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2023-12-31-accounts

Parish of Hythe St John’s and St Anne’s

Annual Report And Financial Statements Of the Parochial Church Council

For the year ending 31[st] December 2023

Parish Office

St John’s Hall New Road Hythe Southampton SO45 6BP

Banks

National Westminster Bank PLC 43 Commercial Road Totton Southampton SO40 3TU HSBC PLC 55 Above Bar Street Southampton SO14 7DS

CCLA Investment Management Ltd 80 Cheapside London EC2V 6DZ

Independent Examiner

Magenta Accounts 2a Poles Copse Poles Lane Otterbourne Winchester SO21 2DZ

Page 1

Page

Contents

3 Annual Report of the Parochial Church Council 8 Independent Examiner’s Report 9 Receipts and Payments Account 10 Balance Sheet 11 Notes to the Accounts 12 Statement of Assets and Liabilities Statement of Fund Movements 13 Analysis of Receipts and Payments

Page 2

St John the Baptist Church, Hythe, and St Anne`s Netley View. Annual Report of the Parochial Church Council for the year ended 31st December 2023

St Johns church is situated in the centre of Hythe, and St Annes in Warrys Close, Netley View, Hythe. Both churches are part of the Diocese of Winchester within the Church of England. The correspondence address is: The Vicarage, 14 Atheling Road, Hythe, Southampton, SO45 6BR.

The Parochial Church Council (PCC) is a charity registered with the Charity Commission (Reg No. 1168768).

PCC members who have served from 1st January 2023 until the date this report was approved are:

Name Title Elected
Rev Lee Davies Vicar
Susan Blomley LLM/DS 22-25
David Blomley 22-25
Carol Moody Pro Warden 23-26
Elizabeth Deadman 22-25
Martin Deadman Warden/DS 22-25
Craig Fowkes Secretary/Warden 23-26
Sue Harvey Treasurer 21-24
Peter Lawson Co-op 21-24
Patricia Pearce 21-24
Catherine Preston 23-26
Philip Preston 22-25
Chris McMahon Children and Families Pastor 23-24
Nicola Higgins 22-25 Tim
Rowlandson
22-25
Olivia Pearce 22-25
Rosie Guidery 23-26
Don Naylor DS 23-26

Page 3

Structure, governance and management

The method of appointment of PCC members is set out in the Church Representation Rules. All church attendees are encouraged to register on the Electoral Roll and stand for election to the PCC.

.

Objectives and Activities

The primary object of the PCC is the promotion of the Gospel of our Lord Jesus Christ according to the doctrines and practices of the Church of England. The PCC also has the responsibility of cooperating with the incumbent in promoting, in the ecclesiastical parish, the whole mission of the Church – pastoral, evangelistic, social and ecumenical.

The ecclesiastical parish includes the churches of St Anne and St John the Baptist. The PCC has maintenance responsibilities for St Anne’s, St John’s Church, Hythe and its Hall.

Achievements and Performance

Church Attendance

There are 144 names on the new Church Electoral Roll. 61 are resident within the parish and 83 nonresident. The average attendance at Communion Services, counted during 2023 was 34 for St John’s and 19 for St Anne’s. 27 for St John’s and 19 for St Anne’s for other services (Contemporary, Messy Church, All age Worship and Jubilatte). There is a regular congregation for the major Feast days and Festivals. The congregation averaged 102. There are also worship opportunities at 6.30pm for Evensong, in addition to Café Church (Jubilatte) once a month at 5.30pm. There are further opportunities at St Anne`s with Open House on the second Sunday. These figures do not include those attending Baptisms, Weddings or Funerals. The parish also provides Home Communion services every month to housebound and sick parishioners.

Structure

The parish is administered by the PCC - Chaired by the Incumbent. This year they met 5 times with an attendance level of 80%. The Standing Committee – comprises of the Incumbent, Churchwardens and two elected PCC members. It meets regularly to review all parish activities, policies and deals with any matters requiring urgent attention. This group also sets the agenda for the PCC meetings.

