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2021-12-31-accounts

Tidenham Parochial Church Council

Trustees’ Annual Report and Accounts for the year ended 31 December 2021

Registered Charity Number 1158940

Tidenham Parochial Church Council

Trustees’ Annual Report and Financial Statements

for the year ended 31 December 2021

Contents

Page

Trustees’ Report 2021

31 August 2022

Page 1 of 17

Tidenham Parochial Church Council

Full Name: The Parochial Church Council (PCC) of the Ecclesiastical Parish of Tidenham with Beachley and Lancaut (Parish of Tidenham).

Working Name: Tidenham PCC

Location: The Ecclesiastical Parish of Tidenham is located in Gloucestershire in the south part of the Forest of Dean District Council, between the Rivers Severn and Wye, and adjacent to Chepstow. It is part of Forest South Deanery, within the Church of England’s Diocese of Gloucester. There are 3 church buildings: -

Charitable Status : The PCC of the Ecclesiastical Parish of Tidenham with Beachley and Lancaut was registered with the Charity Commissioners on 23rd October 2014. It previously had excepted charity status.

Registered charity number: 1158940

Address for correspondence : Tidenham Vicarage, Gloucester Road, Tutshill, CHEPSTOW NP16 7DH

PCC members who have served from 1[st] January 2021 until 30[th] April 2022 are: -

Ex officio members:

Office Name Dates Position held Incumbent Revd David Treharne Chair Curate Revd Janice Hamilton (Until 31 July 2021) Curate Revd Nicki Bullivant Churchwarden Prof Brian Duerden CBE Vice chair Churchwarden Miss Nicholette Flatman Vice chair Reader Mrs Fiona Gardiner Reader Mr James Parsons Deanery Synod representative Lay members: Mr Ewen Hamilton (Until 22 July 2021) Treasurer (until 22 July 2021) Mr John Dempsey (From 26 June 2021 until Treasurer (from 22 July 2021 until (Co-opted) 05 March 2022) he resigned on 05 March 2022) Mr Iain Gardiner Secretary Dr Emma Phillips Deanery Synod representative Mrs Molly Mayo (Co-opted) Deanery Synod representative Mr John-Ross (Co-opted until elected at Health & Safety Advisor Henderson APCM 25 April 2021) (from 01 August 2021) Ms Marilyn Henderson Parish Safeguarding Officer Mr Peter Jones Mrs Polly Morgan (From APCM 25 April 2021) Mr Andrew Palmer Mr Ethan Richards (From APCM 25 April 2021) Mr Robin Riordan Mrs Melanie Walton (Until 07 October 2021) Miss Chantelle Wynn

Independent examiner : Andrew Royle

Trustees’ Report 2021

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Tidenham Parochial Church Council

GOVERNANCE, STRUCTURE AND MANAGEMENT

Governing Document

Tidenham Parochial Church Council (The PCC) is a body corporate established by the Church of England. All PCCs are governed by two pieces of Church of England legislation, called Measures:

Aims and purposes

All PCC members are Trustees of the charity. The PCC is responsible for: -

Objectives and activities

The PCC seeks to promote the whole mission of the church by engaging in activities including: -

Grant making is not a primary activity. However as part of its charitable purpose of promoting the whole mission of the Church, the PCC makes grants to other charitable organisations with complementary activities which help us achieve our purpose.

Public Benefit - - Engaging with the community

In planning the activities for the year, the incumbent and the PCC have considered the Commission’s guidance on public benefit and, in particular, the specific guidance on charities for the advancement of religion. Built into the parish vision is a commitment to ‘doing relationship well’ and therefore a strong emphasis is placed on building community, loving engagement and wellbeing within the Parish. In particular we try to enable ordinary people to live out their faith as part of our parish community through: -

PCC Structure

The method of appointment of PCC members is set out in the Church Representation Rules. It consists of both ex-officio and elected members, and all members have full charity trustee responsibilities.

Ex-Officio PCC members

Tidenham PCC consists of the following ex officio members: the vicar, two churchwardens, curates, readers and Deanery Synod Representatives.

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Tidenham Parochial Church Council

Forest South Deanery Synod

Three church members are elected every three years at the APCM to sit on Forest South Deanery Synod and become ex-officio members of the PCC. This provides the PCC with an important link between the parish and the wider structures of the Church. Deanery Synod members were elected at the 2020 APCM for a 3-year term.

Electing PCC members

In addition, twelve ordinary PCC members are elected at the Annual Parochial Church Meeting (APCM) by those members of the congregation who are on the church electoral roll of the parish. The APCM must be well advertised and held by 31 May each year using a standard agenda. It was duly held in Tidenham church on Sunday 25 April 2021. PCC members are also elected for a 3-year term, with a third of members elected each year. The PCC may co-opt up to two additional members as necessary.

Church Electoral Roll of Tidenham Parish

All those who attend services in the Parish are encouraged to register on the Church Electoral Roll, which is reviewed each year by the PCC prior to the APCM. Church members are encouraged to stand for election to the PCC, if they have the appropriate gifts, skills and commitment to contribute to the spiritual life of the parish and the management of the church’s affairs.

The Church Representation Rules require each PCC to create a completely new church electoral roll every six years, and this was duly achieved during January and February 2019 in advance of the 2019 APCM.

At 01 January 2021 there were 189 people on the church electoral roll, of whom 144 lived in the parish. The roll was revised in April 2021 in advance of the scheduled APCM. At 31 December 2021 there were 182 people on the church electoral roll, of whom 137 live in the parish.

PCC Management

PCC Meetings and sub-committees

The full PCC met ten times during 2021 (four in person and 6 times via Zoom) with an average attendance of 77%. Safeguarding, health and safety, and data protection are mandatory topics for the agenda. Once signed the Minutes are public documents and are available from the PCC Secretary. Highlights of the PCC meetings are published in the Link church magazine.

Given its wide responsibilities the PCC has a number of committees, each dealing with a particular aspect of parish life. These sub-committees, which include buildings, finance and charity giving, are responsible to the PCC and report back to it regularly.

The PCC has also authorised certain church members to be responsible for particular areas of church activity, such as safeguarding, health and safety, pastoral visiting, liaison with Tutshill Church of England primary school, visiting families to prepare for baptism, and care home services. The members of these committees and post holders are reviewed each year at the first PCC meeting after the APCM.

CHURCH BUILDINGS

To facilitate our activities it is important that we maintain the fabric of the three church buildings in the parish.

Tutshill church

The recently re-ordered main church building has required no significant work this year. The Servery was completed, and work is progressing on the PA desk.

Tidenham church

Tidenham church has required no significant work this year. The PCC continued to investigate potential repairs to the tower and DAC requested we review our proposals for a faculty.

Tidenham Chase church

Chase church has required no significant work this year.

