THE PAROCHIAL CHURCH COUNCIL OF THE ECCESIASTICAL PARISH OF ST MARY, HANWELL ANNUAL REPORT FOR THE YEAR ENDING 31[ST] DECEMBER 2024 


**Our Vision is ‘to be transformed by Jesus, and to transform the world with Jesus.’** 

Incumbent (Rector) Revd Andrew Dand (chair) Associate Vicar Revd Susy Dand Curate Revd Stephanie Alvis (from June 2024) Permission to Officiate Revd Helen Cosstick Ordinand Alison Ingram Churchwardens Gareth Bevan Tim Barnes (to May 2024) Helen White (from May 2024) Deputy Churchwarden Adam Bush PCC Secretary Beryl Bevan Treasurer Chris Cosstick Deanery Synod Rep Edsel Jodhan Elected Members Camille Adams Beryl Bevan Kate Bush Chris Cosstick Neil Davies Anna Fernandes Hannah Foxcroft (until May 2024) John Hennessy Lydia Martin (until November 2024) Philip Phelan Lesley Schroeder (from May 2024) Dave Sebuyira (until May 2024) Helen White (until May 2024) 

Safeguarding Officer Maria Barnes 

1 



## **Structure, governance and management.** 

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

## **Objectives and Activities** 

The PCC has the responsibility of co-operating with the Rector in promoting the whole mission of the Church within the ecclesiastical parish: pastoral, evangelistic, social and ecumenical. 

It  also has  maintenance  and safeguarding  responsibilities  for  the  Church  Hall  on Greenford Avenue, which is primarily let to community users, but also used for church activities and events, including the Ealing Churches Winter Night Shelter, our weekly toddler group Noah’s Ark, Coffee & Cake and our annual Pantomime. 

## **General Statistics** 

Church membership 

As at 31st December 2024 there were 140 People on the Church Electoral Roll. Of these 67% were resident in the parish. Of the total Electoral Roll, 59% were female and 41% were male. 

## **Occasional Offices** 

During  2024  there  were  8  baptisms  and  1  wedding  in  church,  and  the  clergy conducted the funerals of 11 parishioners. 

## **PCC & Key personnel** 

The Annual Parochial Church Meeting (at which 4 new PCC members were elected), and the Annual Meeting of Parishioners (at which two churchwardens were elected) were held on Sunday 26th May 2024 in accordance with the Church Representation Rules and The Churchwardens Measure. The full PCC met 5 times during the year with an average attendance level of 72%. 

In  June  2024  we  were  joined  by  our  Curate  Revd  Stephanie  Alvis,  following  her ordination at St Paul’s Cathedral. Stephine will service her curacy with us over 3 years.  Following  a  recruitment  process  we  appointed  Lee  Dewsnap  to  our  newly expanded  role  of  ‘Worship  Director’,  Lee  started  in June,  and  we  also  appointed Hannah Haaland as our Digital Manager from May. 

Tim Barnes stood down having served as church warden for 6 years (the max term) and Helen White was elected to the role. Gareth Bevan was re-elected as Church Warden. Chris Cosstick has continued in his role as treasurer and Beryl Bevan in her role as secretary. 

2 



## **Review of the year** 

2024 is set against the backdrop of the rapid growth seen since mid-2021(24%) with all of the kingdom joys and logistical challenges this has brought. We’ve actively sought to consolidate the growth we have seen by creating appropriate structures including investment in staff and team, and to set ourselves up to sustain continued growth into the future. 

Guided by our vision ‘to be transformed by Jesus, and to transform the world with Jesus’ we have continued to invest significant time and resource into our discipleship programmes (both what we teach on a Sunday and what we offer mid-week across both digital and in person platforms), alongside serving our local community and mission partners in practical and financial ways. 

We have continued to be blessed by a stream of new people attending services and finding different paths into becoming part of our church family. 

This has been against a backdrop of continued building issues with our tower and spire as detailed in the Churchwardens fabric report. 

## **‘Transformed by Jesus’** 

## **Discipleship** 

- In 2024 we saw our number of mid-week groups grow to 6 regular groups by the end  of  the  year,  meeting  in  person,  online  and  connecting  via  WhatsApp. Groups have studied a mix of their own choice of material and whole church resources. In the Autumn we had over 50 people reading and studying Richard Rohr’s ‘Falling upward’. 

- We have continued to take a breadth of approaches to discipleship including a successful season of Lent and Advent podcasts, alongside traditional Sunday teaching, a highlight of which was our Autum series on ‘Identity’. 

- In 2024 we also ran an Alpha course once again, and for the first time ‘The Marriage Session’ from Care for the Family, aimed at resourcing married couples in their relationships. 

- We took our first church group to ‘Spring Harvest’ at Butlins in Skegness after Easter.  14  of  us  of  a  mix  of  ages  enjoyed  the  worship,  teaching  and  fun together. 

