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2021-12-31-accounts

Annual finance report 2021- All Saints Findon Valley

Commentary and Notes to the Annual Financial report 2021

  1. The Financial statement of the PCC have been prepared in accordance with the Charities Act 2011and the Church Accounting Regulations 2006, using the Receipts and Payments process/basis.

  2. The following assets are recognised but are not valued in the Balance Sheet

  3. Movable Church furnishings held by the Churchwardens on special trust for the PCC which require a faculty for disposal

  4. Movable furnishings and equipment which are written off as acquired which are of small individual value and are retained indefinitely

  5. Land and Buildings which are in use indefinitely, the market values of which are immaterial

  6. As the accounts are prepared on a receipts and payments basis, no accrued assets or liabilities are shown. We have assessed the total estimated amount of liabilities at year end, and these are less than £5000, and are considered not material to the overall accounts. These include minor items such as issued cheques not cashed and electricity used since the last payment and are similar in value from year to year and therefore not material to the accounts. These liabilities are in any case counterbalanced by accrued assets e.g. tax recoverable from GIFT AID, not received.

  7. No payment was made to any PCC member – other than 1] reimbursement of expenses incurred supporting and on behalf of the PCC, and 2] the salary paid to Mrs H. Symonds in her capacity as Treasurer and Hall Booking Secretary for All Saints Church, Findon Valley.

  8. In 2021 the operations within the church and its finances were still being affected by Covid 19, but the latter part of the year saw restrictions ease, Trading income increased due to more hall lettings which at the end of year was £17,516.23. Overheads remain in a similar position being our Parish Share to the Diocese, salaries, general running and upkeep of the church and hall, and there will be increases for the gas and electricity.

  9. ARK remains in place, Caroline Kosa resigned in the early part of this year due to family commitments, and Lorraine Taylor has been standing in on a voluntary basis, and we have been very grateful to her for all her hard work.

  10. The analysis and commentary of the Receipts and Payments is shown below. The summary and details are included elsewhere in this Annual Financial Report.

  11. The parish received four legacies, the estate of Avril Povey £5775.68, the estate of Mrs Priest £2000, estate of Ruth Light £79,697.44, and the estate of Audrey Gibson Poole £200 a total amount of £87,673.12. These funds will assist in the general running of the Parish and future projects.

  12. The Parish set an overspend budget in 2021 for £85,850 but with the [unbudgeted legacies] the overall end 2021 was an underspend of £55,641 against the budget.

  13. The year ended with a balance/total asset value of £176,973 [£113,164 as at end of December 2020] so with the expenditure £88,669 and the income of £56,637 the PCC have had to use £32,032 from the reserves/legacies.

  14. The total Receipts from Donors were down in 2021 at £24,523 compared 2020 [£26,630]. Other voluntary receipts [including legacies] were up in 2021 £93,111, as compared to 2020 [£32,517]. Income from activities for generating funds increased for 2021 [£20,586] compared to [£18,256] in 2020. The total Receipts for 2021 were £144,311, compared to [£87,555] in 2020.

  15. The income from investments/interest from bank & investment accounts in 2021 was

£2,571 compared to £2,896 [2020]

  1. The total payments [expenditure] for 2021 was [£88,670] compared to [£107,704] the lower amount for this year was partly due to not spending any finances on Major repairs or New building work, compared to 2020 when work was completed at St Peter's church for windows, doors and lighting, surveyors fees for the memorial garden, plus salaries for ARK, Parsonage house expenses, parish training.

  2. The budget for 2022 shows a planned overspend of £50,150, the reserves will be used to help fund this. These reserves will also be used for contingency backup, the day to day running costs of the church, plus mission, and for the public benefit.

Projects identified for 2022

  1. Before our new Vicar Andrew Cunnington arrives, the PCC have agreed that the Vicarage will be redecorated, as it is some years since this has been done.

  2. The possibility of having a defibrillator at the church is under review by the PCC.

  3. Any other large expenditure, or projects, would probably have to be put on hold until our new incumbent arrives.

  4. The parish operates a main Current account, and a Trading account for hall lettings etc with HSBC and deposit accounts with CBF Church of England Investment Fund.

  5. Surplus funds are invested via the diocese in income share accounts with CCLA which is the fund management service party owned by the Church of England.

  6. Restricted funds [which must be spent on the defined purposes] are held for Choir, £399 at year end, Flowers £137 at year end, and the Goddard fund [£6,374 at year end] which is for children and families.

  7. The Parish has one endowment fund [from which the interest earned may be spent] which is the Garden Fund at £1,560.

The report from the independent examiner, Mr Ken Elliott of Findon Accountancy is attached at the end of the report.

