COLESHILL PAROCHIAL CHURCH COUNCIL
CONTENTS
FOR THE YEAR ENDED 31 DECEMBER 2022
Page
Report of the Par(Khial Church cour￿11
Independent Examinerfs ReFQrt
Statement of Financial Acti¥￿S
Balance Sheet
Notes to the Accounts

COLESHILL PAROCHIAL CHURCH COUNCIL
ANNUAL REPORT
FOR THE YEAR ENDED 31 DECEMBER 2022
Administrative Inforniation
Sl Peter & St Paul's Church is srtuated in Coleshill. 11 ￿ part of the Diocese of Bimiingham within the
Church ol England. The CorresF￿dence adress is the v￿arage. H￿h str￿1, Cokshill, B46 3BP.
The PCC is a charity that registrabon y￿th the Charity Commission in January 2017
During Ihe year the folk)wing seNed as members of the PCC..
Ex officio
Incumben
vacant
Elected members
Mrs Kit BraM￿Y
Mrs Denise Davies
Mrs AngeEa Dawes l ￿retrry1
Mrs Nanette Gallai
Mrs R&hel Glaser
Mrs Clarie Hudson
Mrs Abbie Jeys
Mrs Julie Murphy l Treasurer}
Mrs Kath Tarver
Mrs Nanette Walker
Churchward
ns
Mr Gert Bakker
Mrs Deborah Leary
Deane
Mrs Liz Maxwell
Mrs Juliet Bakker l Lay Reader)
sentatNes
Struclure, Governance and Management
Members of the PCC are either ex officio or e*ted by the Annual Parochial Church Meeting IAPCMI in
accordance with the Church Representation Rules. All Church attendees are encouraged lo register on
the Electoral Roll and stand for electKsn at the PCC.
Objectives and Activities
The PCC has the responsibilty for co-operab.ng the incumbent in promoting the whole pastoral,
evangelisknc, social and ecumenical mission of the church in the ecclesiasb.cal parish. It is also
responsible for the maintenance of the church.
Achievements and Perforniance
There are currently 103 parishioners on the Church Electoral Roll.
Review of the Year
During the year the unffjstn.cted funds of the PCC decreased by £7272 and the restricted funds increased
by £3086
Reserves
Reserves at 31 December 2022 totslled £92,045. These comprise unrestn.cted funds of £65.298 and
restricted funds - primanly to cover the re-ordering and restoration project and youth education pro1￿ts-
of£ 26.747.
Pa9e 1

COLESHILL PAROCHIAL CHURCH COUNCIL
ANNUAL REPORT
FOR THE YEAR ENDED 31 DECEAIBER 2022
Risk Management
The members of the PCC confirm thal they have carried OLrt a risk management review and contsnue to
monitor major risks to which the chanty may become exposed.
Public Benefit
The trustees of the charity are awa￿ of the Charity Commission's guidance on public benefit in The
Advance of Relwion for the Public Benefit and have had regard to rt in their administration of the charity.
The trustees believe that, by promoting the of the Church of England in the Ecclesiastical Parish of
Coleshill, the PCC helps lo promote the whole missKTrn of the Church (pastoral. evangelistic, s(Kial and
ecumenicall more effectively, wrthin the Ecclesiastul Parish and that. in doing so, it provides a benefit to
the public by'.-
Providing facilib.es for public worship. pastoral care and spiritual. moral and intellectual
evelopment. tKJth for rts members and for anyone who wishes to benefft from what the Church offers..
Promoting Christsan values and servKe by membefs of the Church in and to their communitses, to
the benefit of individuals and society as a whole.
Parochial Church Council responsibilities
The members of the PCC acknowledge Iheir reswnslbil￿"eS for=.
lal Ensuring that the PCC keeps accounting records wh￿h compty wrth the Charib'es Act 2011 and the
Church Accounting Regulations 2006",
Ib} Preparing accounts wh￿h give a true and fair view of the state of affairs of the PCC as at the end of
each financial year and its financial activities for each year in accordance with the requiremer¢ts of the
Chanlies Act 2011 relating to financial statements so far as applicable tr) the PCC.
This report was approved by the members of the PCC on 23rd April 2023
and signed on their behalf by".
Treasurer
Church Warden
Page 2

