraud, are Instance5 of non-complSance w5th law5 Ind re8ulatlon5. We desl8n procedurès In Ilne wlth gyr re5POn51bllltles,
outllned above, lu detect materldl mls5tatements In rE5Ptct of Irreqularltles. Includlnl fraud. The extent to whlch our procedures are capable of
We Identllied areas of law5 and re8u13tlons thai could reAschably be expected to have a moterlal effect on the flhaTrclal statements and
discuk5ed the PDliclÈs and procedures regardln8 compllanre.
Spetiflc areas consldered were as follows..
Enqulring wlth mana8ement and others to 8ain an under5tandln8 of the or¥anlsgtlon bt5elf Inrludini op*ratlDnS, Ilnanci41
reportlnd and known fraud or error.
Evaluatln8aDd under5tandln8 the Intemèl eontrol 5VSt¢m.
Perftrrminl analytlcal PTocedures os expected or une¥pected variances In accounr balances or classe5 of transactlons appear,
Te5tlng documentation 5upportln8 account balances Of classes oftransattlons.
Because of the inherent limltatlons of an Judit, there Is a rlsk that we wlll noi detecr all irreBulèrltles. Ineludln8 those leadln8ta a rnaterlal
rn15Statem2nt in the financial statErnent5 or non-compllance with regulation. Thls risk 5￿c￿3$e$ ihe more that compllance wkh a law gr
re8Jlation is removed from the evenls and transaction5 reflected In the tinanclal Statements, as we will be le55 likely la becorne aware of
Instance5 of non-complSance. The rlsk is also grtater re8ardin8 Irregularltits occurrln8 due to fraud rather than error, as fraud Involves
Intent10nal concealment, forgery, tolluslon, omission or misrepresentètlon.
A further descriptlon ot Dur responslbllltles for the audit of rhe financial statements is IDrated on the Flnandal Reportlng Councll'5 webslte at..
https.'//www.frc.or8.uk/Our-WorklAudltlAudit-and-assurance/5tandards-and-8uldancelStand8rds-and-8uldHnce-for-audltor5lAudltors.
responsSbillties-fof-èuditlOescription.of-audltors-re5ponsiblllties-for-audil.aspx. Thls destription form5 part of our auditor's report.
We communicate wlth those charged wlth governante re8ardibg, arnong other matters, the planned scope and timln4 of the audit and
signifltant audit findln8s. Includln8 any slgnlficant deficiencles in internal control that wè identlfy durln8 our audlt.
Use of our r•port
Thls repurt Is made 501ely to the chafltls trusiees, 2s a body, In accordance with Part 4 of the Charlt1È5 (Accounts and Reportsl Regulatiuns
2008. Our audit WDrk has been undertaken SD that we mi8ht state to the charlvs trustees those matters we are requlred to state to them Sn an
atsdltor's report and for no other purpo5E. To the lulle5t extent permitted by law, we do not accept ur assume respon5ibillty to anyone ether
than the charlty and the ¢hariWs trustEes as a body, for our audlt bvork, for this report, orfor the Dpinions we have formed,
IW Hlnks LLP
Chartered Accountsnts and Statutory Auditors
19 Highfidd Road
Edgbaston
Birmingham
West Mldlands
B15 3BH
Ju
17 June 2026