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2025-12-31-accounts

St Mary’s Kemp Town

Trustee Annual Report

and

Financial Statements

Year ended 31 December 2025

PAGE
Annual Report ii
Report of the Independent Examiner x
Statement of Financial Actvites xi
Balance Sheet xii
Statement of Assets and Liabilites xiii
Fund Movement by Type xiv
Analysis of Income and Expenditure xv
Notes to the Financial Statements xvii

REPORT OF THE PAROCHIAL CHURCH COUNCIL

For the year ended 31st December 2025

Administrative Information and Structure

The Parochial Church Council of the Ecclesiastical Parish of Kemp Town: Saint Mary is a registered charity, no. 1158922.

During the year, the following served as members of the PCC:

Ex Officio Members Incumbent/Chair:

The Reverend Andrew Woodward (Until 20[th] April 2025)

Churchwardens:

Ms Kaye Inglis (Until 27[th] July 2025)

Mrs Jane Chetwynd-Appleton

Mr Philip Davis (From 8[th] October 2025), Treasurer

Elected Members:

Mrs Margaret Green, Licensed Lay Minister

Mrs Joanna Gordon-Hall (Until 6[th] April 2025), Licensed Lay Minister

Ms Rebecca Donoher, Safeguarding Officer

Mrs Gladys Masvosva, Authorised Lay Minister

Ms Naume Chawuluka

Mr Andrew Palmer, Secretary

Ms Jane Pritchard

Vacant Vacant

Vacant

Deanery Synod Representatives:

Mr Paul Stacey

Mrs Denise Sutherland

Mr Philip Davis, Churchwarden/Treasurer

Diocesan Synod Representative :

Mr Gordon Marsden (Until 8[th] October 2025)

During the period of vacancy following the departure of Fr Woodward, the

Churchwardens and PCC assumed additional responsibility for the governance, administration and day-to-day operation of the parish.

Page ii

Membership of the PCC is determined under the Church Representation Rules and consists of certain ex-officio members (the incumbent, lay readers licensed to officiate in the church, the churchwardens, and members of the Deanery, Diocesan and General Synods), and up to nine members of the church, who are elected at the Annual Parochial Church Meeting (APCM). Members are warmly encouraged to stand for membership of the PCC, and we try to ensure a balance of skills and experience where possible.

Objectives and Activities

The PCC has responsibility for co-operating with the incumbent in promoting in the ecclesiastical parish the whole mission of the Church, pastoral, evangelistic, social, and ecumenical.

In accordance with the Charity Commission’s guidance on “charities for the advancement of religion”, St Mary’s continues to serve both the worshipping congregation and the wider Kemp Town community through worship, pastoral care, hospitality, music, advocacy, and community engagement.

The church remains committed to being an open, inclusive, and welcoming Christian presence in the heart of Kemp Town, serving residents, visitors, vulnerable people, and the wider LGBTQ+ community.

The Electoral Roll stood at 54 at the end of 2025, following the Church Representation Rules' six-yearly revision of the Electoral Roll. All but two members live within the immediate parish area.

Worship and Spiritual Life

Regular Sunday worship and weekday offices continued throughout the year. Morning Prayer continued regularly throughout 2025. Evening Prayer was temporarily suspended during the winter months due to dark evenings and low attendance, but has since resumed.

Kemp Town Koalas was discontinued from December 2025 due to low attendance and insufficient volunteers to sustain the project regularly. It is

Page iii

hoped that this ministry will resume in due course when sufficient support is available.

The parish experienced a significant period of transition following the departure of Fr Andrew Woodward, whose final service at St Mary’s was Easter Day 2025. The congregation marked the occasion with gifts and thanksgiving for his ministry.

Following the vacancy, pastoral care and priestly cover were coordinated by Margaret Green LLM, supported by our clergy with Permission to Officiate (PTO), visiting clergy, readers, and lay ministers. General administration and worship coordination were undertaken by Philip Davis, supported by Jane ChetwyndAppleton, who also continued faithfully to oversee the choir and music each week.

Progress towards the appointment of a new priest was limited during much of the year. Towards the end of 2025 the parish was informed that the future role would be advertised as a House for Duty Priest-in-Charge position (2.5 days per week), with advertising commencing shortly after Christmas.

A number of significant services and occasions took place during the year.

Page iv

Attendance during Holy Week totalled 163, compared with 189 in the previous year. This slight reduction was partly due to our being unable to hold our usual Meditation on the Sacred Passion of the Holy Redeemer (Stainer's Crucifixion) during Holy Week 2025.

Attendance during Christmas week totalled 214, compared with 242 in the previous year.

