St Mary and All Saints P C C Whalley
Charlty Number 117621Z
Annual Report and Flnandal Statem
For the Year ended 31 December 2024

St MaryandAII Saints P Ccwhalley
Chalmian
Reverend Jonathan Camyllie
Trustees who ser¥*d durirythe Year
Dorothy BorlarKI
P C C Secretary
Christine Seed
lan John Smlth
Lynne Smlth
Joanna Glenn
Judlth Davles
Church Warden and Deanery Synod member
Peter Slmms Ward
Ibolya Fewster
Denise Elstub
Deanery Synod member
Julle Tennant
Reverend Rachel Frost
Andy Walker
Deanery Synod member
Elected September 2024
Parlsh Safeguardlng Officer
Lynne Smith
Prlnclpal Office
The Parlsh Offi
Church Lane
Whalley
Lanca5hire BB7 95Y
Independent Examlner
Mr David Barlow FCCA

St Mary and All &￿nts P C C Whallev
Trustees Report
The Trustees present the annual report together with the financial statements of the charity for the
year ended 310ecember 2024
Charltable Purposes
The trustees provide the facilitie5 and support for public services open to all and an opportunity for
quiet contemplation and prayer. The trustees pmide an opportunity for everyone to worship at our
church and to become part of the community at Whalley. This fomis part of our Dlocesan MiSs￿n
Islon 2026":
To r￿stablISh orrfrnewreqularpatterns oAworklnth Includlng wotshlpl PC¢ School ond
Abbev,
Tofvrtherdevelop our minlstryoAwelcofft. Incllrfllng oAocus on new houslng
developments and
To planfvr the secondpart of the rertoratlon oAthe Church
The PCC will lead 3 Generoslty and Grace Stewardship campaign In 2025 and also review the above
V15ion for the church.
Publlc Benefft
2024 remalned a challen8ln8 year for many people, and for the church. Durin8 the year It was
important that the church remalned avallable, offerin8 a safe. peaceful. quiet and welcoming
environment for everyone.
The trustees confirm that they have complied with the requirements of section 17 of the Charities
Act 2011 to have due regard to the public 8uidance benefit 8uidance published by the Charity
Commission for England and Wales.
M•nagement and recrultment of Trustees
The P C C meets up to six times a year as required. New members are appointed for a perlod of three
vears but this can be extended. by agreement ofthe P C C.
Safe8uardlng
The trustees are aware of theSr reswnsibillty to provide a safe and caring environment for all church
activitie5 and place safeguarding at the heart of their commitment. Safeguardlng Includes everyone
wlthin the church community and visltors to the church. This is done by understanding and
re5perting all children. young people and vulnerable adults, within the church farnily and visitors.
The P C C adheres to the National Church Safeguarding policie5, endorsed by the Diocese of
Blackburn. and oullined in the Parish Safeguarding Handbook. The safeguarding polity is available on
the church website, with a hard copy available in the parish office.
The P C C have a Parlsh Safeguardlng Offlcer and tralnlng Is provlded to all applicable per50ns, wlth
an Annual Self Evaluation. in accordance with Diocesan recommendations.