To support our regular income there were additional events held by the parish. The three main occasions during 2023 were the Spring Fair, Summer Fete and Christmas Fayre. In addition we host the Christmas Tree Festival in conjunction with our local charity Hythe 2000. To coordinate these events, designated volunteers take responsibility, seeking assistance when required. This year these events raised £3,378 for the parish and a donation from Hythe 2000 of £1,066. Grateful thanks to all who organised and contributed to these successful outreach events, more of which are planned for 2024.

The parish administration is the responsibility of the Incumbent who is supported by a part time a personal assistant and the parish office team located in the Hall. The Hall office is now the main contact point for all church administration and activities.

The office is open between10.00am and 1.00pm Monday to Friday. It is responsible for keeping parish records (funerals, marriages etc.), maintaining the parish diary, liaising with local authorities, hirers and aspects of outreach. It hosts the photocopying, printing and collation facilities of the

Page 4

monthly parish magazine (Contact) and other outreach materials. The staff and volunteers deal with telephone enquiries and personal callers. Any matters arising from the office are referred directly to the person responsible. The church office is also the main focal point for all Youth and Family outreach activities, which are overseen by Chris McMahon – our Children and Families Pastor.

In addition to the above, the PCC operates under a full Health & Safety policy , has an appointed Safeguarding Officer , and works to the latest GDPR procedures (General Data Protection Regulations).

Mission Giving

As the parish has still not fully recovered from the financial effects of covid and its reduced opportunities to raise funds for good causes, the PCC found it difficult to restart many of its previously scheduled giving opportunities.

Review of the Year

Following our Christmastide service pattern, we welcomed in the New Year with an Epiphany carol service on Sunday the 8th January in St John’s also via zoom. We began the year with an Alpha course run by Rev Lee Davies and Tim Rowlandson. We opened to create warm spaces where people could come and warm themselves and have refreshments. These were on Tuesdays 9.00am2.00pm and Wednesday 11.30am-1.00pm. The wellbeing cafe in conjunction with Oakhaven Hospice a charity who held pop up sessions at St John’s hall and other venues also commenced in January.

On the 10th February we held our first family movie night at St Anne’s with refreshments and a tuck shop which was a great evening for all. As we moved on through February we held a celebration of love Service on the 19th February where couples could come and renew their vows. A service full of love and joy for everyone. On the 21st of February we held our Pancake Day Party with pancakes for everyone to come and enjoy. On Wednesday 22nd we had our Ash Wednesday Communion Service. As we moved into Lent we began our Lent Prayer course for anyone interested in joining. We held a donations day on the 25th February which was a great success and brought in donations for the Women’s refuge, Southampton General Hospital clothes bank, Southampton Street Angels and Waterside Foodbank. We would like to thank everyone for their donations.

As we moved forward into March we held the New Forest Makers’ market in the Hall. We held a wonderful Mothering Sunday service celebrating all of our mothers. On the 31st March we started our Messy Easter services, full of fun and joy.

At the beginning of April we had our Easter Praise service where the congregation was asked to nominate their favourite hymns to be used during the service. On the 4th April we held Hop in Easter crafts which was fun and a great way for people to show off their artistic talent. On Maundy Thursday we held another Messy Easter service. As we moved into Passiontide on Palm Sunday we were joined by the wonderfully talented Donkeyoaty who behaved admirably as he paraded through St John’s and Hythe. At the end of April we held our Spring Fayre which was a great success.

As we moved into May everyone was excited for the Coronation of King Charles III. St John’s hosted a community celebration with a BBQ and entertainment including TCV virtuoso, The Jingle Ladies, New Forest Meddlars, Liberty Pride Cheerleaders and the Salty Sea Dogs. On the 8th May Lymington Town Band held a Coronation concert in St John’s. We had a wonderful giant poster put up in St

Page 5

John’s for the Coronation which was coloured in by many of the congregation in separate segments and it turned out amazing. At the end of May we celebrated Pentecost with a guest speaker, Archdeacon Richard Brand. At the end of May slight changes in our Service pattern were introduced.

On the 7th June Minstead Trust held a Friendship group for adults with learning difficulties in the hall. As we progressed through June we held another movie night which was a great success. On the 25th June we held our Patronal Festival with Praizin Hands Puppet group who are absolutely brilliant. This was followed by a bring and share lunch in the churchyard.