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Tidenham Parochial Church Council

ACHIEVEMENTS AND PERFORMANCE

Covid 19 Crisis

Revd Treharne’s small Covid working group originally set up in 2020 continued to review how the PCC should comply with the fast changing Covid Regulations taking account of the extensive guidance provided centrally by the Church of England, supplemented by information and guidance from Gloucester Diocese. Covid significantly impacted every aspect of normal church life and activities throughout the year. Church buildings were closed for many weeks, meeting fellow Christians was severely restricted or banned, church services moved online, and many church meetings were cancelled or held via Zoom. We had very limited face to face services in schools and care homes. Following the easing of UK Government restrictions, face to face public worship resumed on Easter Sunday 4 April with indoor services at Tidenham and Chase, and an outdoor service at Tutshill.

We continued to evolve new ways of being relevant to the community: -

Public Benefit - Access to Church buildings

St Luke's Tutshill was open to the public on 3 days a week for personal prayer, and access to the other churches can be provided on request to the Administration Assistant or churchwardens. The churches may be used for community purposes. Local Schools can use the Church for regular acts of worship during term time and for other services during the year.

Public Benefit - Worship and Prayer

Public worship is conducted by those licensed and authorised to do so by the Bishop of Gloucester, which as well as the incumbent, curates and readers of Tidenham Parish on page 5, includes Revd David Rees, an Ordained Local Minister from St Briavels and Hewelsfield.

Until the imposition of Covid lockdowns in 2020, all three churches in the parish held a public Christian worship service each Sunday with additional services at Tutshill and Tidenham during the week.

Through baptism we thank God for the gift of life, in marriage public vows are exchanged with God’s blessing and, through funeral services, friends and family express their grief and give thanks for the life which is now complete in the world and to commend the person into God’s keeping. We celebrated 5 baptisms; 8 weddings and we held 34 funerals in our churches and at local crematoria ~~.~~

Parishioners are encouraged to learn about the Gospel, and to develop their knowledge and trust in Jesus, not only through teaching during services, but also by joining one of the small ‘Life groups’ which met regularly on weekdays via Zoom and latterly in person to discuss the Christian faith and how it affects their lives. The annual quiet day usually organised in Spring at Ty Mawr Convent, had to be cancelled for a second year.

Public Benefit - Pastoral Care

Some members of our parish are unable to attend church due to sickness or age. The ordained ministers are assisted in the pastoral work by a pastoral visiting team. Their usual activities, providing pastoral care in local hospitals and via home visits to the bereaved, sick, elderly and housebound, all had to stop, but in their place an expanded pastoral team of over 25 people maintained connections and offered support to church and community members. We were still unable to hold any of the monthly lunches at the local Woodcroft Christian Centre, which offered social activity for senior residents of the parish, and we were unable to restart the fortnightly visits to a local care home.

Online and latterly in person activities were run for children and teenagers to help them explore Christianity in a fun and engaging way. We managed to hold regular virtual and latterly in person sessions for our Parish baby and toddlers groups.

Trustees’ Report 2021

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Tidenham Parochial Church Council

Mission and Evangelism

An ordained Pioneer Minister concluded her time in the parish in August and handed over her duties at Sedbury Space to a new team.

The PCC’s commitment to Mission and evangelism was demonstrated by its implementation in 2021 of the conclusions of a small working party into future opportunities to expand the existing work in the parish. A new full-time Youth, Children and Families (YCF) Missioner began work at the start of the new school year in September, and a wholly new post of Wellbeing Chaplain started at the end of September.

The Parish produces a 'weekly briefing' for members and the wider community circulated on email, the Parish website and post to those with no access to online material. Easter and Christmas cards designed by members of the congregation were again delivered to every home in the Parish. YouTube and Facebook posts reached well beyond the usual church membership.

The Link, our parish magazine, has had to become a predominantly online magazine issued 4 times this year.

The church website provides information about our church buildings, life events, contact details and a comprehensive calendar of events.

During the year, the PCC gave £1,373 (2020: £2,770) to a range of other charitable causes in the local community, nationally and throughout the world.

Ecumenical Relationships

As we are located right on the Welsh border, we are a member of the Chepstow-based Churches Together in Wales (Cytûn), participating in foodbank collections and Christians Against Poverty.

STAFF

Paid Staff

During 2021 the PCC employed a number of full and part-time staff, whose roles changed during the year:

Volunteers

The PCC relies almost entirely on volunteers to carry out its objectives, and thanks them for all they do to make our church in the Parish of Tidenham the active and vibrant community that it is.

Trustees’ Report 2021

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Tidenham Parochial Church Council

RISK MANAGEMENT

The PCC has a duty to identify and review the risks to which the church is exposed and to ensure appropriate controls are in place to provide reasonable assurance against those risks. The Parish engages in activities with children and young people, and comes into contact with vulnerable people in the course of its pastoral ministry.

Safeguarding

The church engages in activities with children and young people and may come into contact with vulnerable people in the course of its pastoral ministry. The PCC has reconfirmed its acceptance of the House of Bishops’ Safeguarding Policy and Parish Safeguarding Handbook. The PCC has a safeguarding policy for working with children and young adults and a separate safeguarding policy for working with vulnerable adults. These key policies are reviewed, revised and reissued each year, usually at the first PCC meeting after the APCM. The Parish Safeguarding Officer (PSO) ensured that:

There was one safeguarding incident during 2021, which was reported to all the relevant agencies.

Insurance

The PCC has insurance policies covering both its church buildings and its activities. It has comprehensive health and safety policies, which are reviewed each year, and a contract for the provision and annual maintenance of fire extinguishers in its buildings.

Data Protection

The PCC has always taken its responsibilities for data protection very seriously, and issued a privacy notice in January 2021 as part of its review of the church electoral roll. The PCC has reviewed the data it holds and believes it complies with the General Data Protection Regulations (GDPR) 2018. No data protection issues were recorded during 2021.

FINANCE REVIEW

As with most other areas of church life, our finances in 2021 have continued to be affected by the COVID-19 pandemic. The limitation of church services at the start of the year, along with the ongoing need to reduce cash handling, has significantly reduced income from collections. At £4,095 in 2021 this was a slight increase over £3,672 collected in 2020, but still 76% less than the £17,374 collected in 2019. This trend is likely to continue for the foreseeable future.

At £11,572 fee income from weddings and funerals was up £5,878 (103%) from 2020 and up £3,471 (43%) from 2019, as restrictions on such gatherings eased. Some of the church running costs decreased year on year due to the enforced reduction in activities, but not enough to avoid calling on the PCC’s reserves, which exist for just such a time as this.