Flnanclal Revlew
Total income for the year was £182.39)12023- £129,605) of which £115,71012023:£99,2271 was
unrestricted.
Total Expenditure was £152,92812023: £143.1021 of which £106,70712023: £123,540) was
unrestricted. The value of investments increased by £2.78012023: increase £10,492) and the surplus
for the year was £32,24212023:deficlt £3,c￿4) of whlth £10,13312023: deficit £13.8211 was
unrestricted.
The Reserves at the end of the year were £420,240 {2023: £387.9981 of whlch £288.20412023:
£273,348) were unrestricted. OF the unrestricted funds £150.825 was designated for future projects
12023:£151,1021.
Overall the P C C con51der that whllst the current year flnances are satlsfattoryi the ongoing financial
deflcit wlll be addressed wlthin the comlng five years. 2024 saw the instsllatlon of new Ilghting in the
church and the completion of the Bells Renovation project. both of which enhanced the fabric of the
church.
A¢¢ountlng Pollcles
The flnanclal statements have been prepared under the Charltles Act 2011 and In accordance wlth
the Church Accounting Regulations 2(KJ6 8overnin8 the indivldual accounts of the P C C, with
appropriate accountin8 policies.
Statement of T￿￿ee Responslbllltles
The trustees are responslble for preparlng the truttee's report and financial ststements In
accordance wlth the United Kingdom Accounting Standards and appllcable law and ￿gulatIonS. The
law appllcable to charlties requlres trustees to prepare flnanclal statements for each flnanclal year
which glve a true and fair vlew of the stste of affalrs of the charity and of the Incoming resources
and application of the resources of the charity for that period. In preparlng these flnancial
ststements the trustees are required to..
select suitable accounting policles and apply them consistently:
obseThe the methods and principles in the Charities SORP;
make Judgements and estimates that are reasonable and prudent:
state whether appllcable accounting standard5 have ben followed. subject to any material
departures disdosed and explained in the financlal statements: and
prepare the financlal statements on the 8oin8 concern basis unless It Is Inapproprlate to
presume that the charity will contlnue In operatlon.
The trustees are responslble for keeping proper accounting records that dlsclose, with reasonable
accuracy at any time the financial position of the charity and enable them to ensure that the
flnancial statements compty w￿h the Chartties Act 2022. the applicable Charities (Accounts and
Reports) Regulatlons, and the provisions of the constitution. The trustees are also responsible for
saleguèrding the assets of the charity and hence for taking reasonable steps for the prevention and
detettion of fraud and other irregularities.
Approved by ihe trustees of the charity on and signed on their behaff by..
Reverend Jonathan Cam)yllle Chairman
17 March 2025

Independent Examlners Reportto the Trustees of the St Mary and All Salnts P C C. Whallev
I report to the trustees on my examination of the accounts of the charity for the year ended 31
December 2024 which are set out on pages 6 to. carried out under section 145 of the Charities Act
2011 and in carrying out my examination I have followed all the applicable directions given by the
Charity Q>mmission under section 145 of the A£t.
I have completed my examinatlon and tonflmi that no material matter5 have come to my attentlon in
connection with the examination giving me cause to believe that in any material respert-
accounting retord5 were not kept in respect of the P C C of St Mary and All Saints Whalleyi as
required by section 130 of the Act,. or
2. the accounts do not accord with those recor(1s,' or
3. the accounts do not cornp￿ with the accountlng requlrements concernln8 the form and
content of the accountsset out In the Charities (Attounts and Reportsl Regulations 2008 other
than the requirement that the accounts glve a "true and falr Vie￿ whlch is not a matter
considered a5 Part of an independent examination.
I have no concerns and have come across no matters in connertlon with the examination to which
attentlon should be drawn in thi5 report in order to enable a proper understanding of the accounts to
be reached.
Davld Barlow FCCA

St m￿and 5alnts P C C. Vlhalloy
siatomentof Flnond81 ALllvttltys forth• Yw Ertthd 31 D•c•M￿l024
2023
Totsl
U￿r￿ncIed
Desi8nated
In¢¢)m•fr¢m:
Planned G4vln8
Other Glvln¥
Legacies and 8equests ReceNed
Tax recovered through Gfft Aid
36.811
I1￿17
23,282
37A51
64512
38,282
iOA21
147.666
34.453
34.721
Is.(K)o
14,399
98,573
49A95
455
65,$90
82.076
7,659
7,659
4,735
Fws by P C C
Jdlng8 8TrJ bJMr* 8
9.178
9,178
9.231
14,119
591
14.W3
Othv In¢om•
2.678
349
a.176
2,264
TOTAL InMm•
11%710
IZ9,60S
Exp•ndllur• on..
Ralilng Fund•
¢hthtabl• Gmnq
106
769
Ch￿th Atttlvltb••
Parfsh Shar6 and A*ed Fe88 Pdd
Sal8rbe8 snd F888
Pari8h C*wCog1s
Mlnlsty C￿ts
Regular cknch running eywAe8
C*ur¢h he#tir@ #Tra IWknO ¢0
43.&
16.028
60.181
15.016
7.492
6.4SI
26.903
12,639
128.682
16,028
4.893
13.220
8,926
.524
1120
7.441
14,603
1,926
99.455
428
10
loo
TOTAL R•v•nu• Exp•ndSlurn
224
3.610
1261
129,552
Major C•pllal Exp•nd41ur•
Maicf repairs to c*urch
Bunfjino
10,484
41183
52.667
13.550
10,484
41183
51667
13,550
TOTPL
45.793
152.928
143,102
SU￿Ul lor th• Yaw
9,(￿3
-278
20,n6
-13,496
L4￿ IG•lnl On 11bveth￿
Llal
10.492
NET Outg￿￿￿ resourcts and
movement in fvnds
IQ133
-278
-3,rK14
Reconcillztlon of Fund¥
Tran8f•r Fun
Tolal Funds bmughtlon¥ard
Total Funds caryled frJr*Mrd
121246
137.379
151,102
15Q.825
114.650
13103$
387,998
420.241
391.￿4
387,998
page 6

