TRUSTEES’ ANNUAL REPORT FOR THE PERIOD: 1 JANUARY 2020 TO 31 DECEMBER 2020
REFERENCE AND ADMINISTRATION DETAILS
Charity name:
THE UNITED CHURCH OF ST MARK
Other names charity known as:
ST MARK’S CHURCH
Registered charity number:
1176784
Charity’s Principal address:
Great Tattenhams Epsom Downs Surrey KT18 5RB
Names of Trustees
| 1 2 3 4 5 6 7 8 9 10 |
Trustee name | Office (if any) | Dates acted if not for whole year |
Name of person (or body) entitled to appoint trustee (if any) |
|---|---|---|---|---|
| COLIN BATTY | CHAIRMAN AND CHURCHWARDEN |
|||
| DES WILLIAMSON | MINISTER | |||
| MARTIN TRENAMAN |
TREASURER | |||
| JOHN MILLER | STEWARD | |||
| JANET WILLOCK | STEWARD | |||
| MARK ROBINSON | CHURCHWARDEN | |||
| MEL BRACEY | SAFEGUARDING OFFICER | |||
| LIZ TOWNSEND | CHILDREN’S AND FAMILIES’ WORKER |
|||
| KEITH NELSON | ||||
| SHEILA BATTY |
| 11 12 13 14 15 16 |
DAVID WILLOCK | |||
|---|---|---|---|---|
| ROSALYN BIRCH | ||||
| RACHEL RUDDMORE |
20/09/2020 – 31/12/2020 |
|||
| EMMA SEARS | 20/09/2020 – 31/12/2020 |
|||
| HAZEL MILLER | 01/01/2020 – 20/09/2020 |
|||
| ANNE NELSON | 01/01/2020 – 20/09/2020 |
All trustees served for the year the report covers
STRUCTURE GOVERNANCE AND MANAGEMENT
Type of governing document:
Constitution 30 April 2017
How the charity is constituted: Association
Trustee selection method:
Elected by membership
OBJECTIVES AND ACTIVITIES
Objects of charity:
To advance the Christian Faith in the local community, by
-
Celebration of public worship
-
Teaching of Christian faith
-
Mission and evangelism
-
Pastoral work, including visiting the sick and bereaved
-
Provision of facilities with a Christian ethos for the local community, including, but not restricted to the elderly, the young, and other groups with need
-
The support of other charities in the UK and abroad
The Church would not exist without the contribution made by members who volunteer their time. Volunteers provide time in all areas of the church’s activities, including governance.
Policy on Safeguarding
The Church has a Safeguarding Policy that is agreed by the Trustee’s every year. In accordance with the Church of England Safeguarding Policy and the Methodist Church Policy, the church is committed to the safeguarding, care, and nurture of everyone within our community.
All Trustees, and volunteers that work with children and vulnerable adults are required to be trained in safeguarding best practice through the Church of England or Methodist Church.
ACHIEVEMENTS AND PERFORMANCE IN 2020
All activities of the church were significantly impacted in 2020 by the coronavirus pandemic. Public worship ceased in person in March 2020, but carried on weekly online.
Messy Church
Monthly worship for children and their families during term time including activities, worship and a meal. From March 2020, Messy Church continued to meet monthly online for families.
Messy Munchkins
A weekly activity for pre school children and their families. It stopped meeting due to the pandemic in March 2020.
Worship
A varied pattern of worship is provided which requires a great deal of preparation by Rev Des Williamson and the Worship team. The team plans and reviews our services of worship, looks at what works well in our services, how they can be improved, or done differently. Many people are involved in our worship including preachers and worship leaders, musicians, singers and projector and sound operators.
Pastoral
The church pastoral team cares for those in need, they meet together to share concerns to make sure the right support is provided to those who need it. The team visits elderly, housebound, the sick and bereaved and anyone who would value a listening ear.
Community Cinema
Films are shown mostly on Sunday evenings in the winter months, in 2020 7 screenings took place from January to March.
Tattenhams Market
In 2020 the Market was held on 2 occasions (in February and December).
Charitable donations
In 2020 a total of £2,772 was raised for local, national and overseas charities. More details are included in the financial report.
FINANCIAL REVIEW
1. The Coronavirus had a significant impact on the church’s finances in 2020. Income generating activities of hall hire, Community Market and Cinema, Messy Munchkins not being able to take place obviously significantly reduced the income for the church. This represented a shortfall of approximately £18,000.