Total receipts (i.e. income) on the General Fund were £95,042 (2020: £86,698) (2019: £88,549) , a 9% increase year on year. Total General Fund voluntary receipts of £80,092 (2020:£76,583) (2019: £77,119) increased by 4.6%, but without the £5.5k legacies in 2020 the increase over 2020 would have been £9,009 (12.7%). Income from the recovery of Gift Aid: £16,314 was up £3,873 (31%) over 2020 - £12,441.

Trustees’ Report 2021

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Tidenham Parochial Church Council

The amount spent from the General Fund to provide Christian ministry throughout the parish was £91,560 (2020: £92,143) (2019: £88,812) , a decrease of 0.6% year on year. Due to the Covid pandemic, the Diocese agreed to freeze the cost of the parish share, much of which pays indirectly for clergy stipends, pensions, housing and training, and so we paid £64,428 (2020: £64,427) (2019: £60,780) . Church running costs were up 23% at £19,805 (2020: £16,046) (2019: £17,956) including utilities of £7495, (2020:£4,999) (2019: £5,357) and insurance of £4296 ( 2020: £3,931) (2019: £3,854). SSE subsequently refunded us £3843 due to overcharging us in 2021 . This will be shown in the 2022 accounts. There were no Building repairs and improvements paid from the General Fund in 2021.

The net result was that General Fund receipts exceeded payments by £3,482, bringing the balance on the General Fund at 31 December 2021 to £33,082 (2020: £29,600) (2019: £35,045) .

Reserves Policy. After a thorough review, PCC revised its General Fund reserves policy in December 2021. The new Reserves policy requires PCC to keep a reserve of £20,000 in its General Fund, and £5k between our main restricted funds: YCF and Wellbeing Project.

Restricted funds

  1. The fund made up of grants and other voluntary income to support youth, children and families (YCF) ministry stood at £62,867 (2020: £57,210) (2019: £41,955) at year end, thanks to the financial support of donors and particularly grant-making charities, from whom grants of £31,000 were received in 2021.

  2. The fund for the project to refurbish and develop the interior of St. Luke’s Church, Tutshill paid Cymru Kitchens £18,210 in December for the new servery completed in autumn 2021, and £1958 towards the cost of the new sound desk. We received a further £11,595 including donations and a grant towards the remaining works. At year end the balance was £14,331 (2020: £24,168) (2019: £18,474).

  3. The new fund made up of grants and other voluntary income to support the new Wellbeing Project stood at £19,325 at the year end.

  4. The PCC also paid fees of £1,296 for the conservation engineer’s report on Tidenham tower roof, which the DAC requested as part of the faculty process. This cost was met by the restricted and designated funds for buildings maintenance and development. At the end of the year these funds stood at £10,422 ( 2020: £3,409) (2019: £3,463) restricted and £1951, (2020: £2,326) (2019: £3,335) designated.

Total Receipts and Payments Summary (i.e. Including all restricted and unrestricted funds)

Total receipts for 2021 were £179,336 ( 2020: £145,042) (2019: £207,346) and

Total payments for 2021 were £150,071 (2020: £130,810) (2019: £319,840) .

Total cash funds at the year-end were £159,353 (2020: £130,581) (2019: £116,349), held with Lloyds Bank, Monmouthshire Building Society and CBF Church of England deposit funds.

This Annual Report and the Annual Accounts for 2021 were approved by the PCC on 24 May 2022 and signed on their behalf:

David Treharne (electronically signed)

Revd David Treharne,

Chair

Trustees’ Report 2021

31 August 2022

Page 8 of 17

Tidenham Parochial Church Council

Independent Examiner’s Report to the Members of

Tidenham Parochial Church Council

I report on the accounts for the year ended 31 December 2021 which are set out on pages 10 to 17.

Respective responsibilities of the Trustees and Independent Examiner

As trustees of the charity, the members of the Parochial Church Council (“ PCC ”) are responsible for the preparation of the accounts. They consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 (" the 2011 Act ”) and that an independent examination is needed.

It is my responsibility to:

Basis of Independent Examiner’s Statement

My examination was carried out in accordance with the General Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from the trustees concerning such matters. The procedures undertaken do not provide all the evidence that would be required in an audit and consequently no opinion is given as to whether the accounts present a 'true and fair view’, and the report is limited to those matters set out in the statement below.

Independent Examiner's Statement

In connection with my examination, no matter has come to my attention:

Trustees’ Report 2021

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Page 9 of 17

Tidenham Parochial Church Council

Receipts and payments account for the year ended 31 December 2021

Note
Unrestricted
general
fund
Unrestricted
designated
funds
Restricted
funds
Total
2021
Total
2020
Total
2019
RECEIPTS
£
£
£
£
£
£
Voluntary receipts:
Planned giving
46,222
-
19,390
65,612
50,137
48,571
Collections at services
4,085
-
-
4,085
3,672
17,374
All other giving and voluntary
receipts
13,471
-
14,726
28,197
13,229
20,244
Gift Aid recovered
16,314
-
7,358
23,672
14,743
17,856
Legacies
-
-
-
-
6,000
-
Grants
2
-
-
35,900
35,900
46,036
83,318
80,092
-
77,374
157,466
133,817
187,363
Activities for generating funds:
Gross income from fundraising
activities
613
-
1,497
2,110
229
4,568
Investment income:
Dividends and interest
16
-
422
439
705
1,053
Church activities:
Fees for weddings and funerals
11,572
-
-
11,572
5,694
8,101
Gross income from trading
3
2,611
-
-
2,611
2,629
6,096
Other incoming resources:
Other income
4
138
-
5,000
5,138
1,968
165
Total receipts
95,042
-
84,294
179,336
145,042
207,346
PAYMENTS
Church activities:
Mission giving and donations
1,673
-
-
1,673
2,770
4,242
Diocesan parish share contribution
64,428
-
-
64,428
64,427
60,780
Salaries, wages and honoraria
6
1,630
-
32,220
33,850
27,978
27,346
Clergy and staff expenses
1,999
-
286
2,285
2,355
3,843
Mission and evangelism costs
7
810
-
971
1,781
2,010
3,714
Church running expenses
8
12,310
375
2,601
15,286
12,399
33,515
Utility bills
7,495
-
-
7,495
4,999
5,357
Cost of trading
9
753
-
-
753
249
6,713
Major repairs to church buildings
-
-
1,296
1,296
7,498
1,931
Improvements to church buildings
-
-
21,225
21,225
5,542
171,531
91,097
375
58,598
150,071
130,227
318,972
Costs of generating income:
Fund-raising activities
7
-
30
38
-
127
Governance costs:
Governance costs
456
-
-
456
583
741
Other expenditure:
Other expenditure
-
-
-
-
-
-
Total payments
91,560
375
58,628
150,564
130,810
319,840
(Shortfall) / Excess of receipts
over payments
3,482
(375)
25,665
28,772
14,232
(112,494)
Transfers between funds
10
-
-
-
-
-
-
Cash at bank and in hand at
01 January 2021
29,600
2,326
98,655
130,581
116,349
228,843
Cash at bank and in hand at
Note
Unrestricted
general
fund
Unrestricted
designated
funds
Restricted
funds
Total
2021
Total
2020
Total
2019
RECEIPTS
£
£
£
£
£
£
Voluntary receipts:
Planned giving
46,222
-
19,390
65,612
50,137
48,571
Collections at services
4,085
-
-
4,085
3,672
17,374
All other giving and voluntary
receipts
13,471
-
14,726
28,197
13,229
20,244
Gift Aid recovered
16,314
-
7,358
23,672
14,743
17,856
Legacies
-
-
-
-
6,000
-
Grants
2
-
-
35,900
35,900
46,036
83,318
80,092
-
77,374
157,466
133,817
187,363
Activities for generating funds:
Gross income from fundraising
activities
613
-
1,497
2,110
229
4,568
Investment income:
Dividends and interest
16
-
422
439
705
1,053
Church activities:
Fees for weddings and funerals
11,572
-
-
11,572
5,694
8,101
Gross income from trading
3
2,611
-
-
2,611
2,629
6,096
Other incoming resources:
Other income
4
138
-
5,000
5,138
1,968
165
Total receipts
95,042
-
84,294
179,336
145,042
207,346
PAYMENTS
Church activities:
Mission giving and donations
1,673
-
-
1,673
2,770
4,242
Diocesan parish share contribution
64,428
-
-
64,428
64,427
60,780
Salaries, wages and honoraria
6
1,630
-
32,220
33,850
27,978
27,346
Clergy and staff expenses
1,999
-
286
2,285
2,355
3,843
Mission and evangelism costs
7
810
-
971
1,781
2,010
3,714
Church running expenses
8
12,310
375
2,601
15,286
12,399
33,515
Utility bills
7,495
-
-
7,495
4,999
5,357
Cost of trading
9
753
-
-
753
249
6,713
Major repairs to church buildings
-
-
1,296
1,296
7,498
1,931
Improvements to church buildings
-
-
21,225
21,225
5,542
171,531
91,097
375
58,598
150,071
130,227
318,972
Costs of generating income:
Fund-raising activities
7
-
30
38
-
127
Governance costs:
Governance costs
456
-
-
456
583
741
Other expenditure:
Other expenditure
-
-
-
-
-
-
Total payments
91,560
375
58,628
150,564
130,810
319,840
(Shortfall) / Excess of receipts
over payments
3,482
(375)
25,665
28,772
14,232
(112,494)
Transfers between funds
10
-
-
-
-
-
-
Cash at bank and in hand at
01 January 2021
29,600
2,326
98,655
130,581
116,349
228,843
Cash at bank and in hand at
Note
Unrestricted
general
fund
Unrestricted
designated
funds
Restricted
funds
Total
2021
Total
2020
Total
2019
RECEIPTS
£
£
£
£
£
£
Voluntary receipts:
Planned giving
46,222
-
19,390
65,612
50,137
48,571
Collections at services
4,085
-
-
4,085
3,672
17,374
All other giving and voluntary
receipts
13,471
-
14,726
28,197
13,229
20,244
Gift Aid recovered
16,314
-
7,358
23,672
14,743
17,856
Legacies
-
-
-
-
6,000
-
Grants
2
-
-
35,900
35,900
46,036
83,318
80,092
-
77,374
157,466
133,817
187,363
Activities for generating funds:
Gross income from fundraising
activities
613
-
1,497
2,110
229
4,568
Investment income:
Dividends and interest
16
-
422
439
705
1,053
Church activities:
Fees for weddings and funerals
11,572
-
-
11,572
5,694
8,101
Gross income from trading
3
2,611
-
-
2,611
2,629
6,096
Other incoming resources:
Other income
4
138
-
5,000
5,138
1,968
165
Total receipts
95,042
-
84,294
179,336
145,042
207,346
PAYMENTS
Church activities:
Mission giving and donations
1,673
-
-
1,673
2,770
4,242
Diocesan parish share contribution
64,428
-
-
64,428
64,427
60,780
Salaries, wages and honoraria
6
1,630
-
32,220
33,850
27,978
27,346
Clergy and staff expenses
1,999
-
286
2,285
2,355
3,843
Mission and evangelism costs
7
810
-
971
1,781
2,010
3,714
Church running expenses
8
12,310
375
2,601
15,286
12,399
33,515
Utility bills
7,495
-
-
7,495
4,999
5,357
Cost of trading
9
753
-
-
753
249
6,713
Major repairs to church buildings
-
-
1,296
1,296
7,498
1,931
Improvements to church buildings
-
-
21,225
21,225
5,542
171,531
91,097
375
58,598
150,071
130,227
318,972
Costs of generating income:
Fund-raising activities
7
-
30
38
-
127
Governance costs:
Governance costs
456
-
-
456
583
741
Other expenditure:
Other expenditure
-
-
-
-
-
-
Total payments
91,560
375
58,628
150,564
130,810
319,840
(Shortfall) / Excess of receipts
over payments
3,482
(375)
25,665
28,772
14,232
(112,494)
Transfers between funds
10
-
-
-
-
-
-
Cash at bank and in hand at
01 January 2021