On the 1st July we held a community support day in the hall with local projects and services coming to offer free help, advice, support and even assistance where needed. As we moved further into July everyone was excited to hear that Bishop Philip Mounstephen was named as the new Bishop of Winchester. Our prayers and support go to Bishop Philip Mounstephen as he takes on this new role. At the end of July (31st July - 4th August) the Holiday Club was hosted at St Anne’s which is always a great time filled with love, laughter, joking with lots of singing and dancing.

On the 4th August we were all sad to see the end of holiday club but very happy about having shared this time together and looking forward to the Holiday club service which was held at the end of the summer holidays.

At the beginning of September we held our Autumn Fate which is always lots of fun. On the 10th September we conducted a Baptism service where several adults were baptised, which was wonderful. As we moved forward through September on the 16th in the hall was the What’s On in Waterside where people could come and meet those running groups in the area so people could possibly learn new skills, meet friends or begin a new hobby.

Moving into October we held a Craft Destash fair in the hall. On the 8th October we had our Harvest Festival with lots of donations to be distributed, Thank you everyone for all your donations throughout the year. The 14th October was filled with music from Bournemouth Concert Brass holding a Last Night of the Proms concert in St John’s. The Children’s Society held a coffee morning in the hall on the 28th October. The final service in October was a Bible Sunday special service followed by a shared lunch in the hall.

We began November with a charity Christmas Card sale being held in the hall. On the 5th November we held our All Souls service. On the 12th November we held our Remembrance service which filled St John’s and the hall. Also many people listened to the service through loud speakers outside of St John’s. We would like to thank all involved in the service and a special thank you to those who organised the service which seems to get bigger each year. On the 25th November the church joined with Hythe 2000, as the Christmas Tree Festival began with wonderfully decorated trees.

On the 7th December the Christmas tree festival came to an end and all the trees were taken to their new homes, “Thank you” to Hythe 2000 for organising the tree festival they all looked amazing. This year’s Advent service was one of Joy and sadness as Bishop Debbie held her final service with us before moving onto her new Diocese. We wish Bishop Debbie all the best for her new Diocese and send our prayers and support for the future. We held several Christingle Services this year with everyone enjoying Rev Lee Davies dressed as a Christingle. The 16th December was the launch party for “Who Let The Dad’s Out” which will begin formally in January 2024, “Thank you” to the Fire Service truck for helping with the Launch. We continued December with our seasonal services.

Page 6

Financial Review Total receipts on ordinary unrestricted funds were £133,596 and are detailed in the Financial statements. £138,484 was spent on providlng the Christian ministry from Sl John the Baptist 8nd St Anne s churches, including their contribution to the Common Mission Fund ICMF) of £37,665. This mainly provides stipends, housing, training and pensions for the clergy, The total amount that supports the CMF by chu￿heS wilhin the Deanery is divided between the parishes according to a formula that is based mainly on average head count of the congregation and local socio economic data. The nel result forlhè yearwas an excess ofpayments over receipts of£2,570 which reduced the parish reserves gcGordingly. Reserves pollcy It is PCC policy to maintain a balance on unreslricted funds lif possible) which equates to a minimum of 3 months up to a rnaxi¥num of6 months normal expenditure. The in-year deficit, on unrestricted funds above means ongoing target is met, but supported by the £100k legacy received in 2022. Investment policy statement.. It is our current poli¢y to invest our funds wilh the CBF Church of England Deposit Fund. Approved by the PCC on the 21st Aprll 2024. and signed by Rev Lee Davies .Chair of the PCC