- Our  work  with  under  16s  on  Sundays  alongside  the  10:30am  service  has continued to grow. We saw 9% more children and young people on average at our groups than in 2023, and we have nearly regained our pre-pandemic levels of under 16s. 

- Our **Summer Sabbath** took place as usual – a key rhythm and season of intentional rest in our church activities. 

## **Church Family Events** 

3 



- We  continued  with  our  regular  patterns  of **Sunday  Brunches** and **BBQs** ensuring  we  had  a  social  event  on  offer  every  other  month  to  help  us  to intentionally get to know one another better and make new connections. 

- We have continued to hold **welcome events** aimed at getting to know new people who have joined the church and to tell them more about what we do and how to get involved. 

## **Worship** 

- We  continued  with  our **‘both/and’  ‘online  and  in  person’  approach  to worship** on Sundays with the Online @9 and the 10:30am in church, and Midweek Communion. There is an increasing level of overlap in the way that people choose to worship with many adopting a ‘mix and match’ approach, alongside those who primarily attend one service. 

- **Easter** and **Christmas** ran a full range of services, including a return to 2 Christingle  services  to  allow  even  more  people  to  enjoy  them,  spanning  a breadth of worship styles and we consolidated our programme of traditional evening services with Candlemass, Pimm’s and Hymns and a Harvest Evensong joining the Easter Vigil and Carol Service. 

## **‘Transforming the world with Jesus’** 

## **Mission and Outreach** 

- We have continued to financially support the **Grove Community** as mission partners. Their leader, Mark Tate, came to speak to us in September to share what has been happening up on the Grove. 

- Coffee and Cake has become a firm feature at the Hall each Tuesday morning, providing a space for our local community to enjoy hospitality and a warm welcome. 

- We have continued to run longstanding areas of outreach such as **Noah’s Ark** , our popular toddler group, and hosted **Ealing Churches Winter Night Shelter** at the Hall. 

- This year’s **Pantomime** (Aladdin) had a record-breaking year for ticket sales – the  entire  run  sold  out  before  opening  night!  It  continues  to  bless  the participants and local community in equal measure. 2024 was also the year the St Mary’s Players voted to stop being a separate entity from church, and now our Pantomime is a St Marys Church area of ministry and mission and overseen by the PCC. 

- In May we welcomed in hundreds of local people to our third annual **‘History Weekend’** 

- We have continued to support **Ealing Foodbank** throughout the year, and at **Harvest** we made donations of food and toiletries. 

- For the first time, we had a church team run Ealing Half Marathon to raise funds for Ealing Churches Winter Night Shetler, raising many 1000s of pounds. 

- We ran a summer of **open afternoons** once again in 2024. 

## **Growth** 

4 



One of the continued defining features since mid 2021 has been numerical growth. 2024  brought  modest  growth  in  Sunday  attendance  (around  3%  increase).  This equates to around 28% growth since pandemic restrictions ended in the middle of 2021, and we are now 23% bigger than we were pre-pandemic (2019). 

Much  work  has  gone  on  ‘behind  the  scenes’  on  structures  and  teams  (and  will continue to do so) to support and sustain this growth, which we hope will allow for a new season of growth in the year ahead. The growth in numbers participating in midweek groups is one example of where we have created more capacity and structure to help people belong and grow. 

## **Safeguarding** 

Our Parish Safeguarding Officer, Maria Barnes, on behalf of the PCC states that it has, to the best of its knowledge, taken all reasonable steps to comply with the duty under section 5 of the Safeguarding and Clergy Discipline Measure 2016. 

There were 17 DBS checks carried out in 2024. There will be 7 DBS renewals scheduled to be carried out in 2025 

We have had 1 incident to report to the Diocese Safeguarding Team in 2024 

## **Conclusion** 

2024 has been a year of continued consolidation of growth, our focus on discipleship, and growth in our staff team to enable all these things to continue. This is building a solid  foundation  to sustain further growth  and ministry and mission in the  years ahead. 

The other ‘foundations’ to address going forward will be of a brick and mortar variety as we look to repair the tower and spire and make plans to replace the Arks, work towards becoming carbon net zero by 2030, and ensure our buildings remain fit for what God is calling us to. 

The key to all of the above will be continued prayerfully exploring, and obedience to, what God calls us to next. As the Psalmist reminds us “ _Unless the Lord builds the house, those who build it will labour in vain._ ” Psalm 127:1 

**Rev Andrew Dand Incumbent and Chair March 2025** 

5 



## **Financial review for the year ended 31st December 2024** 

## **Overall income:** £231,622 

Regular income was boosted by increased giving ( _+£4,712_ ) and higher hall lettings ( _+ £10,475_ ). 

Income from Sticky Fingers Nursery ( _displaced from the Bernard Sunley Hall during roof  repairs_ )  amounted  to  £21,450.  This  money  has  been  credited  to  a  church improvement fund following a PCC decision that the funds should not be used to cover regular church expenditures. 