st Mary ahd Salnts P C C. Whalloy
881on¢8 Sh¢ot * 31 tknb•r2024
Inv8slrn8nts h8kJ *ilh CCLA
121M12
Investm￿t8.. CCLA derxxts
Cash at Benk 8nd in Hwd
li
12
224A19
212.569
50.943
3,175
266.687
Credfters.. 8fkKKJrfS tsIIINJwthln ern ye
Net uJrr8nl 8888t8
-i￿}
266.587
I96￿19
T¢)t•l N•tA•Mts
387,898
Th• Fund• of th• ¢h•rbty.
VnreBtriC1￿ fundB
008kJnotod FuNJ*
Ra&trlcl8d FunLts
137J79
122.246
15L102
114,650
Totsl Ch¥Ky Fund•
387.998
Appro¥•d byth• PCC oh 17 P•lwth 2015
R•v. Jon4th•h C•rmyllS1
PCCChalr

$1 Mary and PJI SaSnt8 P C G. Whahy
No¢•¥ ts th• Flnanclal Statsmonts for jW•￿•d 31 Dat￿borI
8891¥ of4¢￿￿tIng
Th8 nnarKk91 SIatwn￿rts are pre￿r•j ￿Jar the c£¥Mrkn cffj re￿pts payments bass, 4Yith th8
Choritses 2011. Accr*Jnting ReporbrvJ by Ch**e8'. StalwneTrt of R￿)mme￿j•J Practic* forcharluas 8rWng tho
An￿da1 StBithnJ 102 {Jwwy 20151 arKI apr4￿￿18
D￿atIOnS are Kuxjnted for In full in tho ￿mUnts In Ihe Ihoy are rK•W. Inctffle from Is
unl*1 forthen Dftho uwwrty upto thg t*)knt
Ehpendltur818 Ir￿luded in th• #tat•nwlol finondal ac*¥ths ￿11. VAT htdth c1n￿l bo racov8rod. oth
than on certaln rrfJth• 10 th• P4rlth r￿TCh. RaS￿rn dhcty aUrilxrtr*10. 8r• allc¢alad to c￿1*)
P•n•l¢n•
Inv•8tm•nts
In¥oslmwts l*kl tyth• CCLAcffi beholl ofth• c•wltyw• •l•W atthdr mark•1 Al MOV￿1B kn vlu•L4 •r• •
In thÈ siJtom•nt olfinart*l acl¥llloB.
Fund kcountlng
RostrfC¢￿ and ¢ndo*Th8nl funds..
Th888 may be inc4D• Ihe Ca￿ mwl ￿ rnl•M*dlc¢ aTrJ lthora tha dLThtIcii a
dlscrelh)n.
paqe 8

