Independent Examiner's Rtport
to the PCC of St Peter's Aeton Green
I r¢port on the Accounts for the year ended 31 December 2024
as set out on pages 2 to 6
Respective responsibilities of trustees and eiaminer
The PCC, as charity trusle¢s, consider that an audxt is not required for this year (under
Section 144(2) of the Charities Act 2011 (the Act)) 8nd that an independent examination is
needed.
It is nly responsibility to..
examine the accounts (under section 145 of the Act),
to follow the procedures laid down in the General Directions given by the Charity
Commission (under section 145(5)(b) of the Act), and
to state whether any particular matters have come to my attention.
Basis of independent examiner's report
My examination was carried out in accordance with the General Directions given by the
Charity Commissioners.
An examination includes a review of the accounting records kepi 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 trustces
concerning any such matters.
The procedures undertaken do not provide all the evidence that would be required in an
audit, and so consequently I do not express an audit opinion on the accounts,
Independent examRner'$ statement
In connection with nly examination, no matter has come to my attention:
(i)
which gives me reasonable Cause to believe that in any material respecl, the trustees
hav¢ not met the requirements to ensure that..
proper accounting records are kept (in accordance with section 130 of the Act).
and
accounts are prepared which agree with the accounting records and comply with
the accounting requirements of th¢ Act
(2)
to which, in my opinion, attention should bc drawn in order to enabl¢ a PToper
understanding of the a￿OUnts to be reached.
Signed:
Dat¢.'
16
Mar¢4292rf2025
Name: Anthony Si
Address: l O Riverview Gl'ove, Chiswick,
W4 3QJ

PAROCHIAL CHUIICH COUNCIL OF ST PF.TEI R'S ACTON GREI Ei N
STATfi MENT or FINANCIAL ACTIVITIES
For tlie yeay eEidSng 31 December 2024
2024
2024
Uni'estrieled Re5trieted
2023
2023
Unrestricted Restrlcted
INCOMING RESOURCES
VoluiitaTy in¢oine
Income fi'om snvestments
Churcli activities
Other incoming resources
T(yfAL INCOMING RESOURCES
Note
2a
2b
2¢
2d
49497
39048
1031
26601
8815
75495
78022
127519
RESOURCES EXPII NDEI D
ChurclL activities
TOTAL RESOURCES EXPENDBD
NET tNCOMtNG I OUTGOtNG RBSOURCES BEFORE
OTHER RECOGNISED GAINS AND LOSSES
97131
97131
87609
87609
30388
-12114
Ga5ns oi) iiivestiment assets..
on disposal
on revalijation
3b
NET MOVEMENT Ibl FUNDS
30388
-12114
BAI.ANCES BIFWD I JANUARY
BALANCES CIFWD 31 DECBMBBR
-7044
23344
36511
36511
5070
-7044
36511
36511
10
BALANCE SHEET AT 31 Dll CKMBER
2024
2024
Unresti'iet¢d RestrÉcted
2023
2023
Uiwestt'icted Restricted
FIXED ASSBTS
Tangible fixed assets
CURRENT ASSETS
Debtors
Shoi't tei'm deposits
Cash at bank and hand
3468
8693
7397
Ob
6c
16090
20420
36511
16451
20060
36511
16624
25317
-6038
1359
LIABILITIES.. AMouFrfs FALLtNG DUE WITHfN..
ONE YEAEI
MORE THAN ONE YEAR
5441
8403
NET CURRE.NT ASSErs
19877
36511
-7044
36511
TOTALNBT ASSETS
23344
36511
-7044
365ll
Approved by the Parochial Church Council on
and signed on its behalf by..
Tlie notes on page5 2 to 6 forrn part of these 3CCOlllits.

PAROCHIAL CHURCH COUNCIL OF THf PARISH OF ST PETER'S ACTON GREEN
NOTES TO THE FIT%ANCIAL STATE,MBNTS
Foi. die year ended 31 December 2024
I ACCOUNTtNG POLICIES
The financial stateinents have been prepared on a receipts and payncnts basis, iii accordaiice with tl)e
Church A¢coui)ting Regylatioijs 2006 tOEetl)er witli applicable ac¢ow]ting standai"ds.
The f￿anCial statements have been prepared undei. the historical cost conventEon except foi. tlIE valiiation o
investment assets, which are shown at inarket value. The financial 5t&t¢ments include all transactions, asset,,
and liabilities foi. wl)icli the l)CC is responsible in law. They do not lliclude accounts of cl)ui"ch ￿'0Up5 that
owe their main affiliation to another body. nor those tl)at ate informal gatl)ei'ings of church Ineinbers.
Funds
The PCC has geneTal and resb'icted fvnds, but no endowment ￿nds.
Iiicowiing resources
Planned gÈving, collections (Ind donaiions al'e recognised when received. Tax refunds are recognised when
received. Giants and legacie5 are a¢counted foi. when the PCC is legally entitled to the a￿O￿ntS due.
Dividends are a¢colliited foi. when receivable. Intei'est Is accrued. All otlitr illcoi￿e is recognised
when it is receivable. All incoming iesources are accounted for gross.
R£woiire￿ wÉAiled
Grants attd donations ale accounted foi. whet) paid ova., oi. when awarded, if that award ci'eates a biiidsILg o
Col￿trUCtive obligatioii on the PCC. Tlie diocesan parish sliare, Cottunoii Fui)d. is accoiinted foi. when duc.
All other expenditui'e is genEI"ally i'ecognised wheii it IS iT)CUITed atid is accounted foi. gross.
Fyxed ftssels
Consecrated and beneffced property is not included the &ccounts by s. 96{2) of the Cliai'itie5 Act 1993.
Movable church fui'nisliings held by the Vicai. aiid Churchwardens on special tt'ust for the PCC, and which
requii'e a faculty foi. disposal, al'e inalienable property, listed in the clJui'ch's Inventory whicli can be
inspected (at any rea50n&ble t￿me). For anything acquired prior to 2000 thei'e is insiifficient cost
infomiation available and therefore such assets are not valued in the financiftl sÉ8teTnents. Siibsequently no
iiidividual itein has cost IDore tlian £IOOO so all expenditure has been written off wheii in¢urred.
Equipment used withii) the chuirh pi'emise5 is depi'eciated on a straight line basss over 4 years.
Individual items of equipinent with a purchase price of £IOOO or less are written off when the asset is acqui
IRv¢stm¢nts are valued at Inarket value at 31 Deceinbel".