Exceptionally,  grants  of  £21,262  were received during  the year-from the Diocese ( _£16,033 to offset costs incurred on the tower repairs and the measured survey_ ) and St Mary’s Players ( _£5,229 for new hall curtains and lighting_ ). 

Additionally, we were able to reclaim VAT on building repairs amounting to £6,842 

We are indebted to the trustees of the William Hobbayne Charity for their annual grant of £7,500, which was added to the Fabric fund. 

The annual pantomime generated funds of £4,377 from ticket sales, the first time this has been included within the church accounts following the winding up of the Players as  a  separate  entity.  The  balance  of  their  funds  amounting  to  £2,500  has  been credited  to a Panto reserve fund to be  used in the event of a production  being cancelled. 

Our thanks are due to all who support the church through their giving via the planned giving scheme, card readers or the online giving platform. 

## **Overall expenditure was £3,362 higher** £193,253 

General Fund expenditure was £7,227 higher than in 2023 due to a higher common fund payment and the appointment of a new Musical Director during the year. 

Fabric fund expenditure was £7,176 lower - £26,683 to effect further repairs and to undertake a measured survey of the building. The cost was met from the Fabric fund, with Diocesan assistance towards the cost. 

The cost of our new Digital Manager amounted to £2,450 charged to the Digital manager fund and church improvement fund. 

Our programme of improvement works at the church hall continued with new curtains for both halls, repairs to the perimeter fences and new racking for costume storage. 

The church has continued to support local mission activities as a funding partner for the Grove Community, operating the Noah’s Ark toddler group, providing a meeting place- for ‘Coffee & Cake’ and as an active host for Ealing Churches Winter Night shelter. 

**Fabric Fund -** balance carried forward £12,860 

6 



Grants from the Diocese and the charity of William Hobbayne amounting to £23,790 plus VAT recoveries of £6,842 enabled us to cover fabric related expenditures of £26,683. 

**Reserve Fund-** balance carried forward £40,000. 

The reserve fund was topped up by £10,000 this year by a transfer from the Hall fund. 

**General Fund-includes all church activities excluding the hall** and had a deficit of £26,614. 

This deficit was covered by a transfer from the Hall fund. 

**Hall fund-** the balance carried forward, after covering the General fund deficit and increasing the Reserve fund, was £24,270. 

## **Looking ahead to 2025** 

We start the year in a healthy position, mindful that we will need to set aside funds for our application to the National Lottery Heritage fund, for urgent boiler replacement should the ageing church boilers fail again, and for much needed improvements to the church sound system. 

**Chris Cosstick Treasurer March 2025** 

7 



## Report on the fabric, goods and ornaments of the church for 2024 

Prepared for the Annual Parochial Church Meeting on 18th May 2025 (as required under the Church Representation Rules para II 9d) 

As Churchwardens our property responsibilities, on behalf of the PCC, include the buildings, plant and fabric and contents of the Church and Church Hall. We completed the annual terrier and inventory check in the autumn of 2024 and confirm that the silver and other possessions of the church are complete and in good order. 

St Mary’s Church is a grade 2* listed building and natural weathering means that specialist work to the exterior needs to be on-going. The church is inspected by an architect every 5 years with the next inspection due in 2027. 

In 2023 issues with the flint cladding on the tower were identified and netting installed in two areas to hold it in place.  Monthly inspections were made (from ground level using binoculars) during 2024 and there were no further reports of falling masonry. 

But in December after a full inspection of the netting by Vitruvius, the company that installed it, it was discovered there has been a deterioration in the condition of the stonework especially around the mounting points for the netting. Subsequent advice has been that the area to the south and west of the tower should be fenced off for reasons of public safety. This was implemented after Christmas and will remain in place until emergency work on the tower and steeple can be carried out. 

Work towards a Heritage Lottery Grant bid to pay for this is ongoing and has included a number of surveys of the building during the year, to help us towards costing the necessary works. To aid us with this we commissioned a Measured Survey of the whole building, the cost of which was covered by a grant from the Diocese. 

Our future planning still needs to consider a permanent extension to the Parish Room, to replace the 2 temporary huts – the Ark and the Cabin. So the Lottery Grant bid will include the cost of design work for this. 

Improvements to the church lighting were carried out throughout the year resulting in all the lights in the Parish Room and the lights in the chancel being replaced with LED versions. 

Major work carried out in the church hall in the last year has included replacement of some of the fencing plus repairs where required and the replacement of the curtains in the main hall. The sanding and polishing of the hall floor is done on a regular basis by a member of the parish for material costs only. 

8 



The costs of maintaining the churchyard are billed annually in arrears to the Council with the work being done by volunteers for which no charge is made. 

We continue to be fortunate to have many volunteers who help maintain our buildings and churchyard, as well as our dedicated teams of cleaners who keep the church looking beautiful. Their hard work and love significantly reduce our upkeep costs. 

