OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2020-12-31-accounts

Parish Church of St Christopher, Allesley Park and Whoberley PCC report for the APCM - Monday 24[th] May 2021

There were five meetings of the Parochial Church Council in 2020. These meetings took place in person and through Zoom due to the COVID-19 pandemic. All meetings started at 7:45pm with a Bible reading and prayers. The minutes from the previous meeting were agreed by Andy.

21[st] January 2020

17[th] March 2020

18[th] May 2020

22[nd] September 2020

16[th] November 2020

The original PCC minutes are available from Lucy if required.

Lucy Lambert – PCC Secretary

Parochial Church Council of St Christo Allesle Park and Who Balance Sheet at 31 December 2020 UthretstrKt•d R•Gtiicted Funds Fund$ Tot 2020 Total 2018 FIXED A8SET5 TangiNe InvtstmeTht ¢URftEN7 ￿SETS Stock Short4trrm dopDSit8 ISkn"krtofil Cash at bank and in hand 7,286 10.903 12.S65 7.497 16.802 12.565 ¢uryeDt4wts 76.265 7.284 24.3LK) DEBTORS Due *ithih one year Due within one yeor 2020 Parish Share Shurtfal Buming Projoct IAr¢hrtxts FMI TOT￿ NET ASSErs 14 &rf5 7284 243 ¢HURCH FUPXIS Reserves IGenernl Fund) De5vJnatod Funds - M￿8￿￿ & Mintstry Fund - M&intqnance Fund - Bulding Devek)prnent Fuhd - C & F Worker Fund Re51rpcted Funds - Education Fund B￿lding Fund - C & F Worker Fynd -W?Itare Fun - Churth W•akend Fw - Sp8tyal Prois¢ts Fvnd 11,417 11.417 9,652 673 673 1.060 1.ODO 2.000 281 2.9B7 261 IOS4 2,783 1.887 2.514 183 1 1.>20 2,874 361 714 B74 361 714 16.26S Two pag95 of Notes foTh part oflhese acrnunis. Approved by the PCC and signed on 115 behalf by Re¢d A Mwch IPCC eh•ir 23 March 2021 Slgned.. Pagelof4

Parochial Church Council of St Christo Allesle Park and Whoberle Statement Of Financial Activities for the ear endin 31 December 2020 Unrestrided Restricted Funds Funds Total 2020 Totsl 2019 INCOMING RESOURCES Voluntary income Activities for generating fvrmts Income from invgstrnents Income from church aclivilies 48,648 8.532 497 57.180 497 111.139 5,024 258 21,925 138,347 7,670 1,110 9,642 8.780 66.525 RESOURCES EXPENDED Cost of generating voluntary irK(￿e Fund-raising costs Church activities Governance costs 100 11,709 66,975 200 154,653 2C() 11.709 Transferred frc4n C & F Wcrfkor Fund {designated) (952) 952 NET MOVEMENT OF FUNDS 751 BALANCES BIFWD 1 th4NUARY 2020 15.9)0 8.4Q) 24,300 41,787 BALANCES CIFWD 31 DECEMBER 2020 16.265 7.284 23.549 24,300 Two pages of Notes fo￿ part of thgS9 a¢¢ounts. Fmanci81 AclNibe8 Pgge2of4

Parochial Church Council of St Christo Allesle Park and Whoberle Notes to the Financial Statements for the ear endin 31 December 2020 her INCOMING RESOURCES Fund Lknrestricted Restricted FuTrJs Total 102 Total 2,019 Voluntary Income Planned giving.. Gift Aided other donatlons Church collections (open plate) Donations for general us•'. One-off donations Tax recoverable from previous years Donations and appeals for specrfic purposes.. Educab"on Fund Building Development FuThJ Church Weekend Fund Welfare Fuftds Special Proects. ￿nd Sysiem Spo¢ial Prqods- Diamnd 810ssiNJ GTaths'. Educalion Fund Builijbng Funds C & F Worker Welfare Funds Genef Genw Genortl 33,417 1,317 2.087 33.417 1.317 35.533 2.947 5.498 9,747 10,192 10.192 Restsicted 45 4,110 Resiricted Resln'cted Restsicted R¢stsicted Restsicled 1.650 39.750 5,250 750 425 425 57.180 111,139 Aetlvllbos for yn•rntlng funds Fundraising for genèral usé 497 497 5,024 497 Income fTgm inve5trr Intsre81 from Savings Account (Sknptryi) Gert￿1 258 Income from church •ctlvltlès H811 rènts F•8s from %•*ddiNJs and fun•rnls Mi$$ion Fund Building Fund C & F Worker Fund Cgllectioos for good ¢au$¢s On and ¢Jrt) Fees Iln and 0￿} 6,193 6.193 284 1.174 18,381 945 General Designated Designaled Designated Rastri¢Aod R85tricied 1,174 19 19 1,521 197 240 870 870 7.670 21,925 Total lThcomlng r•Murc 9642 138347 Pqp3af4