We hope that, with the heating system now fully operational and the parish moving beyond the challenges of 2025, attendance at our major seasonal services will continue to grow.

The PCC wishes to record its gratitude to all visiting clergy during the year, including Fr David Ingledew, Rev’d Kate Middleton, Rev’d Canon Emma HamRiche, Rev’d Christyan James, Mother Alice Smith, Rev’d Canon Bob Whyte, Rev’d Shirley Ford, Rev’d Canon David Stone, the Rt Rev’d Nicholas Holtam, Fr Mathew Philip, and the Venerable Martin Lloyd Williams.

Page v

The PCC also records its thanks to our clergy with Permission to Officiate — Fr Martin Hume, Fr Mike Fudger, Fr Steven Foster, and Rev’d Jenny Morgans — together with Margaret Green LLM and Gladys Masvosva ALM.

Community, Outreach and Inclusion

St Mary’s continued its ministry of hospitality and community support throughout the year.

Tea & Company remained a vital and popular ministry, supported by Brighton College volunteers. The church was regularly well attended by local residents seeking warmth, food, hot drinks, companionship, and conversation.

Daily morning opening also remained extremely well used by members of the local community, particularly during periods of economic hardship and cold weather.

The parish continued to support local Big Issue vendors through weekly sales, pastoral support, and practical assistance. At Christmas, gift vouchers were distributed to vendors. The PCC particularly thanks Becky Donoher, Jane Chetwynd-Appleton, Jon Leigh, Philip Pothen, Philip Davis, and others involved in this ministry.

The church continued to be an important cultural and community venue within Brighton and Kemp Town. Following the repair of the heating system later in the year, concerts and events resumed more fully.

The PCC remains committed to the church’s longstanding inclusive ministry and its support of LGBTQ+ people and organisations within Brighton & Hove.

Music and Cultural Life

Music continued to play a central role in the worship and mission of St Mary’s throughout the year. The choir has continued faithfully throughout the vacancy and period of disruption caused by the heating failure. The PCC records particular thanks to Jane Chetwynd-Appleton (Choirmistress), Jane Pritchard,

Page vi

Gladys Masvosva, Louise Andrews, Helena Green, Marcia King, Mary Lake, and Paul Stacey.

The church also hosted concerts and fundraising events throughout the year, including the “We’re Having a Heatwave” fundraising concert produced by Simon Gray. The parish remains grateful to Simon Gray and to our musical tenants and partners, including the Actually Gay Men’s Chorus, Some Voices, City of Stars, and Drum & Blaze, for their continued support of the church and its fundraising efforts.

Fabric, Maintenance and Accessibility

2025 was an exceptionally challenging year for the church building.

The church heating system failed at the end of November 2024 and remained out of operation until repairs were completed during September 2025 by Equazion Facilities Management. The practical consequences of the heating failure were considerable. During the colder months attendance at services reduced significantly, a number of events and lettings had to be cancelled, and the church experienced a substantial loss of lettings income. Attendance and events improved significantly during the summer months and following the completion of repairs.

In February 2025 the church also suffered a serious break-in. Entry was gained through the eastern sanctuary window, causing damage to historic stained glass and stonework above the ambulatory wall. Further damage was caused when a large processional cross was used to force entry through the sacristy fanlight. Damage was also caused to the choir vestry fanlight and to electrical and heating ducting. Audio and other equipment was stolen from the sacristy.

Additional repair work was also required to the western nave roof following storm damage, together with repairs and inspection work to the baptistery ceiling.

Despite these considerable challenges, the church remained open throughout the year.

Page vii

Accessibility improvements included the purchase of a wheelchair ramp and additional equipment to support worship and events during the heating outage.

Safeguarding

The PCC takes safeguarding seriously and seeks to promote a safe environment for all. Becky Donoher served as Parish Safeguarding Officer throughout a busy and demanding year, and the PCC records its sincere gratitude for her continued work, support, case management, and training coordination. Safeguarding policies, DBS checks, and safeguarding training continued in accordance with diocesan requirements.

Financial Review

The accounts for 2025 show a net deficit for the year, reflecting the exceptional costs incurred following the failure of the church heating system, the February break-in, storm damage, and other major repairs and maintenance undertaken during the year. Major expenditure included heating repairs, roof repairs, inspections and repairs to ceilings, repairs arising from the break-in, temporary heating arrangements, and replacement equipment.

The heating failure also had a wider operational impact on expenditure patterns during the year. Gas usage reduced significantly while the heating system was out of operation, but this was partially offset by increased electricity usage, temporary heating arrangements, and the purchase of additional equipment required to support worship and events during the colder months. Electricity costs for the church hall also increased compared to the previous year, partly because 2024 costs had been unusually low following support received through a utility grant arrangement. Water costs increased significantly following the installation of a new water meter during the year, which resulted in catch-up billing after previous estimated readings.