Gareth Bevan & Helen White, Churchwardens 

March 2025 


9 



St Mary's Church Hanwell
End of Year Financial Ststements
Year ending 31st December 2024
Page I

Independént Examln•rfs Report to the Trustees of St Mary Church Hanwell
I report on ihe accounts of the tharity for the year ended 31st December 2024 which are set out on finance
pa8es of the Annual Report.
Respectlve Responslbllltles ol Trustees and Examlner
The charitvs trustees are responslble for the preparatlon of the accounts. The charlvs trustees conslder
that an auditls not requlred for this year under sectlon 14412) of the Charlties Act 2011 (the 2011 Actll and
that an Independent examinatlon Is needed.
Itls my responslblllty to:
Examlne the accounts under sectlon 145 of the 2011 Act);
To follow the procedures lald down In the General Dlrectlons Bfven by the Charlty Commlssloners
lunder sectlon 14515llbl of the 2011 Act); and
To state whether partScular matters have come to my atttntlon.
Basls of Independent Examlner's report
My cxamlnation wa5 carrled out In accordance wlth the general DSrectlons glven by the Charlty Commlsslon.
An exarnlnatlon Includes a revlew of the accountln8 records kepl by the charlty and a comparlson of the
accounts presented wlth those records. It also Includes conslderatlon of any unusual Items or dSsclosures Sn
the accounts, and seekln8 explanatlons from you as trustees concernln8 any such matters. The procedures
undertaken do not provlde all the evidence that would be requlred in an audlt and consequently no oplnlon
Is 8lven as to whether the accounts present a 'true and falr vlew. and the report Is Ilmlled to those matters
set out In the statemeni below.
Independent examlner's statement
Slnce the qr0$5 incomefor the year exceeds the omount provlded In sectlon 145{3J of the Act. l Conflrm thot I
am quolifled to oct os Independent Examlner under the provlsions ol that sectlon of the Act ond thot my
quolificotlon Is 0$ shown below.
In connectlon wlth my examlnatlon, no matter has come to my attentlon:
I whlch 8lves me reasonable cause to belleve that In any materlal respert the requlrements
to keep accounting records In accordance wlth section 130 of the 2011 Att,. and
• to prepare accounts whlch accord wlth the accountln8 records and comply wlth the accountln8
requlrements of the 2011 Act have not been met. or
2 to whlch, In my oplnlon, attentlon should be drawn In orderto enable a proper understandln8 of the
accounts to be reached.
Kevln ogiivle
Charlty Bookkeeplng and Ex8rnln8tlon Servlce8
13 Evelyn8 Close.
Hillingdon,
Mlddlesex,
UB8 3LR
Dale 11¢11 February 2025
Page 2

Statom•nt of Fln•nclal Actlvltl••
'I'•l•l Prlor i'¢•r
lol•l fyTrd
rund•
495
93.778
49S
125.00
ie.789
2,1SQ
1.318
119.827
53.428
V¢lunthry I￿¢+
for g•nwwmg fvr
25.(•5
.v*
2.180
Qlhw InG¢nNnq iwl
T4¥t•l In¢<>m•
7188
101JZ•
•JA••
31J27
Coll ol ThJnd•
Co•1 ol gffitr•ihi9 IrrAoT*
Ch*rf*)b• laivil
744
1.894
171.898
117.2S3
27.111
177.618
957
h•r i••oJrcM
Toul •xp•ndlwf•
1S376
193303
132.831
2•.130
110.016
14•1 Inc￿• I l•Mpndturnlv•104wcw IMIov•
tMn•l•r
11,1
Tf•MI•
Gro#1 If•n•f•rn fvrth. 11
28.014
1.73$
(J8.3
10.IXIJ
133.>J41
Olh•r r•cognkn•d g•ln• I Io•M•
P4•1 mo¥•ffl•nl In fufid•
24,071
ij,Y•7
Tgt•l fundB brought fom
To1•1 ¢wrf•d l•rn*
J12
Page 3

Balan¢0 •h•ot
Flx•d 4•••ts
6431
Chur¢h H•N
Tot•1 Flx•d M••ts
1.465,459
1,485,408
1485.459
1.486,469
Currnrf M••ts
Sslo
8541
6S42
8543
6544
8545
CAF Gokl Accou
8•rcly• ¢urth •c¢¢v
CAF Cuh Acc(yJ
H•M A¢court
Ch•rrtiM Aa¥urt
5.592
4,818
3.289
2,e62
25,lY)O
(2.7291
10,0
11,9951
B•rcS•ycwd
C••h Lfj h•txI
Z05
Tot•1 Curr•nt ••MI•
12•,310
94,979
Ll•bllld••
Acco￿￿ P•y•i
Totsl U•blllil••
14,219
N•1 A•••l w￿l￿￿dItI¢ll>
1 S42 181
Excw l {d•llg1l to d
St•rtiThJ bal￿¢
Othw 9•In￿lI081￿1
G•in• •r#S lo1•￿ own
T•tsl R•••ry••
17,4C41
1,649,$88
Z01
Z02
Z03
l.J42,181
1.180,560
1.542.111
R•prw•nl•d by fvnd•
Unr••tncl•J
(i)
34,741
1.$07,441
59.312
1,527.238
R￿l￿d•d
Tol•l
1642 111
81gnod
Si8nature
Name
11 kn)DtsVJ ￿)rt￿￿)
Posilion
(L£LfoL
(tAJwl£i
Dale
Il
Page 4