29,600
2,326
98,655
130,581
116,349
228,843
Cash at bank and in hand at
Note
Unrestricted
general
fund
Unrestricted
designated
funds
Restricted
funds
Total
2021
Total
2020
Total
2019
RECEIPTS
£
£
£
£
£
£
Voluntary receipts:
Planned giving
46,222
-
19,390
65,612
50,137
48,571
Collections at services
4,085
-
-
4,085
3,672
17,374
All other giving and voluntary
receipts
13,471
-
14,726
28,197
13,229
20,244
Gift Aid recovered
16,314
-
7,358
23,672
14,743
17,856
Legacies
-
-
-
-
6,000
-
Grants
2
-
-
35,900
35,900
46,036
83,318
80,092
-
77,374
157,466
133,817
187,363
Activities for generating funds:
Gross income from fundraising
activities
613
-
1,497
2,110
229
4,568
Investment income:
Dividends and interest
16
-
422
439
705
1,053
Church activities:
Fees for weddings and funerals
11,572
-
-
11,572
5,694
8,101
Gross income from trading
3
2,611
-
-
2,611
2,629
6,096
Other incoming resources:
Other income
4
138
-
5,000
5,138
1,968
165
Total receipts
95,042
-
84,294
179,336
145,042
207,346
PAYMENTS
Church activities:
Mission giving and donations
1,673
-
-
1,673
2,770
4,242
Diocesan parish share contribution
64,428
-
-
64,428
64,427
60,780
Salaries, wages and honoraria
6
1,630
-
32,220
33,850
27,978
27,346
Clergy and staff expenses
1,999
-
286
2,285
2,355
3,843
Mission and evangelism costs
7
810
-
971
1,781
2,010
3,714
Church running expenses
8
12,310
375
2,601
15,286
12,399
33,515
Utility bills
7,495
-
-
7,495
4,999
5,357
Cost of trading
9
753
-
-
753
249
6,713
Major repairs to church buildings
-
-
1,296
1,296
7,498
1,931
Improvements to church buildings
-
-
21,225
21,225
5,542
171,531
91,097
375
58,598
150,071
130,227
318,972
Costs of generating income:
Fund-raising activities
7
-
30
38
-
127
Governance costs:
Governance costs
456
-
-
456
583
741
Other expenditure:
Other expenditure
-
-
-
-
-
-
Total payments
91,560
375
58,628
150,564
130,810
319,840
(Shortfall) / Excess of receipts
over payments
3,482
(375)
25,665
28,772
14,232
(112,494)
Transfers between funds
10
-
-
-
-
-
-
Cash at bank and in hand at
01 January 2021
29,600
2,326
98,655
130,581
116,349
228,843
Cash at bank and in hand at
Note
Unrestricted
general
fund
Unrestricted
designated
funds
Restricted
funds
Total
2021
Total
2020
Total
2019
RECEIPTS
£
£
£
£
£
£
Voluntary receipts:
Planned giving
46,222
-
19,390
65,612
50,137
48,571
Collections at services
4,085
-
-
4,085
3,672
17,374
All other giving and voluntary
receipts
13,471
-
14,726
28,197
13,229
20,244
Gift Aid recovered
16,314
-
7,358
23,672
14,743
17,856
Legacies
-
-
-
-
6,000
-
Grants
2
-
-
35,900
35,900
46,036
83,318
80,092
-
77,374
157,466
133,817
187,363
Activities for generating funds:
Gross income from fundraising
activities
613
-
1,497
2,110
229
4,568
Investment income:
Dividends and interest
16
-
422
439
705
1,053
Church activities:
Fees for weddings and funerals
11,572
-
-
11,572
5,694
8,101
Gross income from trading
3
2,611
-
-
2,611
2,629
6,096
Other incoming resources:
Other income
4
138
-
5,000
5,138
1,968
165
Total receipts
95,042
-
84,294
179,336
145,042
207,346
PAYMENTS
Church activities:
Mission giving and donations
1,673
-
-
1,673
2,770
4,242
Diocesan parish share contribution
64,428
-
-
64,428
64,427
60,780
Salaries, wages and honoraria
6
1,630
-
32,220
33,850
27,978
27,346
Clergy and staff expenses
1,999
-
286
2,285
2,355
3,843
Mission and evangelism costs
7
810
-
971
1,781
2,010
3,714
Church running expenses
8
12,310
375
2,601
15,286
12,399
33,515
Utility bills
7,495
-
-
7,495
4,999
5,357
Cost of trading
9
753
-
-
753
249
6,713
Major repairs to church buildings
-
-
1,296
1,296
7,498
1,931
Improvements to church buildings
-
-
21,225
21,225
5,542
171,531
91,097
375
58,598
150,071
130,227
318,972
Costs of generating income:
Fund-raising activities
7
-
30
38
-
127
Governance costs:
Governance costs
456
-
-
456
583
741
Other expenditure:
Other expenditure
-
-
-
-
-
-
Total payments
91,560
375
58,628
150,564
130,810
319,840
(Shortfall) / Excess of receipts
over payments
3,482
(375)
25,665
28,772
14,232
(112,494)
Transfers between funds
10
-
-
-
-
-
-
Cash at bank and in hand at
01 January 2021
29,600
2,326
98,655
130,581
116,349
228,843
Cash at bank and in hand at
Note
Unrestricted
general
fund
Unrestricted
designated
funds
Restricted
funds
Total
2021
Total
2020
Total
2019
RECEIPTS
£
£
£
£
£
£
Voluntary receipts:
Planned giving
46,222
-
19,390
65,612
50,137
48,571
Collections at services
4,085
-
-
4,085
3,672
17,374
All other giving and voluntary
receipts
13,471
-
14,726
28,197
13,229
20,244
Gift Aid recovered
16,314
-
7,358
23,672
14,743
17,856
Legacies
-
-
-
-
6,000
-
Grants
2
-
-
35,900
35,900
46,036
83,318
80,092
-
77,374
157,466
133,817
187,363
Activities for generating funds:
Gross income from fundraising
activities
613
-
1,497
2,110
229
4,568
Investment income:
Dividends and interest
16
-
422
439
705
1,053
Church activities:
Fees for weddings and funerals
11,572
-
-
11,572
5,694
8,101
Gross income from trading
3
2,611
-
-
2,611
2,629
6,096
Other incoming resources:
Other income
4
138
-
5,000
5,138
1,968
165
Total receipts
95,042
-
84,294
179,336
145,042
207,346
PAYMENTS
Church activities:
Mission giving and donations
1,673
-
-
1,673
2,770
4,242
Diocesan parish share contribution
64,428
-
-
64,428
64,427
60,780
Salaries, wages and honoraria
6
1,630
-
32,220
33,850
27,978
27,346
Clergy and staff expenses
1,999
-
286
2,285
2,355
3,843
Mission and evangelism costs
7
810
-
971
1,781
2,010
3,714
Church running expenses
8
12,310
375
2,601
15,286
12,399
33,515
Utility bills
7,495
-
-
7,495
4,999
5,357
Cost of trading
9
753
-
-
753
249
6,713
Major repairs to church buildings
-
-
1,296
1,296
7,498
1,931
Improvements to church buildings
-
-
21,225
21,225
5,542
171,531
91,097
375
58,598
150,071
130,227
318,972
Costs of generating income:
Fund-raising activities
7
-
30
38
-
127
Governance costs:
Governance costs
456
-
-
456
583
741
Other expenditure:
Other expenditure
-
-
-
-
-
-
Total payments
91,560
375
58,628
150,564
130,810
319,840
(Shortfall) / Excess of receipts
over payments
3,482
(375)
25,665
28,772
14,232
(112,494)
Transfers between funds
10
-
-
-
-
-
-
Cash at bank and in hand at
01 January 2021
29,600
2,326
98,655
130,581
116,349
228,843
Cash at bank and in hand at
Note
Unrestricted
general
fund
Unrestricted
designated