CHARITY COMMISSION FOR ENGLAND AND WAIES Independent examinerfs report on the accounts Section A Independent Examiner's Report Report to the tru$tees The Parochial Church Council Of The Ecdesiastical Parish Of St. John And st. Anne, Hythe On accounts for the year ended 31° December 2023 Charity no (if any) 1168768 Set out on pages 10-15 l ￿pOrt to the trustees on my examination of the accounts of the above (1he Trusf) for the year ended 3111212023. Responslbllltles and basis of report As the charitys trustees, you are responsible for the preparation of the accounts in accordan¢e with the requirements of the Charities Act 2011 (Ihe Acr). I report in r8speLX of my examination of the Trust's accounts carried out under section 145 of the 2011 Act and in carying out my examination, I have followed all the applicable Directions given by th6 Charity Commission under section 145(5}{b) of the Act. Independent I have completed my examination. I confinn that no material matters hav8 examinerfs statsment come to my attention in connection with the examination which gives me cause to believe that in, any material respeGt: the accounting records were not kept in accordan￿ with section 130 ofthe Charrties Act., or the accounts did not accord with the accounting ￿e0rd9', or the accourts did not comply with the applicable requirements conceming the fi)m and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a true and fair view which is not a matter considered as part of an independent examination. I have no concems and have come across no other matters in Connection th the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached. . Please delete the words in the brackets rf they do not apply. Slgned: Dats: Name: Keeley Cousens Relevant professlonal qualification(s) or body (If any): FCCA DipPFS Address: 2a Poles Copse. Poles Lane Otterboume IER Oct 2018

Receipts and Payments Account

Unrestricted Designated
Restricted Endowment
Total
Prior year
funds
funds
funds
funds
funds
total funds
Receipts
Donations and legacies
Income from charitable activities
Investments
Other income
Total receipts
Payments
Raising funds
Expenditure on charitable activities
Total payments
Excess of receipts over payments before
transfer
Transfers
Gross transfers between funds - in
Gross transfers between funds - out
Excess of receipts over payments before
other gains / losses
Net movement in funds
All assets at 01 January 2023
All assets at 31 December 2023
Represented by
Unrestricted
General fund
Petty Cash
Designated
Mission Fund
Restoration Fund
St. Anne's Hall
Restricted
Fabric and Service Improvement Fund
Organ Fund
79,831.83
8,892.47
2,318.80

91,043.10
183,293.44
7,981.93
30,890.11


38,872.04
41,469.32
5,051.41



5,051.41
342.00
948.33



948.33
93,813.50
39,782.58
2,318.80

135,914.88
225,104.76
116.57



116.57
2,288.82
71,765.93
66,601.94


138,367.87
126,757.37
71,882.50
66,601.94


138,484.44
129,046.19
21,931.00
(26,819.36)
2,318.80

(2,569.56)
96,058.57

29,004.75


29,004.75
27,013.60
(29,004.75)



(29,004.75)
(27,013.60)
(7,073.75)
2,185.39
2,318.80

(2,569.56)
96,058.57
(7,073.75)
2,185.39
2,318.80

(2,569.56)
96,058.57
125,990.88
19,654.66
10,113.45

155,758.99
59,700.42
118,917.13
21,840.05
12,432.25

153,189.43
155,758.99
118,910.60



118,910.60
125,984.35
6.53



6.53
6.53

406.16


406.16
497.87

10,094.75


10,094.75
10,094.75

11,339.14


11,339.14
9,062.04


7,510.16

7,510.16
5,191.36


4,922.09

4,922.09
4,922.09

Page 9

Balance sheet Total fund5 Prior fuiids ¢uFreht assets c.ash at bank and in hand 153 194.93 153,394.93 156 403.49 156,403.49 C￿￿1t￿5.. Arnount5 lalling due in ori¥ year 205.50 205. 644.50 644.50 Nei ¢urrenl as5et5 tes¥ CLirrent liabilitlps 158,189.43 15S,758.89 Total a5Sgts le55 Ilablllties 1S3,189.43 155,758.99 Total net asset5 legs liabllltles 1S3,189.43 155,758.99 R&presentod by Umrèslrltted eTreT31 Pelly Cash 118,910.60 125,984 35 6.53 Èslgnated Mission Fund Règiorarion Fuiid St. Anno'g Hal 406 16 1 D.D94.75 11,339.14 10,094 75 9,062.0 Rèstrleted Fabric Servicp Imi)rovemeni Fund Organ Fund 7.510 16 4.922 0 5,191.36 4,922 09 Funds ol thè church ty53 189.43 155 758.55 ,Siwied on behalf of11)e Paris1 Datc Rcv Lee Davis - Vioai" 21 April 20)4

The Parochial Church Council of the Parish of Hythe

Notes to the financial statements for the year ending 31[st] December 2023

  1. The financial statements for the PCC have been prepared in accordance with the Church Accounting and Regulations 2011, using the receipts and payments basis.