Fund mov•mont by ty
a•n•rnl. G•Th•rnl lund
228
1￿.?2•
132839
132,83•
2•.•14
M•ll. 8t IA•ry* H•ll Fun
24 270
8yb4gl•l Igr H•ll
lQl
24.nj
CIP. ChuKh p
21480
20 1¢XI
20.100
8utslth•l frKCIF
L•yE
4,000
NLF. Whtlno Fund
PRF. PN>dydlon Il••w¥• F
1.7X
CC. ¢oll•• and C•M•
7C
2.171
IA71
IF- Pund
for eF
545
8ubtothl lor IIR
NA. Ilo•h• A
873
617
IIA
l•brt¢.ei F•brt¢ Fy
10.CthI
10.C#)O
40 IY)J
HWCl••n. Hlgh L•v•l Cl••nlng
1 617
HbghCJ•
¢ryO. Cryp¢ PyTrd
51
878
ftwcrypl
NIgh181￿tt. Nlght 8h•llv
R••trti•J
825
377
455
$ub40141 forllloh
Aw•l•-Chur¢h M•ll Flx•d A•
Rq*lrthd
8ulhlolal l•1 A•••l• IMWO•
1,416.41•
DMP. Mkn•k>n P
Page 5

MDP. Mu•k•l Dlr•ctorl
470
470
T•th8upp.TKhnk•l •wpwl Fu
1.438
8ub40ts1 fw T•¢hJupp
¢lrnnd 1 042 111
1•3
Analy818 ol Incom• and expendltur•
Tol•l
INCOME AND ENDOWMENTS
Incomlng r••ourcM from g•n•r•t•d fvnd•
BBQ & Brunth
Op•n Chuth In¢0
172
323
495
172
323
495
556
1.318
T(rt•l
In¢omlng r••our¢•• from 9•n•r•t•d lund• . Voluntsry Inco
Gilt - Bank
86,920
OnSln• Givlng
Sum Up Card R••d•r
Goodbox C•rd Ro•d•r
(Xhw ￿anned glvlng
P#yroll giwnp
Lcom pl￿* c￿l•¢t1¢X
Ontroff Gfft Akl gi
On•woII gfft *hS
T•x r•covw•bl• on Glft
L•g•¢io8
R•cuiring grnnt•
Non4•cuiilrq onMft ornnts
88.920
82.208
0.993
79
3.551
2.355
873
4.458
2,395
4,0
550
745
387
17.18e
1.251
115
312
17,186.
16.734
7.525
7.525
7.525
TtX•l
93,776
0.647
125,508
119,827
In¢omlng r••ourc•• from g•n•ratyd fund•. Actlvltl•• for g•n•rallnq fvnd•
Ixhw lundi g•n•r4t•J
383
EvMt•
Conc•rf•
Churth tt￿1 i•ttW- r•knlNJ
Chur¢h L•ttir4
728
320
82.872
82,872
52,397
275
53.42
Tol•l
88.789
InGomlng rn•ourH• from g•n•rnl•d fund• . Inv••lm•nt Ineom•
B•nk •TrJ •oc*ty Intw••t
Totsl
2.150
2.160
Oth•r Incomlng r••our¢
Ch•rfb•• TnJ•t t)an4tton•
VAT R•covwy
Panlomi
F•M lor w•dd*rfii •nd fvn•rnl•
6,842
4,3n
1,773
4.377
4.293
Page 6