The PCC remains extremely grateful for the generous response to the Emergency Appeal launched during the year to assist with these costs. The appeal was later extended into the Christmas period and 2026 in order to assist with ongoing increased costs. The parish also received support through a Diocesan loan intended to provide short-term assistance during this difficult period.

Page viii

The accounts should also be read in the context of two timing-related issues:

The PCC considers the parish to remain financially sustainable, though continued careful stewardship and fundraising will be necessary during the coming years.

Volunteers and Thanks

The ministry and life of St Mary’s depends heavily upon the generosity, commitment, and resilience of its volunteers. The PCC wishes particularly to thank Jane Chetwynd-Appleton, Margaret Green, and Becky Donoher for their extraordinary support during a difficult and demanding year.

Thanks are also due to all members of the church opening teams, Tea & Company volunteers, cleaners, musicians, servers, readers, flower arrangers, event volunteers, pastoral supporters, and all who contributed quietly and faithfully to the life of the parish during 2025.

Looking Forward

2025 was a year marked by challenge, disruption, and transition. Nevertheless, the church remained open, worship continued, the community continued to be served, and the parish demonstrated considerable resilience and generosity. The PCC looks forward with hope to the appointment of a new Priest-in-Charge and to continuing the mission and ministry of St Mary’s in the years ahead.

Approved by the PCC and signed on their behalf by-

Jane Chetwynd-Appleton Philip Davis Churchwardens 2[nd] July 2026

Page ix

Indep•ndent ExamIn￿5 Report to the pay￿h1•1 Churrh Cwndl, St M•rfs Church Kemp Town. 8rlghton I report to the Trustees on my examlnatlon of the 2025 accounts ofthe Parochial Church cour￿[1 IPCCI of St Marfs Church Kemp Town, 8rl8hton. Rewslblutles and Basls of the Roport A5 the charfty trustee5 of the Parochl#l Church Councll, you are re¥*onslble for the preparation of the accounts In accordan￿ wlth the requlrements of the Charltles Act 20111.the Arfl. l ￿pOrt In respert of my exarnination of the Pccs accounts carried out under section 145 of the 2011 Art and In carryln8 Out my examlnatlon I have followed all the appllcable Directions glven by the Charlty Commlsslon under sectlon 145151(bl of the Act. Independent examlmrfs statement I have completed my examlnatlon. I confirm that no materlal matters have come to my attentlon In connertlon with the examlnation gi￿ng me cause to believe that in any materlal ￿speCtr. accountlng records were rh)t kept In respert of the PCC as requlred by Section 130 of the A¢ or, 2. the accounts d) not comply wlth those records; or 3. the accounts do not comply with the appllcable requirements conceming the form and contents of account$ Set OLrt in the Charltie5 (Accounts and Reports) Regulatlons 2CK18 other than any requlrement that the accounts gtve a "true ènd falr VIW which ts not a matter considered as part of an independent examlnatlon. I have no concerns and have corne across no other matters In connettlon wlth the examlnation to whlch attentlon should be drawn In thls report in order to enable a proper understanding of the 2025 accounts to be reached. The financlal performante in 2025 was eommendable. Revenues were up; the unfortunate financial effett5 of both a serious equipment break down, and a damagEng b￿ak4n were handled well. The lack of a new incumbent has Imparted strongly upon the keepin8 of accounts- puthn8 a dangerous overload on the Church Admlnlstrator. To ensure fvture staff well-belng and a¢¢ounting timeliness. I stron8ly recommend that St Mary's commlsslons Its estsblished financial suppo ctorfor monthly asslstance and review. Slgned Name: Mr. Martln Bartholomew Address: 21 Marlners (bwy, Uttlehampton. West sus1￿ BN17 5DA Date: So KJ Page x