funds
Restricted
funds
Total
2021
Total
2020
Total
2019
RECEIPTS
£
£
£
£
£
£
Voluntary receipts:
Planned giving
46,222
-
19,390
65,612
50,137
48,571
Collections at services
4,085
-
-
4,085
3,672
17,374
All other giving and voluntary
receipts
13,471
-
14,726
28,197
13,229
20,244
Gift Aid recovered
16,314
-
7,358
23,672
14,743
17,856
Legacies
-
-
-
-
6,000
-
Grants
2
-
-
35,900
35,900
46,036
83,318
80,092
-
77,374
157,466
133,817
187,363
Activities for generating funds:
Gross income from fundraising
activities
613
-
1,497
2,110
229
4,568
Investment income:
Dividends and interest
16
-
422
439
705
1,053
Church activities:
Fees for weddings and funerals
11,572
-
-
11,572
5,694
8,101
Gross income from trading
3
2,611
-
-
2,611
2,629
6,096
Other incoming resources:
Other income
4
138
-
5,000
5,138
1,968
165
Total receipts
95,042
-
84,294
179,336
145,042
207,346
PAYMENTS
Church activities:
Mission giving and donations
1,673
-
-
1,673
2,770
4,242
Diocesan parish share contribution
64,428
-
-
64,428
64,427
60,780
Salaries, wages and honoraria
6
1,630
-
32,220
33,850
27,978
27,346
Clergy and staff expenses
1,999
-
286
2,285
2,355
3,843
Mission and evangelism costs
7
810
-
971
1,781
2,010
3,714
Church running expenses
8
12,310
375
2,601
15,286
12,399
33,515
Utility bills
7,495
-
-
7,495
4,999
5,357
Cost of trading
9
753
-
-
753
249
6,713
Major repairs to church buildings
-
-
1,296
1,296
7,498
1,931
Improvements to church buildings
-
-
21,225
21,225
5,542
171,531
91,097
375
58,598
150,071
130,227
318,972
Costs of generating income:
Fund-raising activities
7
-
30
38
-
127
Governance costs:
Governance costs
456
-
-
456
583
741
Other expenditure:
Other expenditure
-
-
-
-
-
-
Total payments
91,560
375
58,628
150,564
130,810
319,840
(Shortfall) / Excess of receipts
over payments
3,482
(375)
25,665
28,772
14,232
(112,494)
Transfers between funds
10
-
-
-
-
-
-
Cash at bank and in hand at
01 January 2021
29,600
2,326
98,655
130,581
116,349
228,843
Cash at bank and in hand at
Note
Unrestricted
general
fund
Unrestricted
designated
funds
Restricted
funds
Total
2021
Total
2020
Total
2019
RECEIPTS
£
£
£
£
£
£
Voluntary receipts:
Planned giving
46,222
-
19,390
65,612
50,137
48,571
Collections at services
4,085
-
-
4,085
3,672
17,374
All other giving and voluntary
receipts
13,471
-
14,726
28,197
13,229
20,244
Gift Aid recovered
16,314
-
7,358
23,672
14,743
17,856
Legacies
-
-
-
-
6,000
-
Grants
2
-
-
35,900
35,900
46,036
83,318
80,092
-
77,374
157,466
133,817
187,363
Activities for generating funds:
Gross income from fundraising
activities
613
-
1,497
2,110
229
4,568
Investment income:
Dividends and interest
16
-
422
439
705
1,053
Church activities:
Fees for weddings and funerals
11,572
-
-
11,572
5,694
8,101
Gross income from trading
3
2,611
-
-
2,611
2,629
6,096
Other incoming resources:
Other income
4
138
-
5,000
5,138
1,968
165
Total receipts
95,042
-
84,294
179,336
145,042
207,346
PAYMENTS
Church activities:
Mission giving and donations
1,673
-
-
1,673
2,770
4,242
Diocesan parish share contribution
64,428
-
-
64,428
64,427
60,780
Salaries, wages and honoraria
6
1,630
-
32,220
33,850
27,978
27,346
Clergy and staff expenses
1,999
-
286
2,285
2,355
3,843
Mission and evangelism costs
7
810
-
971
1,781
2,010
3,714
Church running expenses
8
12,310
375
2,601
15,286
12,399
33,515
Utility bills
7,495
-
-
7,495
4,999
5,357
Cost of trading
9
753
-
-
753
249
6,713
Major repairs to church buildings
-
-
1,296
1,296
7,498
1,931
Improvements to church buildings
-
-
21,225
21,225
5,542
171,531
91,097
375
58,598
150,071
130,227
318,972
Costs of generating income:
Fund-raising activities
7
-
30
38
-
127
Governance costs:
Governance costs
456
-
-
456
583
741
Other expenditure:
Other expenditure
-
-
-
-
-
-
Total payments
91,560
375
58,628
150,564
130,810
319,840
(Shortfall) / Excess of receipts
over payments
3,482
(375)
25,665
28,772
14,232
(112,494)
Transfers between funds
10
-
-
-
-
-
-
Cash at bank and in hand at
01 January 2021
29,600
2,326
98,655
130,581
116,349
228,843
Cash at bank and in hand at
Note
Unrestricted
general
fund
Unrestricted
designated
funds
Restricted
funds
Total
2021
Total
2020
Total
2019
RECEIPTS
£
£
£
£
£
£
Voluntary receipts:
Planned giving
46,222
-
19,390
65,612
50,137
48,571
Collections at services
4,085
-
-
4,085
3,672
17,374
All other giving and voluntary
receipts
13,471
-
14,726
28,197
13,229
20,244
Gift Aid recovered
16,314
-
7,358
23,672
14,743
17,856
Legacies
-
-
-
-
6,000
-
Grants
2
-
-
35,900
35,900
46,036
83,318
80,092
-
77,374
157,466
133,817
187,363
Activities for generating funds:
Gross income from fundraising
activities
613
-
1,497
2,110
229
4,568
Investment income:
Dividends and interest
16
-
422
439
705
1,053
Church activities:
Fees for weddings and funerals
11,572
-
-
11,572
5,694
8,101
Gross income from trading
3
2,611
-
-
2,611
2,629
6,096
Other incoming resources:
Other income
4
138
-
5,000
5,138
1,968
165
Total receipts
95,042
-
84,294
179,336
145,042
207,346
PAYMENTS
Church activities:
Mission giving and donations
1,673
-
-
1,673
2,770
4,242
Diocesan parish share contribution
64,428
-
-
64,428
64,427
60,780
Salaries, wages and honoraria
6
1,630
-
32,220
33,850
27,978
27,346
Clergy and staff expenses
1,999
-
286
2,285
2,355
3,843
Mission and evangelism costs
7
810
-
971
1,781
2,010
3,714
Church running expenses
8
12,310
375
2,601
15,286
12,399
33,515
Utility bills
7,495
-
-
7,495
4,999
5,357
Cost of trading
9
753
-
-
753
249
6,713
Major repairs to church buildings
-
-
1,296
1,296
7,498
1,931
Improvements to church buildings
-
-
21,225
21,225
5,542
171,531
91,097
375
58,598
150,071
130,227
318,972
Costs of generating income:
Fund-raising activities
7
-
30
38
-
127
Governance costs:
Governance costs
456
-
-
456
583
741
Other expenditure:
Other expenditure
-
-
-
-
-
-
Total payments
91,560
375
58,628
150,564
130,810
319,840
(Shortfall) / Excess of receipts
over payments
3,482
(375)
25,665
28,772
14,232
(112,494)
Transfers between funds
10
-
-
-
-
-
-
Cash at bank and in hand at
01 January 2021
29,600
2,326
98,655
130,581
116,349
228,843
Cash at bank and in hand at
RECEIPTS
Voluntary receipts:
Planned giving 46,222
4,085
13,471
-
-
-
Collections at services
All other giving and voluntary
receipts
Gift Aid recovered 16,314 -
Legacies - -

