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2025-05-31-accounts

Friends of St Kenelm's Church Upton Snodsbury A Charitable Incorporated Organisation. Registered Charity No 1172859 Report for the Year Ended 31/5/2025

CHARITY INFORMATION Friends of St Kenelm's Church Upton Snodsbury Registered Charity No. 1172859 Address: The Chapel, Chapel Lane Upton Snodsbury Worcestershire WR7 4NH 01905 381270 Email foskus2017 mail.com GOVERNING DOCUMENT: Constitution adopted 31S/2017 TRUSTEES Eric Wiles (Chair of Trustees). Catherine Milner. AIMS AND OBJEcnvES The preservation and conservation of St Kenelm's church Upton Snodsbury its churchyard and surrounding area. ACTIVITIES The activities of the Charity are to raise funds for and to make grant awards with the view of the preservation and conservation of St Kenelm's church. The Charity has not held any community- based fund raising event during the year. The Charity has not received any funding requests from Upton Snodsbury Parochial Church Council (the PCC) during the year, however a grant request was made post the year end and a £5,lJ)O grant was paid during 2025. The Trustees have met periodically to discuss progress, and have corresponded by email throughout the period. They confirm that they have referred to the Charity Commission's general guidance on public benefit when reviewing the Charitys aims and objectives and in planning future activities. FINANCE Surplus cash balances have been invested with HSBC Bank plc during the course of the year, and the Charity has received interest on the invested funds. The Charity has no Reserves policy, but aims to maintain a positive cash balance, whilst providing funds to the PCC as and when the PCC makes a funding application.

FRIENDS of St KENELM'S CHURCH UPTON SNODSBURY Financial Ststements for the Year Ended 31 Ma 2025 INCOME and EXPENDITURE ACCOUNT 2025 2024 INCOME Donations 18.12 GiftAid 0.00 Net Income from Fund Raising Event 0.00 Interest 13.71 13.87 Total Income 5.013.71 31.99 EXPENDITURE Grant Made 0.00 Bank Char8es 60.00 EXCESS OF INCOME OVER EXPENDITURE 4.953.71 -28.01 BALANCE SHEET As At 31st May 2025 NET ASSETS Cash at Bank 5,728.43 774.72 REPRESENTED BY General ReseNes Blfwd 774.72 802.73 Net Income for the year 4.953.71 -28.01 General Reserves C/Fwd 5,728.43 774.72 Eric Wiles Treasurer MLc(o Mark Hobs Independe