Chwchy•rd Upk•op R•lrthrs•m￿l
Tothl
INCOME TOTAL
322
106.226
93.489
31.927
231622
183.209
EXPENDITURE
Co•t ol g•n•r•tln9 fvnd•
P4ntomln• Producbon Costs
cl￿.¢,• IA*ddlfyIFun•rql f
H•M Runn1￿ - Log•1 F•
231
239
224
520
744
Tow
1240
Co•t o19•n•r•tln9 fvnd• - Co•t of g•n•r•llng volunl•ry Incom•
E¥•nl• Co
880 & enjnth Co•1•
58
750
810
750
1.854
Tot
1,894
Chartlabl• acll¥lii••
Honw ml••lon
S•cular ¢hArlM•
Common Fund- LDF
LDF Scho￿¥ Contrknjbc
Mini$iry C¢•t
Chur¢h Op•n D•y•
Junlor Church
N*hl Shdlw
Ytyjlh
Paiish Ir•inrt •nd fflbm
14o•h•
Coffm S C•kn
S•l•ry of p•rtsh •dft¥th•w•tot
R•thorf• Exp•nMi
R•thory Exwnl
R•aory W•lw R•t••
R•thory T0￿CC￿l
PTO ExF4n
Ofg•n I pt'ano luThnq
Vpk••p ol
minl•lr•lion
prtntsng Co•1•
H•ll Td•c4)mm•
Chuffh T•b•¢om
Church m•lnt•n•nc•
Church running. •l•th¢
Church runnlng" 9
Church running. w•t•r
Chtsr¢h running- 1ft￿•n¢•
Chureh Ct••Nng
UF4(e•p ol ChU￿hy&rd
H•ll runnlw- •knctrldty
H•ll runnirvJ- g
H￿1 runniryJ- in*ur￿¢4
H&ll runniry- miinl•MrK•
H•ll Cl￿n￿￿
H￿1 runnlrYJ- w•t•r
Dqpolrt or F••
2,578
2.578
2.561
70,0(KI
70,000
1,023
1.023
482
625
377
387
812
825
377
70
381
704
1.831
13,7L
7W
13,590
2,214
1,243
13,59D
2.214
1.230
705
371
1,013
2.854
1,113
1.013
2,854
1,113
3,205
1,289
1.217
7SS
755
33.942
2,510
3.853
219
1,4JB
20.734
36,747
2.445
5,921
2.510
219
91
367
3,117
6.231
700
12.28
3.389
528
1.942
2,742
1.942
1742
12.209
3.024
557
12.209
3,024
557
117.253
27.534
27.111
171.898
177.848
Page 7

Gov•m•nu ¢o•ts
700
750
700
8•nk FIM and Int•rn•t
Church Wl F•
207
Total
957
Oth•r r••our¢•• u••d
Bi•hop• Mmwon Fund
P•nwon C￿tr￿lon
Adnlni•lr•tor
S•l•ry ILY ￿11•1 Mangw
A4ioual• M¢ni8W• Exp•n•
Mu•ical Directcr
Mu•ic EXP￿
Upk••p ol Onlin• s•r￿e•l
Aow•rn
Church R•1T•thm￿11
W•b•rt• Dw4opm•nl •id
M4lnwn•nc•
Eco Church
970
970
1,218
495
6,171
1.115
97
573
1.415
495
7,190
1,115
97
673
1,415
423
3,291
1.019
402
7,905
Total
EXPENOITURE TOTAL
11.905
2.450
GAANO TOTAL
Page 8

St Mary's Church Hanwell
End of Year Financial Ststements
Year ending 31st December 2024
Page I

Independént Examln•rfs Report to the Trustees of St Mary Church Hanwell
I report on ihe accounts of the tharity for the year ended 31st December 2024 which are set out on finance
pa8es of the Annual Report.
Respectlve Responslbllltles ol Trustees and Examlner
The charitvs trustees are responslble for the preparatlon of the accounts. The charlvs trustees conslder
that an auditls not requlred for this year under sectlon 14412) of the Charlties Act 2011 (the 2011 Actll and
that an Independent examinatlon Is needed.
Itls my responslblllty to:
Examlne the accounts under sectlon 145 of the 2011 Act);
To follow the procedures lald down In the General Dlrectlons Bfven by the Charlty Commlssloners
lunder sectlon 14515llbl of the 2011 Act); and
To state whether partScular matters have come to my atttntlon.
Basls of Independent Examlner's report
My cxamlnation wa5 carrled out In accordance wlth the general DSrectlons glven by the Charlty Commlsslon.
An exarnlnatlon Includes a revlew of the accountln8 records kepl by the charlty and a comparlson of the
accounts presented wlth those records. It also Includes conslderatlon of any unusual Items or dSsclosures Sn
the accounts, and seekln8 explanatlons from you as trustees concernln8 any such matters. The procedures
undertaken do not provlde all the evidence that would be requlred in an audlt and consequently no oplnlon
Is 8lven as to whether the accounts present a 'true and falr vlew. and the report Is Ilmlled to those matters
set out In the statemeni below.
Independent examlner's statement
Slnce the qr0$5 incomefor the year exceeds the omount provlded In sectlon 145{3J of the Act. l Conflrm thot I
am quolifled to oct os Independent Examlner under the provlsions ol that sectlon of the Act ond thot my
quolificotlon Is 0$ shown below.
In connectlon wlth my examlnatlon, no matter has come to my attentlon:
I whlch 8lves me reasonable cause to belleve that In any materlal respert the requlrements
to keep accounting records In accordance wlth section 130 of the 2011 Att,. and
• to prepare accounts whlch accord wlth the accountln8 records and comply wlth the accountln8
requlrements of the 2011 Act have not been met. or
2 to whlch, In my oplnlon, attentlon should be drawn In orderto enable a proper understandln8 of the
accounts to be reached.
Kevln ogiivle
Charlty Bookkeeplng and Ex8rnln8tlon Servlce8
13 Evelyn8 Close.
Hillingdon,
Mlddlesex,
UB8 3LR
Dale 11¢11 February 2025
Page 2