Grants
2
- -
80,092 -
Activities for generating funds:
Gross income from fundraising
activities
613 -
Investment income:
Dividends and interest 16 -
Church activities:
Fees for weddings and funerals 11,572
2,611
-
-
Gross income from trading
3
Other incoming resources:
Other income
4
138 -
Total receipts 95,042 -
PAYMENTS
Church activities:
Mission giving and donations 1,673 -

Diocesan parish share contribution
64,428 -

Salaries, wages and honoraria
6
1,630 -

Clergy and staff expenses
1,999 -

Mission and evangelism costs
7
810 -

Church running expenses
8
12,310 375

Utility bills
7,495 -

Cost of trading
9
753 -

Major repairs to church buildings
- -

Improvements to church buildings
- -
91,097 375
Costs of generating income:
Fund-raising activities 7 -
Governance costs:
Governance costs 456 -
Other expenditure:
Other expenditure - -
Total payments 91,560 375
(Shortfall) / Excess of receipts
over payments
3,482
-
(375)
-
Transfers between funds
10
Cash at bank and in hand at
01 January 2021 29,600 2,326 98,655
130,581
116,349
228,843
Cash at bank and in hand at
31 December 2021 33,082 1,951 124,320
159,353
130,581
116,349

Annual Accounts 2021

31 August 2022

Page 10 of 17

Tidenham Parochial Church Council

Statement of Assets and Liabilities for the year ended 31 December 2021

Note
Cash Funds
Lloyds bank accounts
Monmouthshire Building Society
CBF deposit accounts
10
Other monetary assets
Income tax recoverable
Supplier refunds receivable
Liabilities
Income tax payable
Supplier invoices payable
Retentions on building works
Accrued utilities charges
Vicar and staff expenses payable
Charitable trusts at market value
Mary Burder churchyard fund
Nolan lych gate fund
Chancel repair fund
Unrestricted
general fund
£
33,060
-
20,794

53,854
668
6,877
7,546
-
637
-
701
-
1,338
Unrestricted
designated
funds
£
1,951
-
-
1,951
-
-
-
-
-
-
Restricted
funds
£
63,773
15,690
24,085
103,548
26
26
1,999
-
-
-
1,999
Total
2021
£
98,785
15,690
44,879
159,354
694
6,877
7,571
2,636
-
701
-
3,337
2021
£
8,888
2,904
468
12,259
Total
2020
Total
2019
£
£
70,445
56,918
15,628
15,551
44,508
43,880
130,581
116,349
3,748
3,456
2,868
2,040
6,616
5,496
-
23
737
-
3,744
279
768
495
204
797
5,453
2020
2019
£
£
12,784
11,935
2,540
2,372
423
397
15,747
14,704

The charitable trusts are administered by the Gloucester Diocesan Trust as endowment funds and must be retained.

Only the income arising from each fund is available for use by the PCC and is restricted to the purposes specified in note 10.

Annual Accounts 2021

31 August 2022

Page 11 of 17

Tidenham Parochial Church Council

Notes to the Financial Statements

1. Accounting policies

As the PCC’s gross income is below £250,000 the PCC has made use of the exemption in s.133 of the Charities Act 2011 to prepare a receipts and payments account and a statement of assets and liabilities. Receipts are included as received and expenditure when irrevocably paid. The financial statements are therefore not prepared on an accruals basis, and thus are outside the scope of the Charities SORP (FRS 102).

The financial statements are prepared in accordance with the Church Accounting Regulations 2006. They include monetary transactions, assets and liabilities for which the PCC can be held responsible. They do not include the accounts of other church groups that owe an affiliation to another body, nor those that are informal gatherings of church members.

Restricted funds represent income which can only be spent for specific purposes, which are set out in note 10. The restrictions arise when specified by a donor, or when funds are raised for a specific purpose.

Unrestricted funds represent the remaining funds of the PCC which are not restricted, and may be spent as the PCC wishes in accordance with the objectives of the charity. The PCC may designate certain unrestricted funds for particular uses, such as an upcoming project, and such designated funds are not included in its free reserves.

2. Grants

During the year the PCC received the following grants:

3. Gross income from trading

Unrestricted
general
fund
Unrestricted
designated
funds
Restricted
funds
£
£
£
Parish magazine sales
950
-
-
Parish magazine advertising
1,614
-
-
Parish weekend
-
-
-
Income from letting of building
47
-
-
Tutshill Toddlers Group
-
-
-
2,611
-
-
Total
2021
£
950
1,614
-
47
-
2,611
Total
2020
£
1,376
930
-
62
261
2,629
Total
2019
£
1,494
1,516
1,855
-
1,231
6,096

Annual Accounts 2021

31 August 2022

Page 12 of 17

Tidenham Parochial Church Council

Notes to the financial statements ( Continued )

4. Other income

Unrestricted
general
fund
Unrestricted
designated
funds
£
£
Wayleave
118
-
Insurance claims
-
-
Capital received from CBF
Mary Burder charitable trust
-
-
Other
20
-
TOTAL
138
-
Restricted
funds
£
-
5,000
-
5,000
Total
2021
£
118
5,000
20
5,138
Total
2020
£
118
1,849
-
1,968
Total
2019
£
118
47
165

5. Trustee’s remuneration and benefits

The remuneration paid to members of the PCC for carrying out their duties as trustees was £nil (2020: £nil) .

Mr Ethan Richards received remuneration of £6.655 (2020: £6,524 ) and pension contributions of £NIL (2020: NIL) in his capacity as part-time Youth Co-ordinator.

Revd Nicki Bullivant received remuneration of £3,447 (2020: NIL ) and pension contributions of £1 23 (2020: NIL ) in her capacity as part-time Wellbeing Chaplain.

The amount paid to members of the PCC for personal expenses whilst carrying out their duties as trustees was £nil (2020: £nil) .