Statement of Financial Activities

Unrestricted Unrestricted Restricted TOTAL Previous
Year
General Designated SUBTOTAL
INCOME AN D ENDOWMENTS FROM:
Donations and Legacies 61,072
£
61,072
£
61,072
£
46,437
£
Charitable Activities 54,027
£
54,027
£
54,027
£
56,526
£
Investments 4,781
£
4,781
£
4,781
£
4,167
£
Miscellaneous 31,422
£
31,422
£
31,422
£
8,764
£
TOTAL 151,303
£
-
£
151,303
£
-
£
151,303
£
115,894
£
EXPENDITU RE ON:
Raising Funds 10,284
£
10,284
£
10,284
£
8,973
£
Charitable Activities 125,128
£
125,128
£
125,128
£
74,540
£
Miscellaneous 40,015
£
40,015
£
40,015
£
32,759
£
TOTAL 175,427
£
-
£
175,427
£
-
£
175,427
£
116,272
£
NET INCOME/(EXPENDITURE) BEFORE TRANSFERS (24,125)
£
-
£
(24,125)
£
-
£
(24,125)
£
(378)
£
TRANSFERS :
Gross transfers between funds - in 1
£
1
£
1
£
LPWGS not claimed -No longer applicable (497)
£
Other recognisedgains/losses -
£
-
£
Gains/losses on investment assets 257
£
257
£
257
£
3,152
£
TOTAL TRANSFERS -
£
258
£
258
£
-
£
258
£
2,655
£
NET INCOME/(EXPENDITURE) AFTER TRANSFERS (24,125)
£
258
£
(23,867)
£
-
£
(23,867)
£
2,277
£
FUNDS BROUGHT FORWARD FROM PREVIOUS YEAR 209,724
£
209,724
£
209,724
£
207,447
£
TOTAL CARRIED FORWARD IN CURRENT YEAR 185,599
£
258
£
185,857
£
-
£
185,857
£
209,724
£
34,796
£
35,242
£
(8,184)
£
6,084
£
82,609
£
81,906
£
42,006
£
42,006
£
18,000
£
18,000
£
224
£
211
£
-
£
2,000
£
-
£
3,165
£
-
£
510
£
800
£
800
£
-
£
10,800
£
950
£
1,000
£
3,000
£
3,000
£
-
£
5,000
£
9,496
£
-
£
2,160
£
185,857
£
209,724
£
Page xi
REPRESENTED BY:
RESTRICTED
Diocese as Custodian Trustee -
£
34,796
£
34,796
£
35,242
£
UNRESTRICTED
General Fund
(Church Account plus accs rcvble minus liabilities)
(8,184)
£
(8,184)
£
(8,184)
£
6,084
£
DESIGNATED
St Mary's Investment Assets 82,609
£
82,609
£
82,609
£
81,906
£
Other Tangible Assets 42,006
£
42,006
£
42,006
£
42,006
£
Piano 18,000
£
18,000
£
18,000
£
18,000
£
Friends Account 224
£
224
£
224
£
211
£
Pentaptych Repair -
£
-
£
-
£
2,000
£
Christmas Fund -
£
-
£
-
£
3,165
£
Sound and Camera -
£
-
£
-
£
510
£
Music Fund - St Mary's Hall 800
£
800
£
800
£
800
£
Diocesan Energy Grant -
£
-
£
-
£
10,800
£
Koalas Grant - Diocese 950
£
950
£
950
£
1,000
£
Western Land Fund 3,000
£
3,000
£
3,000
£
3,000
£
Emergency Reserve -
£
-
£
-
£
5,000
£
Archdeacon's Loan 9,496
£
9,496
£
9,496
£
-
£
Emergency Appeal 2,160
£
2,160
£
2,160
£
(8,184)
£
159,245
£
151,061
£
34,796
£
185,857
£
209,724
£

Balance Sheet

Class

Class
Account Code Description Current Year
Previous Year
FIXED ASSETS
6000 CB3023823 CBF Deposit Fund
[previously6103069002D]
16,406
£
26,275
£
6010 CB3023822 CBF Investment Fund Income
[previously61039001S]
19,392
£
20,199
£
6020 CB3023821 CBF Fixed Interest
[previously610369001F]
63,217
£
61,707
£
6030 CB3005129 CBF Investment General Religious
[previously110001101S]
19,490
£
20,302
£
6040 CB3005275 CBF Fixed Interest SundaySchool
[previously110001259F]
15,306
£
14,940
£
SUBTOTAL 133,811
£
143,423
£
7000 Church Hall - at cost,freeholdproperty 12,725
£
12,725
£
7010 Church Hall Flat - renovations at cost 26,122
£
26,122
£
7020 Equipment - at cost 3,183
£
3,159
£
7030 Piano 18,000
£
18,000
£
SUBTOTAL
TOTAL FIXED ASSETS
60,030
£
60,006
£
193,841
£
203,429
£
CURRENT ASSETS
5000 Barclays CHURCH a/c 2734 28,122
£
6,829
£
5010 Barclays FRIENDS a/c 3047 224
£
211
£
5020 Stripepayments 88
£
293
£
Z05 Accounts receivable 1,118
£
1,122
£
TOTAL CURRENT ASSETS 29,552
£
8,455
£
LIABILITIES
Z06 PAYEpayable (49)
£
(11)
£
Rounding (1)
£
6998 Diocesan Loan 36,000
£
6699 Barclaycard Xero account v statement (15)
£
(33)
£
Z04 Barclaycard 1,601
£
2,203
£
TOTAL LIABILITIES 37,536
£
2,159
£
NET ASSET SURPLUS/(DEFICIT)
185,857
£
209,724
£
RESERVES
Excess/(deficit) to date
(This figure represents net income/(expenditure) before investmentgains/losses.)
(24,124)
£
(875)
£
Z01 Startingbalances 209,724
£
207,447
£
Z02 Gains/(losses)on investment assets 257
£
3,152
£
TOTAL RESERVES 185,857
£
209,724
£
REPRESENTED BY FUNDS:
Unrestricted (8,184)
£
6,084
£
Designated 159,245
£
168,398
£
Restricted 34,796
£
35,242
£
Endowment
TOTAL 185,857
£
209,724
£