INDEPENDEMf EXAMINER% REPORT
TO THE MEMBERS OF COLESHILL PAROCHIAL CHURCH COUNCIL
I IEtxyt ajxwnts ofthe 0￿ritY for Ye￿ 31 D￿nto 2022 ￿1th tre set (
4tolO.
Respective Responsibilities of Trusta•s and Indèpendent Examinor
As tft￿S of the d￿lity, the merrt)ers of the PCC are resp)￿ble for the FKeparation of the ac£ounts.
They consider that an audrt is not required for this year under sect#)n 14412) of the Chaiities Act 2011
(the 2011 Act) and that an irmlep￿*fjent exan￿allOn is needed.
ft is my responsM)lity to:
examine the accwnts urKlw 145 of 2011 P¢.
Commiss¥M under 5￿tIJn 145(5Xb) rA the 2011 P¢ a￿1
My examination was catTi8J (Mrt in a0￿rda￿2 with ttE gi￿ ty the (hirity
any unusual iiems ￿ d1th￿￿S in the acLwnts a￿] seek*vJ from as trustees
3 ￿ve and frdir vivk aTrd the repNt is limited to those matt&s set wt in strtem￿t below.
Independent Examin•rfs Statèment
. to keep accountiTrJ in wfth 130 (* ￿ 2011 Act: aNI
aC￿￿nting ￿uirements L* the 2011
ve not meL' (
Binningtrkim
Dale: 241h March 2023

COLESHILL PAROCHIAL CHURCH COUNCIL
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 DECEMBER 2022
Nots Unrestricted Restricted Total 2022
funds
funds
Totrl 2021
Income
Donations and legacies
Activities for generating funds
Fundrai51ng
Income from inve3trnents
Charitable activities
Fees
37.143
9.244
46.387
74,152
3.166
3.145
3.166
3,152
2,523
2,960
11.
10,220
Total inc¢)me
55.022
9.251
64.273
89,855
Expenditure
Church acts"vities
52,977
54.811
89,979
Totsl expenditure
52,97T
1.834
54.811
89.979
Net incomel lexp8nditurel
2.045
7.417
9,462
1124}
Unreallsed Net gainslllossesl on invesknents
113.648)
113,6481
14,640
Transfer beh¥een reserves
4.331
{4.3311
Nèt movement in funds
(1.272)
14,1661
14.516
BalanGes brought forvrdrd at 1 January 2022
72.570
23.661
96.231
81.713
Balances carried forward at 31 December 2022
65,298
26.747
92.045
.229
The r￿leS on pages 6 to 10 fomi part of these accryJnts

COLESHILL PAROCHIAL CHURCH COUNCIL
BALANCE SHEET
AS AT 31 DECEMBER 2022
2022
2021
Fixed assets
Investrllenls
102,812
116,460
Current assets
Deposi15 & bank balances
34,282
25.106
34,282
25,1C6
Llabilitie$
Amounts falling due wrthin one yeai
19,3801
15,3351
Amounts f811ing due after m￿e than one year
135.6691
140,0001
Net current assats
10.767
20,229
Net assgts
92,045
96.231
Funds
unrestn.cled
Restri￿e￿
65,298
26,747
72,570
23.661
10
92,045
96.231
These financial siatements have t￿1 Fryar￿1 in acc(￿dan￿ with the Finanaal Rerw)rt]"ng Ststmlard
for Smaller Entities {effethve January 2015).
These financial statements were approved al the Annual Genefal Meeting of U)e Parochial Church Council
and signed on ils behalf by-.
Mrs J Murphy
Treasurer
Date. 23rd Apnl 2023
The notes on pages 6 to 9 fomi part of these &counls

COLESHILL PAROCHIAL CHURCH COUNCIL
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2022
1 Accounting policies
The financial statements have been prepared in acC￿danCe with the Church Accounting Regulations 2006.
A¢counts"ng and Repo￿n9 by Chartb"es'. Statement of Recommended Practice applicable lo charities preparing
their accounts in accordance wilh the Finanual Rewrb"ng Standard for Smalkr Enb"b"es published on 16 July
2014 and the Financial Reportir¥J Standard for Smaller Entilies.
The financial statements have been prepared under the historical cost ¢onvenb"on except for the valuation of
invèstment assets which are shown at market value. The ffinancial statements indude all transactions, assets
and liabilits.es for which the PCC is ￿spOnSI￿￿e in law. They do not indude the accounts of church groups that
owe their main affiliation to another b(KJy. northose that are inftjrmal gatherings of chur¢h members.
Funds
Unrestricted lunds represent the reserves of the PCC th* are not subpct to any restr￿10￿$ regarding their use
and are available f<K awicat￿n on Ihe general PUryM)se of the PCC.
The restricted funds shown in the balance sheet comprise mon￿$ earmarked for intemal renovab.ons and r
ordering of the church, the use of which is at the discretion of the PCC . together with funds held in the Digby
Trust account that are under the control of the PCC and are designated to be used for educab.onal purposes.
Incoming rèsources
Collecbons are recognised when recewed by or on behaff of the PCC. Planned gNing receivable under Gfft Aid
is recognised only when receive(l.
Income tax recoverable on Gift Aid dOr￿110nS is accounted for when receNed.
Grants and legacies to the PCC are accounted for as sc*Jn as the PCC is nobfied of its legal ent￿ement and
the amount due is qUantifia￿e and its ￿￿mate r￿1p1 by the PCC is certain.
Diwdends and interest are acctyjnted for when receNed.
Resources •xp•nd•d
Grants and donations are accounted for when paKI over. or when awarded rf that award creates a binding
obligation on the PCC. The D￿eSan parish share is accounted for when due. All other expenditure is
genèially recognised when it is incurred and is a¢xounled for gross.
Fixed assets
Consecrated and beneficed property of any kino is exduded from the accounts by S1012} of the Charrties Act
2011.
Moveablè ¢hurch furnishings held by the Vi(3r and Churchwardens on Sp￿.31 tnjst for the PCC an(5 which
requiTe a faculty for disposal are not valued in these accounts. They are listed in the Church's inventory. For
inalienable propety acquiw PriOF to 2003 there is insufficient Cost infomith.on available and therefore such
assets are not valued in the accounts.
Investments
Investrnents are Vall￿ at market value at 31 De¢ember 2022
cUrr￿t ass•ts
Short term deposits are hekl either with the CBF Chun* of England fvnds or at the bank.