st Mary and Salnts P C C, Whallay
Nots$ to Fknanclal Ststemonts for tho JtyAr ondwd 310ocombw2tr24 Icortlnwd)
2. Plann•d In¢(*
Total
2023
Income re¢￿Ved 1hro￿h Standirp Ordw5
In￿me ￿¢eNed throwh otherW￿r gw
27.238
9.573
2723B
9￿?>
25,764
8.689
36.811
I6￿11
34.453
Bar￿ interest
Inv85tm8nt inL¥xne ¢)%thr¥J8
10.748
3370
591
l¥J39
3.370
11,484
3,319
14.119
591
14709
14.803
4. Oth•r In(om•
VA TGrant
Sale of Candles
other
1.781
781
478
2W8
478
1.282
2.264
S. P4rf•h Sh•rn p•kl 10 DI0¢•
Tho P¥rt$h Shar& p*d lo tho Dbc880 QIBI•¢kP￿ ¢o¥w• tr• ¢¢41 WK8f8 8Ip*¥J18*ryl. C4wgy IwirvJ
tr8lnkng. In add￿￿ tha Shwa 8180 contn"tr#Jt•8 to IN• rmt cl runrmw the and a ccrtrit*Jtion Mst¥ tsy
runnln9 the Nat*Jnd Church. In 2024 80% of th• Parmb sh￿ ¥•w &kx•f￿1 to P8rwh Mini81ry (xJst8, 12% lty 0￿￿an
minlstry cnsts. 6% for cx4ts arl 2% k* Notrml ￿￿tr.
6. 8*larf•• and F••A
P8rtsh AdmIn￿OIc¢
Or9￿18¢
Verqer
4197
7.751
7.125
140
15,016
,028
7. P*rf•h clww c
Uer8y Expenses
Councll Tax
Water Ratos
1543
5,327
978
1460
4.3C4J
732
7,492
8. Mlnlsty Colts
Children's Wo
SafwrdrvJ
Cholr
36
Iso
1.270
1,009
2￿71
1.115
6,451
720
431
1871
02
5A25
Flowers
431
4W3
431
9. I1•g￿T ¢hw¢h rnnnlNJ •wM••
MthLY ReF
Insuran
Payr￿1 Q)8ts
Admln16trntkx)
Bank Ch8rga&
SubscrfOon8
1171
4070
4.554
4070
14,886
3￿88
973
4.697
564
162
1.733
502
220
26.903
Independent Examiner Fee
i￿)
Iix)
Ico

St Mary al￿ All Salnts P CC.*Thailev
Notes to FIna￿la1 Statementsfor thty•3rended31 De￿ffikn 1024
11. Invwlmwts 4rKI D*POs￿
Th8 In¥estrngnts ￿re CCLA kn a numtw(rfts* ¢entralfihW ￿llC?j 8 teiier raie of raturn lh￿ rfthe
prc¢luce kncome to hdp M￿ntsIn Ihe (￿r¢h. LW 8 revhv* of Inwslments in 2024 it Ihot a numbw %*ve
The inve$tmÉnl$ in¢rea$*l In ￿u¢ 2024 by styY* 2.YA12023 irue89e S.￿) in *Jtht*Jn r￿￿￿j
£3,37012023 t3,3191.
12. Ca8h at Bank and In H•nd
Gerffil FuTrJ
Plann8d G￿n9 k<wnt
F8Mc FuThl
Flowers Acef
Churth SLb&o1 Funo
4073
124
11059
22,935
12.709
213
857
13,533
50.943
.961
D•l)torn
Intsrest on CCLA OyBit ACC￿[￿
14 ¢T￿lt￿lS wlthlTrYweh Morrt
Indeppndent Ex4mlmer$ F¢e
A￿$ned Fees due to the Dk%esan Bo•rd ofFIn•￿e
3,175
its)
Ic¥)
1& Rulrkt•d Fund•
TrwMf•r
Fund Iltynm•nt b¢twMn Bal￿¢• at
Funds
31 D•c•mb•r
2024
Bd•nc• •1
l J•nu•ry
Whalley Fabrfc CCLA Dewjslt kcount
Whalley Ishaw Lewl In¥Mtment Account
Churthyard Investment Ar￿Unt
S91
I,493
157
11,673
66.731
6,913
65.239
6￿26
St M•ry*nd All S*kts Fr1•rthAtt0￿
Flower F￿d
Development Acc4Vmt
Bethany Fund
Hymn Books
Iz,M
213
13.533
734
15,349
431
36,276 42,183
56
-106
1.171 -L171
IL835
12,0S8
15,130
2.626
11,835
Other
Fabrk Fund
-518
114.650
68.180 45.793
l& DeslAn•ied Funds
Deslgnated Funds are those de51gnated ￿ rhe PCC for S[￿ ongolng puTrty)se5. In January 2024 the PCC deslgnited funds
recelved bythe chdr a￿lIn Marth 2024 deslqnated £lSO.C(¥) towards the costs of major wo￿$ on the fabric of the ¢hur¢h.
at
l January
31 Dg¢qmb•r
2Q24
Fabric Fund
Cholr F¥nd
1.102
151.102
17. Trustw
ith o total of£2.543 trthelir¥J QOtJ". ￿0Th￿re retirtAn￿ £2.￿}.