Page xii

Fund Movement by Type

INVESTMENTS
Restricted
Designated
GENERAL FUND
Unrestricted
(Church Account plus accs rcvble minus liabilities)
TANGIBLE ASSETS
Church Hall - freehold
Church Hall Flat - renovations
Equipment - at cost
Piano
FRIENDS ACCOUNT
Designated
PENTAPTYCH
CHRISTMAS FUND
Designated
CAMERA/SOUND
Designated
MUSIC FUND - St Mary's Hall
Designated
DIOCESAN ENERGY GRANT
Designated
KOALAS GRANT - Diocese
WESTERN LAND FUND
EMERGENCY RESERVE
ARCHDEACON'S LOAN
Designated
EMERGENCY APPEAL
Designated
TOTAL
OPENING Incoming Outgoing Transfers Gains/Losses CLOSING
35,242
£
(446)
£
34,796
£
81,906
£
703
£
82,609
£
117,148
£
-
£
-
£
-
£
257
£
117,405
£
6,084
£
(14,268)
£
(8,184)
£
12,725
£
12,725
£
26,122
£
26,122
£
3,159
£
3,159
£
18,000
£
18,000
£
60,006
£
-
£
-
£
-
£
-
£
60,006
£
211
£
13
£
224
£
2,000
£
2,000
£
-
£
3,165
£
3,165
£
-
£
510
£
510
£
-
£
800
£
800
£
10,800
£
10,800
£
-
£
1,000
£
50
£
950
£
3,000
£
3,000
£
5,000
£
5,000
£
-
£
-
£
33,840
£
24,344
£
9,496
£
-
£
2,160
£
2,160
£
209,724
£
36,000
£
45,869
£
-
£
(13,998)
£
185,857
£

Page xiii

Statement of Assets and Liabilities

Fixed
Fixed
Fixed
Curre
Curre
Liabili
Liabili
Assets -Heritage Assets
Church Hall - freehold property, at cost
UNRESTRICTED UNRESTRICTED RESTRICTED ENDOWMENT
-
£
-
£
-
£
-
£
-
£
-
£
-
£
-
£
CURRENT YEAR PREVIOUS YEAR
GENERAL DESIGNATED
12,725
£
12,725
£
12,725
£
Church Hall Flat - renovations at cost 26,122
£
26,122
£
26,122
£
Equipment - at cost 3,159
£
3,159
£
3,159
£
Assets -Investments
CB3023823
CBF Deposit Fund
[previously 6103069002D]
-
£
42,006
£
16,406
£
-
£
42,006
£
16,406
£
42,006
£
26,275
£
CB3023822
CBF Investment Fund Income
[previously 61039001S]
19,392
£
19,392
£
20,199
£
CB3023821
CBF Fixed Interest
[previously 610369001F]
63,217
£
63,217
£
61,707
£
CB3005129
CBF Investment General Religious
[previously 110001101S]
19,490
£
19,490
£
20,302
£
CB3005275
CBF Fixed Interest Sunday School
[previously 110001259F]
15,306
£
15,306
£
14,940
£
Assets -Tangible -
£
99,015
£
34,796
£
133,811
£
18,000
£
143,423
£
18,000
£
Bechstein Grand Piano 18,000
£
-
£
18,000
£
-
£
-
£
18,000
£
18,000
£
nt Assets - Cash at bank and in hand
Barclays CHURCH a/c 2734 27,891
£
27,891
£
6,829
£
Barclays FRIENDS a/c 3047 224
£
224
£
211
£
Stripe fees due -
£
293
£
28,115
£
-
£
-
£
-
£
28,115
£
7,333
£
nt Assets -Debtors 4,997
£
1,122
£
Accounts Receivable 4,997
£
4,997
£
-
£
-
£
-
£
4,997
£
-
£
1,122
£
ties -Agency Accounts
Agency Collections
-
£
-
£
-
£
-
£
-
£
-
£
ties -Creditors(falling due within one year)
Diocesan Loan 36,000
£
36,000
£
BarclayCard 1,601
£
1,601
£
2,203
£
Accounts Payable 5
£
5
£
(44)
£
5
£
37,601
£
-
£
-
£
37,606
£
2,159
£
GRAND TOTAL
33,107
£
121,420
£
34,796
£
-
£
189,323
£
214,043
£