COLESHILL PAROCHIAL CHURCH COUNCIL
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2022
Unrestricted Restricted
nds
funds
2022
2021
2 Donalions and Legacies
Planned donations
In¢ome tsx recovered
Plate collections
Charity collections
Special
servKe
Other
Legacy
Donation -Ni¢k gift
Donations lor Re-ordering CaMPa￿n
Grarrts l Funding Awards
Donation from Maxstoke PCC
Yoltth Education Trust- Donab'on
17.683
5,180
4.220
17,683
6.769
4,220
388
1.786
4.516
19.439
8,257
3.385
137
1,060
14,858
5,000
1,325
6.948
6.578
1,000
6,165
74,152
1.589
1,786
4,516
¢Jonations
1,4
1.490
2,470
2,470
6.165
9.244
6,165
46.387
37,143
Unrestrl¢ted Restricted
funds
funds
2022
2021
3 Church activitigs
Charitable giving..
Christian aid
Revive l Rev Chris
Water Aid
Diocesan parish shale
Servic£ ￿￿1$
Organist
Office staff c£Jsts
Office costs. printing & Stsb"onery
Heal, Light & Water
Insurance
Icarage (x)￿S
Building maIntenar￿eIf0￿I cover
Cleaning
Consulianl cost- reofdering
Contraclors cosls
Heritage trail costs
Pew cushions
AV equipment
Clock repairs
Nick gift
Sundries
loan Inte￿$1
316
950
72
316
950
72
18,￿0
3,254
1,565
167
Ministry..
18.C
3.254
1.565
20,(KJO
1,799
Church".
5,967
3,836
3,741
5.271
247
5,037
1.477
3.314
5,274
1,915
1.174
14.809
11.516
1.395
177
3.508
3.508
5.866
5.228
24
3,777
2,108
1.3(K> *,
5,228
24
2.108
325
325
1.834
$4,811
1.834
1,834
52,977
89,979
Page 7

COLESHILL PAROCHIAL CHURCH COUNCIL
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2022
Staff costs
2022
2021
Wages
- Organisl
1565
893
Investments
2022
2021
Market value at 1 January 2022
Unrealised gainlllossl on revaluats.on
116,460
{13,6481
101,820
14.640
Market value al 31 December 2022
102,812
116,460
The following is a summary of investments held..
2022
2021
CBF Inveslmenl Fund income units {4979.79 shares)
102,812
116,460
Deposits & bank balances
2022
2021
Central Board of Finance Deposit Fund
Barclays current account
Barclays Campaun ￿lUnt
7.700
6.404
20,178
34,282
4,554
3,459
17,093
25.106
Liabilities falling due within one year
2022
2021
Diocesan Loan
Accruals
5,835
3,545
5.335
9,380
5,335
Liabilities falling due after more than one year
2022
2021
Diocesan Loan
35669
40.000

COLESHILL PAROCHIAL CHURCH COUNCIL
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2022
statsment of Financial Actlvltles - c(Hnparatives
Unrestricted
funds
Restricted
funds
2021
Income
Donations and legacies
Activities for generating funds
Fundraising
Income from investments
Charitable activities
Fees
52,315
21,837
74,152
2,523
2,960
2,523
2,960
10.220
68.018
10,220
89,855
Totsl income
Expenditure
Church activilies
66,807
23,172
89,979
Total expendtture
66.807
23,172
89.979
Net incomel (expenditure) before gainsl
(losses} on investments
1.211
{1,3351
(1241
Net gainsl{lossesl on inveslments
14.640
14,640
Net movgment in funds
15,851
(1,3351
14,516
Balances brought forvrard al 1 January 2021
56.719
24,996
81,715
Balances carried forward at 31 December 2021
72,570
23,661
96,231