Heather Symonds Treasurer 02 February 2022

All Saints Church, Findon Valley [with St Peters, High Salvington]

All Saints Church Cost centre throughput against budget For the period: 01 Jan 2021 - 31 Dec 2021

Year to date: 01 Jan 2021 - 31 Dec 2021
Budget
Actual
Variance
Budget for year
ending 31/12/2021
Total Receipts And Payments
Receipts
01 Tax Efficient Planned Giving
0101: Gift Aid - Bank
Income
0102: Gift Aid Envelopes
Income
0103: One-off Gift Aid Gifts
Income
02 Other Planned Giving
0201: Weekly And Monthly Envelopes
Income
0202: Non-Gift Aid - Bank
Income
03 Cash Collections At Services
0301: Loose Plate Collections
Income
0302: Jump Collection
Income
04 All Other Recurring Giving
0401: Christening, Wedding, Donation
Income
0402: Flower Fund Donations
Income
0403: Mission Support / Giving
Income
0404: Regular Gift Days
Income
0405: Sunday Morning Coffee
Income
0406: Annual Gift Day
Income
05 All Non-Recurring Giving
0501: Donations Appeals Etc.
Income
0502: Gifts Of Quoted Securities
Income
06 Tax Recovered
0601: Tax Recoverable On Gift Aid
Income
07 Legacies Received
0503: Legacies
Income
08 Grants Received
0801: Recurring Grants
Income
08A2: One Off Grants
Income
17,000
15,063
(1,937)
2,000
1,112
(888)
-
159
159
-
4,712
4,712
500
2,482
1,982
300
888
588
-
-
-
-
-
-
-
-
-
250
259
9
-
-
-
-
-
-
-
-
-
2,000
566
(1,434)
-
-
-
8,000
4,716
(3,284)
-
87,673
87,673
-
-
-
-
-
-
17,000
2,000
-
-
500
300
-
-
-
250
-
-
-
2,000
-
8,000
-
-
-

(2 February 2022 1:12 am) Page 1 of 4

09 Fund Raising
0901: Fetes And Fayres Etc. Income 750 589 (161) 750
0902: Jumble Sales Etc. Income 750 - (750) 750
0903: Social Events Income - 30 30 -
0904: GuildCare Project Income Income - - - -
10 Investment Income
1001: Bank Interest - General Income 2,000 2,571 571 2,000
1002: Bank Interest - Hall Income - - - -
1003: Dividends Income - - - -
11 Fees
1101: Fees For Weddings & Funerals Income 6,500 3,449 (3,051) 6,500
12 Trading Income
1201: Ch Hall Lettings-Fund Raising Income 12,500 16,676 4,176 12,500
1202: Ch Hall Lettings PCC Objects Income - - - -
1203: Magazine Income - Advertising Income - - - -
1204: Magazine Income - Sales Income - 69 69 -
1205: St Peter's Hire Income - - - -
1206: Sales-candles,mugs,shirts Etc Income 600 770 170 600
1207: Surplus-sale Of Fixed Assets Income - - - -
13 Other Income
1301: Insurance Claims Income - - - -
1302: Miscellaneous Other Income Income 1,000 2,519 1,519 1,000
1303: Vicarage Share Of Phone Bill Income - - - -
Payments
17 Costs Of Generating Funds
1701: Costs Of Applying For Grants Expenditure - - - -
1702: Cost Of Fetes & Other Events Expenditure 350 73 276 350
1703: Costs Of Stewardship Campaign Expenditure 150 - 150 150
1704: Fees Paid To Fund Raisers Expenditure - - - -
1705: Investment Management Costs Expenditure - - - -
18 Mission And Charitable Giving
1801: Giving-relief & Dev Agencies Expenditure - - - -
1802: Giving To Missionary Societies Expenditure 450 - 450 450
1803: Home Mission Expenditure 750 505 244 750

(2 February 2022 1:12 am) Page 2 of 4

1804: Secular Charities Expenditure 300 48 252 300
19 Parish Share To Diocese
1901: Diocesan Fees Expenditure 3,000 973 2,026 3,000
1902: St Andrew's School - Parish Share Expenditure 550 - 550 550
1903: Stipends Quota Expenditure 46,800 46,807 (7) 46,800
20 Salaries And Honoraria
2001: Assistant Staff Costs Expenditure 6,000 2,168 3,831 6,000
2002: Hall Administration Expenditure - 2,936 (2,936) -
2003: Organist Expenditure 500 50 450 500
2004: Salary Of Parish Administrator Expenditure 8,000 8,571 (572) 8,000
2005: Verger Fees Expenditure 200 90 110 200
2006: Vicar's Funeral Fees Expenditure 250 405 (155) 250
2007: Visiting Speakers Expenditure 1,000 226 773 1,000
21 Expenses Of Clergy Etc.
2101: Parsonage House Expenses Expenditure - 1,001 (1,002) -
2102: Working Expenses Of Incumbent Expenditure 1,000 - 1,000 1,000
22 Mission And Evangelism
2201: Communications Expenditure 250 356 (107) 250
2202: Parish Training And Mission Expenditure 1,500 55 1,445 1,500
2203: Sunday Sch. & Youth Activities Expenditure 1,000 924 75 1,000
2204: GuildCare Project Expense Expenditure - - - -
23 Regular Running Expenses
2301: Administration Expenditure 2,000 166 1,834 2,000
2302: Bank Charges Expenditure - 10 (10) -
2303: Church Maintenance Expenditure 2,000 1,882 117 2,000
2304: Cleaning Expenditure 200 35 165 200
2305: Flowers Expenditure 100 88 12 100
2306: Insurance Expenditure 3,000 492 2,507 3,000
2307: License Fees, Royalties Expenditure 500 1,217 (718) 500
2308: Materials For Services Expenditure 750 767 (18) 750
2309: Miscellaneous Running Costs Expenditure 1,000 927 72 1,000
2310: Movable Furnishings-Equipment Expenditure 250 294 (45) 250
2311: Organ/piano Tuning Expenditure 300 411 (111) 300
2312: Other PCC Property Upkeep Expenditure 250 - 250 250