Page xiv

Analysis of Income and Expenditure

INCOME AND ENDOWMENTS
Donations and Legacies
0100
0110 Giving -Cash from services
0120 Giving -Non-Gift Aided
0200 Other Donations -Donations and Candles Boxes
0210 All Other Donations
0220 All Other Donations -Refreshments
0240 All Other Donations -Flowers
0270 All Other Donations -Just Giving receipts
0320 Gift Aid Recovered
0340 Legacies Received
0520
Income from Charitable Activities
0230 LoyaltyBankpayments
0510 Proceeds from Fund-Raising -Events
0700 Church Lets
0720 Church Hall Lets -Adhoc
0730 Church Hall Lets -Flat
0740 Church Hall Lets -Regular
0741 Church Hall Lets -Koalas
0741 PCC Gross Fees
Investments
0600 Investment Income
Other Income
0330 VAT Recovered via LPWGS
0400 Stewardship Grant
0405 Insurance Claim -Roof Damage
0405 Insurance Claim -Break-in
0410 Grant Income -Letitia Tilbury Tarner Trust
0420 Grant Income -Sussex Historic Churches Trust
Grant Income -John Booth Charitable Trust
0430 Other Grant Income
0951 Other Income -Big Issue
Other Income
Giving-Gift Aided
Friends Donations
INCOME AND ENDOWMENTS
Donations and Legacies
0100
0110 Giving -Cash from services
0120 Giving -Non-Gift Aided
0200 Other Donations -Donations and Candles Boxes
0210 All Other Donations
0220 All Other Donations -Refreshments
0240 All Other Donations -Flowers
0270 All Other Donations -Just Giving receipts
0320 Gift Aid Recovered
0340 Legacies Received
0520
Income from Charitable Activities
0230 LoyaltyBankpayments
0510 Proceeds from Fund-Raising -Events
0700 Church Lets
0720 Church Hall Lets -Adhoc
0730 Church Hall Lets -Flat
0740 Church Hall Lets -Regular
0741 Church Hall Lets -Koalas
0741 PCC Gross Fees
Investments
0600 Investment Income
Other Income
0330 VAT Recovered via LPWGS
0400 Stewardship Grant
0405 Insurance Claim -Roof Damage
0405 Insurance Claim -Break-in
0410 Grant Income -Letitia Tilbury Tarner Trust
0420 Grant Income -Sussex Historic Churches Trust
Grant Income -John Booth Charitable Trust
0430 Other Grant Income
0951 Other Income -Big Issue
Other Income
Giving-Gift Aided
Friends Donations
UNRESTRICTED UNRESTRICTED RESTRICTED ENDOWMENT
-
£
-
£
-
£
-
£
CURRENT YEAR PREVIOUS YEAR
GENERAL DESIGNATED
13,704
£
13,704
£
25,687
£
Giving -Cash from services 2,135
£
2,135
£
1,440
£
Giving -Non-Gift Aided 32,522
£
32,522
£
2,387
£
Other Donations -Donations and Candles Boxes 6,442
£
6,442
£
7,214
£
All Other Donations -
£
All Other Donations -Refreshments 215
£
215
£
426
£
All Other Donations -Flowers -
£
All Other Donations -Just Giving receipts 1,850
£
1,850
£
2,163
£
Gift Aid Recovered 4,194
£
4,194
£
7,100
£
Legacies Received -
£
Friends Donations 10
£
10
£
10
£
e from Charitable Activities 61,072
£
-
£
-
£
61,072
£
46,437
£
LoyaltyBankpayments 3
£
3
£
32
£
Proceeds from Fund-Raising -Events 2,016
£
2,016
£
2,931
£
Church Lets 11,127
£
11,127
£
14,829
£
Church Hall Lets -Adhoc 3,680
£
3,680
£
6,047
£
Church Hall Lets -Flat 7,500
£
7,500
£
4,500
£
Church Hall Lets -Regular 27,824
£
27,824
£
23,394
£
Church Hall Lets -Koalas 56
£
56
£
243
£
PCC Gross Fees 1,821
£
1,821
£
3,150
£
54,027
£
-
£
-
£
-
£
54,027
£
55,126
£
ments 4,781
£
4,167
£
Investment Income 4,781
£
4,781
£
-
£
-
£
-
£
4,781
£
4,167
£
Income
VAT Recovered via LPWGS 4,194
£
4,194
£
1,022
£
Stewardship Grant -
£
Insurance Claim -Roof Damage -
£
1,400
£
Insurance Claim -Break-in 14,927
£
14,927
£
Grant Income -Letitia Tilbury Tarner Trust 722
£
722
£
700
£
Grant Income -Sussex Historic Churches Trust -
£
264
£
Grant Income -John Booth Charitable Trust 1,000
£
Other Grant Income 7,555
£
7,555
£
5,278
£
Other Income -Big Issue 2,670
£
2,670
£
1,500
£
Other Income 353
£
353
£
31,422
£
-
£
-
£
-
£
31,422
£
10,164
£
TOTAL INCOME 151,303
£
-
£
-
£
-
£
151,303
£
115,894
£