PAROCHIAL CHURCH COUNCIL OF TFIE PARJSH or ST PBTER'S ACTON GREEN
NOTES'FO THE PITrIANCIAI, STATEMENTS (CONTINUED)
Foi. the year ended 31 DccEinbei' 2024
INCOMING RESOURCES
2024
Unreslricted
2024
Restricted
2023
2023
Unrestt"icted Restricted
Volui)lai'y income
Dtsiiations
Tax recovered
other
17819
2904
28774
49497
29748
2986
6314
39048
2b Income ftom invesknnents
IIEteiest including any reclaiined tax
1031
Incoine fiDin church activities
Use of Chwch
Churcli hall lettings
Events incoine and sponsoi'ship
8245
69777
3229
23372
78022
26601
2d Other ordiiiaiy kntomiiig I'esoui"ces
Suiidry ￿L¢O￿lle
8815
liico]ning I'esources befoie traiisftts
127519
75495
TOTAL INCOMtNG RESOURCES
127519
75495
No conttibution froin SMAA ui 2024

PAROCHIAL CHURCH COUNCIL OF THE PAIUSH OF ST PETER'S ACt"ON GREEN
NOTES TO THE FtNANCIAL s'fA"fEMENTS ICONTtNUED)
For the year ended 31 Deceillber 2024
3 RESOURCES EXPENDED
2024
Uiii'estt'icted
Fui)ds
2024
Re5tt'i¢ted
Funds
2023
2023
Ui)restriCted RestTiCted
3a
Church activities
Administi'ation-general
Clergy txpenses
Office expenses includÉn8 adininistrator wage5
Cost of events
7714
24181
6639
15081
1928
Cl)aritablc donations
Churches
Gas and Electt'i¢ity (sncludes St Peter'y Hall)
Insui'ance (includes St Peter's Hall)
Repairs and renewals.,
Fabric
Organ
5859
7153
166
2344
13426
6337
1200
1533
Garden mainlenance
Cleaning & Caretaker
Watei. & Wdbte
5752
456
5414
531
CoJnnion Fiiiid Shal'e
Worship Expenses
Organist Fees
Othei. worship expenses
24996
24996
6438
937
4717
502
Hall expenses
Cleaning & Caretaker
Repairs & renewals
Other
10739
1422
50
2369
468
1295
Total Chur¢li Activities
97131
87609
Resources 6xpei)ded before transfei's
97131
87609
Transfers to Designated & Restt'i¢ted fijnds
TOTAL RESOURCES EXPENDED
97131
87609
3b Gains on u)vesttnent assets..
oil disposal
on ievaluation
Revaluation losses represent the suin of (i) the net change in creditOTs/deblors over the course
tsf the year 2024.
STAFF COSTS
A part-timt parish adininistratoi. and caretaker were employed.
Fees wer¢ paid to a caretaker and varioiLS self-ejnployed organists
PCC ille1nL￿5 were I'eimbursed expenses respect of services oi. goods purcliased foi. tl)e PCC.
The PCC &cknowledges that ineinbers of tlie PCC and tlic congiYg&tion have not ieclallned all expeiiditure
iiiade on its belialf. It also recognists dunGltioIis in kind towards InRlI)tenancc and admini5tThtion.

PAROCHIAL CHURCH COUNCIL OF THE PAIUSH OF ST PBTER'S AGt'ON GREEN
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
Foi. the yeai. ended 31 Deceinb¢i' 2024
FIXED ASSETS FOR USE BY THE PCC
In tEie end of 2024 a boiler was pui'chase for £3,468.
The boiler will be depieciated from 2025 ovei" l O years.
2024
Unrestricted
2024
Restricted
2023
2023
Unrestricted Re5tr1Cted
Fixed Assets
Debtors
Incoine tax recoveTable
Use of buildings
3468
6196
2497
6a
4897
2500
12161
7397
6b Shoit teilli deposits
CAF deposit fiEnd
16090
16451
Cash at baiik aiid in hand
CAF Bank Ltd
Petty floats
16619
20420
-6043
20060
Total Cui'i-eiit Assets
28785
36511
1359
36511
Liabilities.. Amounts falling due within one yeay
Other creditors
5441
8403
Fund Details
The above funds are held in the CBF Deposit Fund or CAF cul.￿￿t Account and ale available at call.
Apportioninent of re5tt'1Cted and unresti'icted ￿ndS is notion&1 as Illon￿eS are pooled in the current
and deposit accounts
RestTiCted Fuiids
Balance at stalt of year
Income dui'ing year
Expenditure during year
Balance at et)d of year
36511
36511
36511
36511