  2. The Receipts and Payments Account and represented funds on page 9 reflects cash and bank balances as at year end.

  3. Other operating debtors and creditors due at year end are as follows:

Amounts owed to PCC:

HMRC for recoverable tax on Gift Aid £1,368 (statutory) CCLA accrued interest to Dec 2023 £1,622.19

Amounts owed by PCC: HMRC (Tax and NIC) NEST December payment due

£510.48 (statutory) £192.29 (statutory)

Page 11

Statement of assets and liabilities

General Designated
Restricted Endowment
This year
Last year
Current assets - Cash at bank and in hand
NatWest current account -
CCLA (CBF) deposit account -
HSBC current account -
Cash in hand -
Totals
Liabilities - Agency accounts
Agency collections -
Totals
Grand total
(186,177.28)
191,339.16
16,396.06

21,557.94
13,817.37
110,092.23
10,000.00
868.42

120,960.65
140,909.24
194,995.65
(179,499.11)
(4,626.73)

10,869.81
1,670.35
6.53



6.53
6.53
118,917.13
21,840.05
12,637.75

153,394.93
156,403.49


205.50

205.50
644.50


205.50

205.50
644.50
118,917.13
21,840.05
12,432.25

153,189.43
155,758.99

Fund movement by type

Opening Incoming Outgoing Transfers Gains/losses Journals Closing

Opening Incoming Outgoing Transfers Gains/losses Journals Closing
Improvement - Fabric and Service I
Restricted
Sub-total for Improvement
Mission - Mission Fund
Designated
Sub-total for Mission
Organ - Organ Fund
Restricted
Sub-total for Organ
Petty Cash - Petty Cash
Unrestricted
Sub-total for Petty Cash
Restore - Restoration Fund
Designated
Sub-total for Restore
St A Hall - St. Anne's Hall
Designated
Sub-total for St A Hall
St J Hall - St. John's Hall
Designated
Sub-total for St J Hall
Yth and fam - Youth and Family Out
Designated
Sub-total for yth and fam
General - General fund
Unrestricted
Sub-total for General
Grand total
5,191.36
2,318.80




7,510.16
5,191.36
2,318.80




7,510.16
497.87

91.71



406.16
497.87

91.71



406.16
4,922.09





4,922.09
4,922.09





4,922.09
6.53





6.53
6.53





6.53
10,094.75





10,094.75
10,094.75





10,094.75
9,062.04
11,840.50
9,563.40



11,339.14
9,062.04
11,840.50
9,563.40



11,339.14

20,633.00
26,202.39
5,569.39



20,633.00
26,202.39
5,569.39




7,309.08
30,744.44
23,435.36



7,309.08
30,744.44
23,435.36



125,984.35
93,813.50
71,882.50
(29,004.75)


118,910.60
125,984.35
93,813.50
71,882.50
(29,004.75)


118,910.60
155,758.99
135,914.88
138,484.44



153,189.43

Page 12

Analysis of receipts and payments

Totals
Unrestricted Designated
Restricted
Endowment
This year
Last year
INCOME AND ENDOWMENTS
Donations and legacies
Gift Aid - Bank
5,355.00



5,355.00
6,574.00
Gift Aid - Envelopes
2,736.00



2,736.00
3,001.62
Gift Aid - Youth Worker Spons

4,715.00


4,715.00
4,800.00
Gift Aid - PGS
43,674.79



43,674.79
39,140.45
Non Gift Aid - Envelopes
474.00



474.00
671.00
Non Gift Aid - Bank
600.00



600.00
687.00
Non Gift Aid - Youth Worker Spons

360.00


360.00
360.00
Loose plate collections
5,807.73



5,807.73
5,731.78
Giving through Wall Safe
171.96



171.96
213.61
Church Coffee Donations
2,317.58



2,317.58
1,764.27
Donations & appeals etc.
2,316.63
1,701.55
2,318.80

6,336.98
4,427.28
Donations for Flowers
100.00



100.00
500.00
Tax rec on Gift Aid General
5,225.51



5,225.51
3,367.35
Tax rec on Gift Aid Yth &Fam
98.75
1,240.00


1,338.75
900.00
Tax rec on Gift Aid PGS General
10,453.88



10,453.88
9,330.08
Legacies
500.00



500.00
100,000.00
Non-recurring one-off grants

875.92


875.92
1,825.00
Total
79,831.83
8,892.47
2,318.80

91,043.10
183,293.44
Income from charitable activities
Church Fundraising
3,741.31