Statom•nt of Fln•nclal Actlvltl••
'I'•l•l Prlor i'¢•r
lol•l fyTrd
rund•
495
93.778
49S
125.00
ie.789
2,1SQ
1.318
119.827
53.428
V¢lunthry I￿¢+
for g•nwwmg fvr
25.(•5
.v*
2.180
Qlhw InG¢nNnq iwl
T4¥t•l In¢<>m•
7188
101JZ•
•JA••
31J27
Coll ol ThJnd•
Co•1 ol gffitr•ihi9 IrrAoT*
Ch*rf*)b• laivil
744
1.894
171.898
117.2S3
27.111
177.618
957
h•r i••oJrcM
Toul •xp•ndlwf•
1S376
193303
132.831
2•.130
110.016
14•1 Inc￿• I l•Mpndturnlv•104wcw IMIov•
tMn•l•r
11,1
Tf•MI•
Gro#1 If•n•f•rn fvrth. 11
28.014
1.73$
(J8.3
10.IXIJ
133.>J41
Olh•r r•cognkn•d g•ln• I Io•M•
P4•1 mo¥•ffl•nl In fufid•
24,071
ij,Y•7
Tgt•l fundB brought fom
To1•1 ¢wrf•d l•rn*
J12
Page 3

Balan¢0 •h•ot
Flx•d 4•••ts
6431
Chur¢h H•N
Tot•1 Flx•d M••ts
1.465,459
1,485,408
1485.459
1.486,469
Currnrf M••ts
Sslo
8541
6S42
8543
6544
8545
CAF Gokl Accou
8•rcly• ¢urth •c¢¢v
CAF Cuh Acc(yJ
H•M A¢court
Ch•rrtiM Aa¥urt
5.592
4,818
3.289
2,e62
25,lY)O
(2.7291
10,0
11,9951
B•rcS•ycwd
C••h Lfj h•txI
Z05
Tot•1 Curr•nt ••MI•
12•,310
94,979
Ll•bllld••
Acco￿￿ P•y•i
Totsl U•blllil••
14,219
N•1 A•••l w￿l￿￿dItI¢ll>
1 S42 181
Excw l {d•llg1l to d
St•rtiThJ bal￿¢
Othw 9•In￿lI081￿1
G•in• •r#S lo1•￿ own
T•tsl R•••ry••
17,4C41
1,649,$88
Z01
Z02
Z03
l.J42,181
1.180,560
1.542.111
R•prw•nl•d by fvnd•
Unr••tncl•J
(i)
34,741
1.$07,441
59.312
1,527.238
R￿l￿d•d
Tol•l
1642 111
81gnod
Si8nature
Name
11 kn)DtsVJ ￿)rt￿￿)
Posilion
(L£LfoL
(tAJwl£i
Dale
Il
Page 4

Fund mov•mont by ty
a•n•rnl. G•Th•rnl lund
228
1￿.?2•
132839
132,83•
2•.•14
M•ll. 8t IA•ry* H•ll Fun
24 270
8yb4gl•l Igr H•ll
lQl
24.nj
CIP. ChuKh p
21480
20 1¢XI
20.100
8utslth•l frKCIF
L•yE
4,000
NLF. Whtlno Fund
PRF. PN>dydlon Il••w¥• F
1.7X
CC. ¢oll•• and C•M•
7C
2.171
IA71
IF- Pund
for eF
545
8ubtothl lor IIR
NA. Ilo•h• A
873
617
IIA
l•brt¢.ei F•brt¢ Fy
10.CthI
10.C#)O
40 IY)J
HWCl••n. Hlgh L•v•l Cl••nlng
1 617
HbghCJ•
¢ryO. Cryp¢ PyTrd
51
878
ftwcrypl
NIgh181￿tt. Nlght 8h•llv
R••trti•J
825
377
455
$ub40141 forllloh
Aw•l•-Chur¢h M•ll Flx•d A•
Rq*lrthd
8ulhlolal l•1 A•••l• IMWO•
1,416.41•
DMP. Mkn•k>n P
Page 5