Page xv

Analysis of Income and Expenditure

EXPENDITURE
Raising Funds
2200 Recitals and Events
2215 Church Licensing
Charitable Activities
2000 Parish Ministry Contribution
2099 Venue Administrator Expenses
2220 Fees -Deputising Clergy
2230 Fees -Deputising Organists
2300 Bank and Card Charges
2630 Church -Maintenance
2660 Church -Music (Organ and Piano)
2700 Admin Professional Development
2800 Utilities - Church -Electricity
2810 Utilities - Church -Gas Main
2820 Utilities - Church -Gas (Vestry)
2830 Utilities - Church -Water
2840 Utilities - Church Hall -Electricity
2850 Utilities - Church Hall -Gas
2860 Utilities - Church Hall -Water
2900 Church Hall -Cleaning
2910 Church Hall -Consumables
2960 Cleaning Wages
Other Expenditure
2210 Fees -Diocese
2410 Vicarage -Council Tax
2420 Vicarage -Water Rates
2450 Telecoms -Church
2470 Telecoms -Vicarage
2600 Church -Liturgical Supplies
2610 Church -Charitable Giving
2620 Church -Consumables
2625 Church -Equipment
2635 Church -Insurance
2920 Church Hall -Maintenance
2930 Church Hall -Insurance
2950 Other expenditure
EXPENDITURE
Raising Funds
2200 Recitals and Events
2215 Church Licensing
Charitable Activities
2000 Parish Ministry Contribution
2099 Venue Administrator Expenses
2220 Fees -Deputising Clergy
2230 Fees -Deputising Organists
2300 Bank and Card Charges
2630 Church -Maintenance
2660 Church -Music (Organ and Piano)
2700 Admin Professional Development
2800 Utilities - Church -Electricity
2810 Utilities - Church -Gas Main
2820 Utilities - Church -Gas (Vestry)
2830 Utilities - Church -Water
2840 Utilities - Church Hall -Electricity
2850 Utilities - Church Hall -Gas
2860 Utilities - Church Hall -Water
2900 Church Hall -Cleaning
2910 Church Hall -Consumables
2960 Cleaning Wages
Other Expenditure
2210 Fees -Diocese
2410 Vicarage -Council Tax
2420 Vicarage -Water Rates
2450 Telecoms -Church
2470 Telecoms -Vicarage
2600 Church -Liturgical Supplies
2610 Church -Charitable Giving
2620 Church -Consumables
2625 Church -Equipment
2635 Church -Insurance
2920 Church Hall -Maintenance
2930 Church Hall -Insurance
2950 Other expenditure
UNRESTRICTED UNRESTRICTED RESTRICTED ENDOWMENT
-
£
-
£
-
£
CURRENT YEAR PREVIOUS YEAR
GENERAL DESIGNATED
9,807
£
9,807
£
8,398
£
Church Licensing 477
£
477
£
575
£
able Activities 10,284
£
-
£
-
£
10,284
£
8,973
£
Parish Ministry Contribution 30,000
£
30,000
£
27,500
£
Venue Administrator Expenses 1,574
£
1,574
£
1,665
£
Fees -Deputising Clergy 71
£
71
£
Fees -Deputising Organists 3,454
£
3,454
£
3,333
£
Bank and Card Charges 637
£
637
£
633
£
Church -Maintenance 65,070
£
65,070
£
12,492
£
Church -Music (Organ and Piano) 1,336
£
1,336
£
1,740
£
Admin Professional Development 61
£
61
£
3,441
£
Utilities - Church -Electricity 4,366
£
4,366
£
1,706
£
Utilities - Church -Gas Main 2,864
£
2,864
£
10,578
£
Utilities - Church -Gas (Vestry) 1,768
£
1,768
£
1,707
£
Utilities - Church -Water 468
£
468
£
353
£
Utilities - Church Hall -Electricity 2,423
£
2,423
£
219
£
Utilities - Church Hall -Gas 3,228
£
3,228
£
4,425
£
Utilities - Church Hall -Water 3,162
£
3,162
£
1,273
£
Church Hall -Cleaning 1,532
£
1,532
£
1,301
£
Church Hall -Consumables 34
£
34
£
165
£
Cleaning Wages 3,080
£
3,080
£
2,009
£
125,128
£
-
£
-
£
-
£
125,128
£
74,540
£
Expenditure
Fees -Diocese 767
£
767
£
557
£
Vicarage -Council Tax 1,175
£
1,175
£
2,825
£
Vicarage -Water Rates 881
£
881
£
553
£
Telecoms -Church 1,435
£
1,435
£
1,289
£
Telecoms -Vicarage 384
£
384
£
765
£
Church -Liturgical Supplies 1,355
£
1,355
£
1,128
£
Church -Charitable Giving 2,936
£
2,936
£
2,546
£
Church -Consumables 6,653
£
6,653
£
5,510
£
Church -Equipment 5,177
£
5,177
£
1,596
£
Church -Insurance 8,480
£
8,480
£
8,211
£
Church Hall -Maintenance 3,874
£
3,874
£
4,141
£
Church Hall -Insurance 1,533
£
1,533
£
1,491
£
Other expenditure 5,367
£
5,367
£
2,147
£
40,015
£
-
£
-
£
-
£
40,015
£
32,759
£
TOTAL EXPENDITURE 175,427
£
-
£
-
£
-
£
175,427
£
116,272
£
SURPLUS/(DEFICIT) (24,125)
£
-
£
-
£
-
£
(24,125)
£
(378)
£

