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2024-01-01-accounts

Friends of Wiston Church

Charity Reg Number 1158565

Chairman’s Report, October 2024

The Charity plans to continue to work closely with the PCC to identify appropriate works and to raise funds for agreed maintenance and repairs for St Mary's Church.

Our financial standing is satisfactory (subscriptions and donations carried over from 2022/23) as there have been no new fund-raising activities so far this year.

If there are any pending repairs and/ or maintenance, the trustees expect the PCC to submit their invoices, as agreed; we will continue to positively consider providing funds, as and when requested.

Subject to final plans being firmed up, we are planning to hold the next fundraising event during December 2024.

Overall, our finances remain in a healthy state, as set out in the annual accounts.

Simon J Empson,

Chair, Friends of Wiston Church, St Mary the Virgin. 15th October, 2024

Friends of Wiston Church Registered charity No: 1158565 Balance Sheet

1st January 2024

Assets Assets Assets
2023/24 2022/23
Cash and Bank
NatWest
Current a/c
Shawbrook
CAF 60 day a/c
Barclays
Current a/c
Total Cash and Bank
Sundry debtors
Accounts receivable
Total Sundry debtors
1,082.41
29,549.65
0.00
171.66
29,549.65
41.00
30,632.06 29,762.31
0.00 0.00
0.00 0.00
Total assets 30,632.06 29,762.31

Liabi

Accumulated Fund

Balance brought forward Surplus/deficit for year Total accumulated Fund

Sundry creditors

Accounts payable

Total Sundry creditors Total liabilities

ilites ilites
2023/24 2022/23
29,762.31
869.75
29,795.37
-33.06
30,632.06 29,762.31
0.00 0.00
0.00 0.00
30,632.06 29,762.31

Friends of Wiston Church Registered charity No: 1158565 Statement of Receipts and Payments For twelve months to 01.01.24

RECEIPTS
2023/24
£p
RECEIPTS
2023/24
£p
PAYMENTS
2023/24
£p
Voluntary Sources
Carried over from NatWest a/c 01.01.23
171.66
Carried over from Barclays a/c 01.01.23
41.00
Subscriptons from FOSM (from Barclays)
211.00
Subscriptons from FOWC (from NatWest)
1,621.66
Donatons
455.00
Interest from CAF 60 day deposit a/c
206.68
Receipts from CAF 60 day deposit a/c
500.00
Fund Raising Actvites
Marenzios concert
517.02
Miscellaneous
To PCC (Insurance)
928.95
To PCC (Box tomb repairs 1st payt)
1,000.00
To CAF deposit a/c (Shawbrook)
500.00
Marenzios concert
0.00
Total receipts
£3,011.36
Totalpayments
£1,928.95
Net Proft
£1,082.41