MDP. Mu•k•l Dlr•ctorl
470
470
T•th8upp.TKhnk•l •wpwl Fu
1.438
8ub40ts1 fw T•¢hJupp
¢lrnnd 1 042 111
1•3
Analy818 ol Incom• and expendltur•
Tol•l
INCOME AND ENDOWMENTS
Incomlng r••ourcM from g•n•r•t•d fvnd•
BBQ & Brunth
Op•n Chuth In¢0
172
323
495
172
323
495
556
1.318
T(rt•l
In¢omlng r••our¢•• from 9•n•r•t•d lund• . Voluntsry Inco
Gilt - Bank
86,920
OnSln• Givlng
Sum Up Card R••d•r
Goodbox C•rd Ro•d•r
(Xhw ￿anned glvlng
P#yroll giwnp
Lcom pl￿* c￿l•¢t1¢X
Ontroff Gfft Akl gi
On•woII gfft *hS
T•x r•covw•bl• on Glft
L•g•¢io8
R•cuiring grnnt•
Non4•cuiilrq onMft ornnts
88.920
82.208
0.993
79
3.551
2.355
873
4.458
2,395
4,0
550
745
387
17.18e
1.251
115
312
17,186.
16.734
7.525
7.525
7.525
TtX•l
93,776
0.647
125,508
119,827
In¢omlng r••ourc•• from g•n•ratyd fund•. Actlvltl•• for g•n•rallnq fvnd•
Ixhw lundi g•n•r4t•J
383
EvMt•
Conc•rf•
Churth tt￿1 i•ttW- r•knlNJ
Chur¢h L•ttir4
728
320
82.872
82,872
52,397
275
53.42
Tol•l
88.789
InGomlng rn•ourH• from g•n•rnl•d fund• . Inv••lm•nt Ineom•
B•nk •TrJ •oc*ty Intw••t
Totsl
2.150
2.160
Oth•r Incomlng r••our¢
Ch•rfb•• TnJ•t t)an4tton•
VAT R•covwy
Panlomi
F•M lor w•dd*rfii •nd fvn•rnl•
6,842
4,3n
1,773
4.377
4.293
Page 6

Chwchy•rd Upk•op R•lrthrs•m￿l
Tothl
INCOME TOTAL
322
106.226
93.489
31.927
231622
183.209
EXPENDITURE
Co•t ol g•n•r•tln9 fvnd•
P4ntomln• Producbon Costs
cl￿.¢,• IA*ddlfyIFun•rql f
H•M Runn1￿ - Log•1 F•
231
239
224
520
744
Tow
1240
Co•t o19•n•r•tln9 fvnd• - Co•t of g•n•r•llng volunl•ry Incom•
E¥•nl• Co
880 & enjnth Co•1•
58
750
810
750
1.854
Tot
1,894
Chartlabl• acll¥lii••
Honw ml••lon
S•cular ¢hArlM•
Common Fund- LDF
LDF Scho￿¥ Contrknjbc
Mini$iry C¢•t
Chur¢h Op•n D•y•
Junlor Church
N*hl Shdlw
Ytyjlh
Paiish Ir•inrt •nd fflbm
14o•h•
Coffm S C•kn
S•l•ry of p•rtsh •dft¥th•w•tot
R•thorf• Exp•nMi
R•thory Exwnl
R•aory W•lw R•t••
R•thory T0￿CC￿l
PTO ExF4n
Ofg•n I pt'ano luThnq
Vpk••p ol
minl•lr•lion
prtntsng Co•1•
H•ll Td•c4)mm•
Chuffh T•b•¢om
Church m•lnt•n•nc•
Church running. •l•th¢
Church runnlng" 9
Church running. w•t•r
Chtsr¢h running- 1ft￿•n¢•
Chureh Ct••Nng
UF4(e•p ol ChU￿hy&rd
H•ll runnlw- •knctrldty
H•ll runnirvJ- g
H￿1 runniryJ- in*ur￿¢4
H&ll runniry- miinl•MrK•
H•ll Cl￿n￿￿
H￿1 runnlrYJ- w•t•r
Dqpolrt or F••
2,578
2.578
2.561
70,0(KI
70,000
1,023
1.023
482
625
377
387
812
825
377
70
381
704
1.831
13,7L
7W
13,590
2,214
1,243
13,59D
2.214
1.230
705
371
1,013
2.854
1,113
1.013
2,854
1,113
3,205
1,289
1.217
7SS
755
33.942
2,510
3.853
219
1,4JB
20.734
36,747
2.445
5,921
2.510
219
91
367
3,117
6.231
700
12.28
3.389
528
1.942
2,742
1.942
1742
12.209
3.024
557
12.209
3,024
557
117.253
27.534
27.111
171.898
177.848
Page 7

Gov•m•nu ¢o•ts
700
750
700
8•nk FIM and Int•rn•t
Church Wl F•
207
Total
957
Oth•r r••our¢•• u••d
Bi•hop• Mmwon Fund
P•nwon C￿tr￿lon
Adnlni•lr•tor
S•l•ry ILY ￿11•1 Mangw
A4ioual• M¢ni8W• Exp•n•
Mu•ical Directcr
Mu•ic EXP￿
Upk••p ol Onlin• s•r￿e•l
Aow•rn
Church R•1T•thm￿11
W•b•rt• Dw4opm•nl •id
M4lnwn•nc•
Eco Church
970
970
1,218
495
6,171
1.115
97
573
1.415
495
7,190
1,115
97
673
1,415
423
3,291
1.019
402
7,905
Total
EXPENOITURE TOTAL
11.905
2.450
GAANO TOTAL
Page 8