6. Staff costs

Wages and salaries
Employer’s contribution to defined contribution pension scheme
The average number of employees during the year was:
Part-time
2021
£
32,326
1,523
33,849
2021
3
2020
£
26,577
1,401
27,978
2020
3

No employees received employee benefits of more than £60,000 during the year.

Annual Accounts 2021

31 August 2022

Page 13 of 17

Tidenham Parochial Church Council

Notes to the financial statements ( Continued )

7. Mission and evangelism costs

Unrestricted
general
fund
Unrestricted
designated
funds
£
£
Youth, children and families ministry
-
-
Discipleship
733
-
Outreach
61
-
Other expenses
15
-
809
-
Restricted
funds
£
971
-
-
-
971
Total
2021
£
971
733
61
15
1,780
Total
2020
£
1,650
31
98
231
2,010
Total
2019
£
2,617
54
842
201
3,714

8. Church running expenses

Unrestricted
general
fund
Unrestricted
designated
funds
£
£
Insurance
4,150
-
Church maintenance
1,268
375
Furniture
-
-
Audio-visual equipment
607
-
Upkeep of services
940
-
Upkeep of churchyards
1,994
-
Other church running
expenses
3,351
-
12,310
375
Church utility bills
7,495
-
19,805
375
Restricted
funds
£
-
-
-
207
899
1,495
-
2,601
-
2,601
Total
2021
£
4,150
1,643
814
1,839
3,489
3,351
15,286
7,495
22,781
Total
2020
£
3,931
1,350
418
851
2,192
1,716
1,941
12,399
4,999
17,398
Total
2019
£
3,854
753
14,030
6,356
4,400
1,865
2,257
33,515
5,357
38,872

Upkeep of churchyards includes £440 for the removal of a dangerous holly tree at Chase met from General Fund; £1,495 for the levelling out of ground at Chase church, which was met from the accumulated income from the Mary Burder churchyard fund.

Upkeep of services includes £498 for a new votive stand.

Other church running expenses includes £714 for a new church photocopier, £439 for a laptop and phone for the Admin Assistant.

9. Cost of trading

Unrestricted
general
fund
Unrestricted
designated
funds
£
£
Parish magazine
748
-
Parish weekend
-
-
Other costs
5
-
753
-
Restricted
funds
£
-
-
-
-
Total
2021
£
748
-
5
753
Total
2020
£
249
-
-
249
Total
2019
£
1,233
5,480
-
6,713

Annual Accounts 2021

31 August 2022

Page 14 of 17

Tidenham Parochial Church Council

Notes to the financial statements ( Continued )

10. Funds

The movements in funds during the year were as follows.

Unrestricted general fund
Unrestricted funds designated to:
Buildings maintenance and
development
Restricted funds
Buildings maintenance and development
Youth, children & families fund
Wellbeing Project
Tutshill church reordering fund
Tutshill toddlers group
Sedbury toddlers group
New Baby Group
The Well
Funds donated for the following purposes:
Notice boards (2014)
Tutshill churchyard bench (2016)
Tidenham church developments (2016)
Funds derived from closure of charitable
trusts:-
Vicar’s discretionary fund
Tidenham graves
Tutshill graves
Funds derived from charitable trusts:
Mary Burder churchyard fund
Nolan lych gate fund
Chancel repair fund
Vicar and wardens’ charitable trust
administered by the PCC
PCC restricted funds Total
Total Funds
Balance at
1 January
£
29,600
2,326
-
3,408
57,210
0
24,167
1,125
361
0
1,141
274
552
561
781
1846
380
1045
455
71
93,377
5,276
98,653
130,579
Receipts
£
95,042
-
-
8,319
35,566
23,071
11,595
-
-
371
23
-
-
-
-
-
-
5,262
58
28
84,293
3
84,296
179,338
Payments
£
(91,560)
(375)
-
(1,305)
(29,909)
(3,746)
(21,431)
(5)
(19)
(219)
-
-
-
-
-
-
-
(1,495)
-
-
(58,129)
(498)
(58,627)
(150,562)
Transfers
Balance at 31
December
£
£
-
33,082
-
1,951
-
-
-
10,422
-
62,867
-
19,325
-
14,331
-
1,120
-
341
-
152
-
1,164
-
274
-
552
-
561
-
781
-
1846
-
380
-
4812
-
513
-
99
-
119,541
-
4,781
-
124,322
-
159,355
Transfers
Balance at 31
December
£
£
-
33,082
-
1,951
-
-
-
10,422
-
62,867
-
19,325
-
14,331
-
1,120
-
341
-
152
-
1,164
-
274
-
552
-
561
-
781
-
1846
-
380
-
4812
-
513
-
99
-
119,541
-
4,781
-
124,322
-
159,355
1,951
-
10,422
62,867
19,325
14,331
1,120
341
152
1,164
274
552
561
781
1846
380
4812
513
99
119,541
4,781
124,322
159,355

Annual Accounts 2021

31 August 2022

Page 15 of 17

Tidenham Parochial Church Council

Notes to the financial statements ( Continued )

10. Funds (continued)

The origin and purpose of each restricted fund is as follows:

Youth, children and families fund: Money raised for the provision of Christian ministry specifically directed towards children, families with children, and teenagers in the Parish of Tidenham.

Wellbeing Project:

Money received towards the costs of improving the wellbeing of people in the Parish of Tidenham.

Buildings maintenance and Money raised from donations, grants and fund-raising events development towards the maintenance and development of the church buildings and installed fixtures.

Tutshill churchyard bench: The surplus remaining from a donation to purchase the bench in Tutshill churchyard

Tidenham church developments:

Vicar’s Discretionary Fund: Money from the closure of the F Grace trust to be used at the discretion of the vicar for the benefit of the poor of the parish.

Annual Accounts 2021

31 August 2022

Page 16 of 17

Tidenham Parochial Church Council

Notes to the financial statements

(continued)

10. Funds (continued)

Mary Burder churchyard fund:

Income from the charitable trust for the upkeep of the Burder graves in Chase churchyard and the churchyard in general

Nolan lych gate fund:

Income from the charitable trust for the preservation of the lych gate at Tidenham church

Tidenham Graves fund:

Money from the closure of the MJ Grace trust, the Mary Brett trust, and the Seys Bequest trust to be used for the upkeep of Tidenham churchyard, and especially the graves of Capt. Spencer Phipps Brett, Capt. Newdigate Poyntz, Mrs Poyntz, Mrs Alice Wood and the Seya family monuments, vault and window brass.

Tutshill Graves fund:

Chancel repair fund:

The following transfer has been made into the Mary Burder churchyard fund:

During January 2021 £5,000 was transferred from the Burder Trust administered by Gloucester Diocese Board of Finance to the Mary Burder churchyard restricted fund for the purpose of improving the graveyard at Tidenham Chase church.

Annual Accounts 2021

31 August 2022

Page 17 of 17