Parochial Church Council of St Christo Allesle Park and Whoberle Notes to the Financial Statements for the ear endin 31 December 2020 her RESOURCES EXPENDED F￿d Total 1020 TrAal 2,019 Funds Funds Cost of g•n•ratlng voluntary Incom• Administration ILV annual Gift Day Wages of adminlstrator Genw¥l General 50 50 1C 1￿) 100 Fwd4ahlnq co•1• Fundraising for 99n?￿l usg Genwal Chwch acllvltl•s Parish Share.. C08t of our vi¢r Training lutur& minist Supporting poor61 church•s Covid19 Reliel Shortfall Running costs lutilty bi118, r¥nt ot¢.) w￿85 ladministrator. cl•anèr and ￿an1st) Cle￿Y expenses (vicar, curate and OLM) ems used in church services Hous•K8éptng (church, hall and g(rwJn¢tsl= F•85 (Electronic Donations) AdrniniStrat￿n Donalions to gorA caus•s Exgenditure from de¥ignated I￿￿$.. Mission Fund Building Developmenl Fund C & F Worker Fund Maintenance Fund Exponditure from restricted funds: Educaiion Fund Building Fund C & F Worker Fund Church Weekend FuTrJ Welfare Fund Special Projects. Sound System Collectlons lor good causes (ln aThJ OpA) Fees Iln and Outi General General General General Genwal G￿￿81 General GeneTrl General General General 40,166 14,￿7 5,827 { 20.CW I 11.COJ I 5,047 40,168 14,007 5,827 120.ty)o I 41.512 13.889 5,187 5.047 S.348 9.693 707 924 707 924 1,031 603 625 110 625 110 1.848 t.￿3 D•sign*d 0È51gnatèd 0#5wnat¢d D¢st9natgd 1,287 2,371 1,783 140 140 Restli￿ed Restricted Restricted R•sbTrct•d R•sbid•d ResiTittsd R¢stiid¢d R¢slricled 1.141 1.141 1.524 7.469 555 2.834 240 870 240 870 197 881 11.709 154.653 GoveTMnctt costs Adrninistraiion forAnrM￿I Ma•tiNJ and PCC Wages of admini$tralor General General 1(Kl 1(Kl 100 1CQ 1C 2C Tot41 resourc￿ expend8d 155.834 p￿4014

Inde endent Examlnees Re to the rnembersltrustees of St Chrlsto her's Church Allesle Park and Whoberle Coven Parochial Church Councll. Ex#mln•ts Stat¢m•nt: My ex8min8b¢n ¢arried in accfjrdan¢ vfith the General DIr￿ts.￿S gwen by the Charty C¢ffjmission. An examinat￿ wKludes a revivw ol the recNd5 keFrt by the tharity and a ccrfnpari50n of the accwnts wesentad Ihose iecorts. li ago indLvJes consKlèrab"on of ary tsms or dK%dosur•$ in the ￿cOUnts, and seeking explanatMs Irorn the TnJstee5 cor￿emIrvj any such matters. The Pro￿dureS underten do not provK1è an the evidencé thatMvJhJ te r•quir8d in 8 fiAI a￿1( atvj l (*) express an audit opIn￿n C￿ Ihe Ind• ndent Examlrnts Statemert In conneclKJn wlh my exarninatic￿, rKJ matter3 lo my attention %thich give me reasOna￿e tsuse to tdieve 1h8t ￿ 8ry rna￿￿1 resPert￿ req￿Ternerts to keep accounts'ng recc¥ds in XC0rda￿ accountNvJ staThJards'. have not toen met or to whKh, in my opinicffl, attenlKffi 5hrJJd be dr￿ in order to enable a Fwcper understWKling of the ccounts to te re&hed. Stwed. . s/-/a ej z/ Li)ma RLKssell 24 Standard Av￿ue East¢￿¢$ Coventy V4 98W 024 7646 7265