3,741.31
3,095.94
Mission, Outreach (& train)
282.77
978.61


1,261.38
1,450.11
PCC Fees for weddings and funerals
2,562.00



2,562.00
4,026.67
Church lettings
290.00



290.00
763.00
Parish magazine sales
795.05



795.05
804.00
Parish magazine Advertising
130.00



130.00
105.00
Printing Income
180.80



180.80
46.00
Hall Regular Hire

12,662.25


12,662.25
12,721.00
Hall Occasional Hire

2,115.28


2,115.28
1,048.30
Hall Coffee and Cake

1,911.93


1,911.93
3,003.13
Hall Senior Persons Outreach

1,381.54


1,381.54
1,951.77
St. Anne's Regular Hire

10,827.90


10,827.90
11,276.55
St. Anne's Occasional Hire

1,012.60


1,012.60
1,177.85
Total
7,981.93
30,890.11


38,872.04
41,469.32
Investments
Bank and building society interest
5,051.41



5,051.41
342.00
Total
5,051.41



5,051.41
342.00
Other income
Insurance claims
948.33



948.33

Total
948.33



948.33
Totals
Unrestricted Designated
Restricted
Endowment
This year
Last year
INCOME AND ENDOWMENTS
Donations and legacies
Gift Aid - Bank
5,355.00



5,355.00
6,574.00
Gift Aid - Envelopes
2,736.00



2,736.00
3,001.62
Gift Aid - Youth Worker Spons

4,715.00


4,715.00
4,800.00
Gift Aid - PGS
43,674.79



43,674.79
39,140.45
Non Gift Aid - Envelopes
474.00



474.00
671.00
Non Gift Aid - Bank
600.00



600.00
687.00
Non Gift Aid - Youth Worker Spons

360.00


360.00
360.00
Loose plate collections
5,807.73



5,807.73
5,731.78
Giving through Wall Safe
171.96



171.96
213.61
Church Coffee Donations
2,317.58



2,317.58
1,764.27
Donations & appeals etc.
2,316.63
1,701.55
2,318.80

6,336.98
4,427.28
Donations for Flowers
100.00



100.00
500.00
Tax rec on Gift Aid General
5,225.51



5,225.51
3,367.35
Tax rec on Gift Aid Yth &Fam
98.75
1,240.00


1,338.75
900.00
Tax rec on Gift Aid PGS General
10,453.88



10,453.88
9,330.08
Legacies
500.00



500.00
100,000.00
Non-recurring one-off grants

875.92


875.92
1,825.00
Total
79,831.83
8,892.47
2,318.80

91,043.10
183,293.44
Income from charitable activities
Church Fundraising
3,741.31