(2 February 2022 1:12 am) Page 3 of 4

2313: Printing & Photocopying Expenditure 1,500 1,534 (35) 1,500
2314: Stationery Expenditure 1,100 849 250 1,100
2315: Subscriptions Expenditure 250 1,356 (1,107) 250
2316: Telephone-office Expenditure - 118 (119) -
2317: Upkeep Of Churchyard Expenditure 1,000 85 915 1,000
24 Utilities
2401: Church Utilities - Elec Expenditure 4,500 4,006 493 4,500
2402: Church Utilities - Gas Expenditure 1,500 2,735 (1,236) 1,500
2403: Church Utilities - Wate Expenditure 400 178 221 400
25 Trading Costs
2502: Hall Costs - Cleaning Expenditure 4,500 2,276 2,223 4,500
2503: Hall Costs - Grounds Upkeep Expenditure - 85 (85) -
2504: Hall Costs - Insurance Expenditure - 2,683 (2,684) -
2505: Hall Costs - PRS Expenditure - - - -
2506: Hall Costs - Repairs Expenditure 1,500 75 1,425 1,500
2507: Magazine And Bookstall Expense Expenditure - - - -
2508: Hall Costs - Services Expenditure 2,500 692 1,807 2,500
2509: Hall Costs - Sundry Expenditure 300 101 198 300
26 Governance /Audit Costs
2601: Audit & Accountancy Expenditure - 100 (100) -
27 Major Repairs & Redecoration - Church
2701: Interior & Exterior Decoration Expenditure 1,000 - 1,000 1,000
2702: Major Repairs Structure Expenditure 6,000 - 6,000 6,000
28 Major Repairs & Redecoration - Hall And Other Property
2801: Major Repairs Installations Expenditure 1,000 - 1,000 1,000
29 New Building Works
2901: New Building Church Expenditure 30,000 306 29,694 30,000
Total for Total Receipts And Payments - Income minus expenditure (85,300) 55,640 140,940 (85,300)

(2 February 2022 1:12 am) Page 4 of 4

Ind endent E miner's Re to the PCC of All Saints Church, Fin Salvingt n). acEn on Vall y (with St Peter's Hi ecem Section A This is my report to the Parochial Church Council of the Ecclesiastical Parish (PCC) of All Saints, Findon Valley, on the annual report for the year ended 31" December 2021 Respective sibilities of examiner The PCC memoers are responsible for the preparation of the annual reports. The PCC members considar that an audit is not required for this year under section 144 of the Charities Act 2011 ( 'the Charities ACL,) and that an independent examination is needed. trustees an It is my responsibility to: examine the accounts under section 145 of the Charities Act, to follow the procedures laid down in the general Directions given by Lhe Charity Commission (under section 145(5)(b) of the Charities Act, and to state whether particular matters haije come to my attention. Basis of In ependent exami er's statement My examination was carried out in accordance viith ganeral Directions given by the Charity Commission. An examination iiicludes a review of the accounting records kept by the charity and a compai ison of the accounts presented with those records. It also includes considaration of any unusual items or d"'sclosures in the accountb, and seaking explanations from the trustees concerr),ing any such matters. The proLeduras undertaThen do noi proii',de all tne evidence tnat woiJld be required in ai aLidii, and consaoiJently no ooinion is giyan as to ljvhetner the accounLS present a 'truo and fair, view an.d the reDOCL li limiied to those matters set OLIt in Ihe staternent beloiN. Independent examiner's state ent In conneition Mjith rny exarr,ination, no rriateria, matter) nave come to rny aLLention which gives me cause to believe that in, any matersal respect: accounting records were not kept in accordance with section 130 of the Charities Act or 2 the accounts do not accord with the accounting records I have come across no other matters in connection with the examination to which attention should be drawn in order to enable a proper understanding of the accounts to be reached. * Please delete the words in the (brackets) if tneji do not apply Examin.erfs signatur Examynerfs r.am.e r￿1p11A1 ate Relevant pro!es>ional u?lification(s) or o dy ij an/1 EAaminerf> addre>> rcis