Page xvi

NOTES TO THE FINANCIAL STATEMENTS

For the year ended 31 December 2025

1. Accounting Policies

a) Basis of preparation

The financial statements have been prepared on a receipts and payments basis, using the Xero accounts package, consistent with prior years and in accordance with the Charities Act 2011.

b) Funds structure

Funds are classified as:

c) Fixed assets

All fixed assets are initially recorded at cost.

d) Investments

Investments are recorded at market value.

2. Income

3. Expenditure

4. Transfers between funds

Page xvii

5. Fixed assets

CHURCH
CHURCH HALL –at cost, freehold property
CHURCH HALL FLAT –at cost, renovations
EQUIPMENT –at cost
BECHSTEIN PIANO
2025
2024
£0.00
£0.00
£12,725
£12,725
£26,122
£26,122
£3,159
£3,159
£18,000
£18,000
£60,006
£60,006

6. Investments

7. Liabilities

8. Emergency Appeal

During the year the PCC launched an Emergency Appeal in response to the exceptional costs arising from the heating failure and break-in. Donations received by 31 December 2025 totalled £2,160. A substantial proportion of appeal income was received during 2026 and therefore falls into the 2026 financial year.

Page xviii

9. Legacy

No legacies were received in the year.

10. Gift Aid

The sum of £4,194 was recovered in this calendar year from the Gift Aid Scheme, which includes the Gift Aid Small Donation Scheme (GASDS), made up of donations via the contactless device, ‘GoodBox’, the wall donations safe, and the candle box. There is an outstanding claim which will be applied for in 2026.

11. Insurance

Until 31 December 2017, the cost of insuring the church building was included in the Parish Ministry Contribution.

This changed on 1 January 2018 and the insurance is now paid directly to our insurer, Ecclesiastical, in monthly installments, for an annual total of £8480.

The church hall has always been insured separately with the same insurer. The amount paid in March 2025 was £1533.

12. Grant and Other Income

LPWGS £4,194 John Booth Charitable Trust £1,000 Letitia Tilbury Tarner Trust £722 Other Grants £7,555 TOTAL £13,471 Big Issue £2,670 Insurance Claim £14,927 TOTAL £17,597

GRAND TOTAL £31,068

The Listed Places of Worship Grant Scheme, which allowed us to claim the equivalent of VAT on specified work carried out in the church, has now closed in its previous form and we will be unable to make any further claims.

13. There were no Local Authority or Government grants paid in 2025. No payments were made to Trustees in the year other than reimbursement of legitimate expenses.

14. Overall position

Page xix

Page xx