3,741.31
3,095.94
Mission, Outreach (& train)
282.77
978.61


1,261.38
1,450.11
PCC Fees for weddings and funerals
2,562.00



2,562.00
4,026.67
Church lettings
290.00



290.00
763.00
Parish magazine sales
795.05



795.05
804.00
Parish magazine Advertising
130.00



130.00
105.00
Printing Income
180.80



180.80
46.00
Hall Regular Hire

12,662.25


12,662.25
12,721.00
Hall Occasional Hire

2,115.28


2,115.28
1,048.30
Hall Coffee and Cake

1,911.93


1,911.93
3,003.13
Hall Senior Persons Outreach

1,381.54


1,381.54
1,951.77
St. Anne's Regular Hire

10,827.90


10,827.90
11,276.55
St. Anne's Occasional Hire

1,012.60


1,012.60
1,177.85
Total
7,981.93
30,890.11


38,872.04
41,469.32
Investments
Bank and building society interest
5,051.41



5,051.41
342.00
Total
5,051.41



5,051.41
342.00
Other income
Insurance claims
948.33



948.33

Total
948.33



948.33
79,831.83
8,892.47
2,318.80

91,043.10
183,293.44
3,741.31



3,741.31
3,095.94
282.77
978.61


1,261.38
1,450.11
2,562.00



2,562.00
4,026.67
290.00



290.00
763.00
795.05



795.05
804.00
130.00



130.00
105.00
180.80



180.80
46.00

12,662.25


12,662.25
12,721.00

2,115.28


2,115.28
1,048.30

1,911.93


1,911.93
3,003.13

1,381.54


1,381.54
1,951.77

10,827.90


10,827.90
11,276.55

1,012.60


1,012.60
1,177.85
7,981.93
30,890.11


38,872.04
41,469.32
5,051.41



5,051.41
342.00
5,051.41



5,051.41
342.00
948.33



948.33
948.33



948.33
INCOME TOTAL 93,813.50
39,782.58
2,318.80

135,914.88
225,104.76

Page 13

Totals

Unrestricted Designated
Restricted
Endowment
This year
Last year
EXPENDITURE
Raising funds
Costs of fetes & other events
116.57



116.57
2,288.82
Total
116.57



116.57
2,288.82
Expenditure on charitable activities
Giving to missionary societies
250.00



250.00

Secular charities
887.00



887.00
200.00
Ministry parish share etc.
37,665.08



37,665.08
38,426.88
Gross cost of parish employees
9,710.98
48,504.16


58,215.14
53,846.93
Working expenses of incumbent
2,054.45



2,054.45
1,005.83
Visiting speakers / locums
260.98



260.98

Parish Mission, Outreach (& train)
1,615.07
205.28


1,820.35
1,574.75
Printing and stationery
3,692.01



3,692.01
1,691.09
Hall Food

1,239.03


1,239.03
1,658.43
Church running - insurance
3,328.81



3,328.81
3,759.89
Church office - telephone





56.97
Church maintenance
798.00



798.00
227.93
Cleaning in Churches
60.00



60.00
520.00
Upkeep of services
2,660.61



2,660.61
3,489.63
Upkeep of churchyard
418.33



418.33
246.61
Parish Administration
1,509.69



1,509.69
1,900.27
Flower Expenditure
391.32



391.32
403.06
Youth & Family General Costs

138.15


138.15
301.55
Church running - electric
1,369.56



1,369.56
1,332.33
Church running - gas
3,683.39



3,683.39
1,495.44
Church running - water
190.30



190.30
170.35
Church running - broadband
267.58



267.58
301.74
Hall Office Gen Expend

59.64


59.64
174.79
Hall Gas

2,116.93


2,116.93
1,884.51
Hall Electric

1,814.97


1,814.97
1,871.97
Hall Water

651.83


651.83
144.00
Hall Maintenance Contracts

542.45


542.45
515.60
Hall Maintenance general

4,898.64


4,898.64
1,166.13
Hall Phone and Broadband

974.18


974.18
1,076.76
Hall Cleaning materials

210.89


210.89
194.26
Hall Insurance

1,247.33


1,247.33
1,434.00
Parish Magazine Costs
478.77



478.77
1,198.39
St. Anne's Wages

3,546.00


3,546.00
3,425.92
St. Anne's Gen (admin) Exp.

70.39


70.39
559.97
St. Anne's Gas

729.43


729.43
666.14
St. Anne's Elec.

743.83


743.83
753.64
St. Anne's Water

330.75


330.75
150.14
St. Anne's Maintenance

2,124.06


2,124.06
293.39
Govern examination/audit fee
474.00



474.00
456.00
Church major repairs - structure





1,608.00
Total
71,765.93
66,601.94


138,367.87
126,757.37
Unrestricted Designated
Restricted
Endowment
This year
Last year
116.57



116.57
2,288.82
71,765.93
66,601.94


138,367.87
126,757.37
EXPENDITURE TOTAL 71,882.50
66,601.94


138,484.44
129,046.19
GRAND TOTAL 21,931.00
(26,819.36)
2,318.80

(2,569.56)
96,058.57

Page 14

Page 15