Reduced use of the church building due to the pandemic resulted in approximately £3,300 of savings from reductions in costs of utilities, cleaning and supplies.
Unsurprisingly a deficit was recorded in the general fund in 2020 of £9,881. The impact of the pandemic will continue in 2021.
2. Parish Share and Circuit Assessment
The Diocese continue to discount our parish share by the approximate value of the Circuit assessment so we are not penalised financially for being a united church. In 2020 the original Parish Share payable was £65,317 an increase of £2,930 on the 2019 amount. But due to the pandemic the Diocese was able to provide financial support to parishes, which helped to reduce the financial burden of the pandemic. The total amount of support provided to the church by the Diocese represented a £5,750 reduction to the parish share payable in 2020. The total paid in 2020 was £59,567.
3. Planned giving
The overall planned giving decreased by £4,676 (12.5%).
During the uncertain times of 2020 giving was the only constant source of income and so was very important to the Church. The decrease in giving was due to a reduced number of givers, unrelated to the pandemic.
It is vital for giving to increase each year to match the inevitable increase in church expenditure. If church members do not increase their giving each year the value of their giving to the Church reduces each year. I would urge you to join other members of the church who give in one of our planned giving schemes, if you do not already do so.
Parish Giving Scheme
The Parish Giving Scheme at St Marks continues to be the most efficient way to give, both for the giver and church administration. There are currently 21 givers who give this way, including regular giving to the CFW fund. Givers agree for their giving to St Marks to be collected by direct debit which is passed to the church a few days later with gift aid added. Givers also have the opportunity for their giving to increase with inflation once a year, and the majority of PGS givers opt for this which enables the church’s income to grow each year. All members of the church are encouraged to give through the scheme.
Details of the Parish Giving Scheme can be found by following the link from the giving page on the Church website.
4. Tax recovered
The amount the church is able to recover in 2020 was 25p for every £1 of gift aided income.
A total of £9,574 was recovered for the General Fund from planned giving as well as some donations, including card donations made in church and online. This includes £479 recovered through the Small Donations Scheme. A further £2,984 was recovered for the CFW Fund from CFW giving and donations.
Total tax recovered in 2019: £12,558.
5. Donations
Donations from groups who use the church building were reduced due to activities being severely affected in 2020. Donations to the General Fund in 2020 was £6,888, including:
Brownies £200
The remaining donations were from members of the church including 4 donations over £500.
6.
Charitable Donations
The following donations were made to charitable organisations, either through fundraising events, collections at services, or from church funds:
Circuit Connexional Funds £250 Christian Aid (proceeds from Quiz) £2,137 (approx)
In addition by 31 December a further sum of £145 had been raised by for Water Aid.
An amount of £240 is also donated to the Bible Reading Fellowship, the umbrella organisation behind Messy Church, from Messy Church contributions.
7. Tattenhams Market
The Market was launched in October 2012, a monthly market with external stallholders paying a fee to have a table (£10 per month). The Church provides refreshments.
The market was affected by restrictions in 2020, it took place on 2 occasions (February and December), it was held on 6 occasions in 2019. The total proceeds was £697 (£2,040 in 2019), of this £317 was taken from refreshments, and the remainder from stallholder fees.
8.
St Mark’s Community Cinema
The Cinema was also affected by restrictions in 2020. A total of 7 screenings took place from January to March (18 in 2019), a total of £817 (£2,286 in 2019) was received from donations and refreshments (less expenses). A further £205 was received on Gift aid claimed on Cinema donations through the Gift Aid Small Donations Scheme.
9. Messy Church and Messy Munchkins
Messy Church (monthly) has been running at St Marks since 2009, and Messy Munchkins (weekly) was added in 2017.
Messy Munchkins was required to stop in March due to the restrictions, but Messy Church continued to meet online. The combined net giving from both these activities in 2020 was £557 (£1,561 in 2019).
10. Income from Investments
The Church receives interest at differing rates for funds invested.
| Invested with | Value of investment £ 31/12/20 |
Interest rate in 2020 |
|---|---|---|
| Cambridge and Counties Bank |
85,072 | 1.74% - 0.995% |
| Skipton BS | 51,000 | 1.00% - 0.35% |
| Total interest income in 2020, £1,488 (£2,657 in 2019). |
All institutions that hold church funds are protected by the Financial Services Compensation Scheme, which offers protection of up to £85,000 in case of occurrences that prevent the institution honouring requests to withdraw funds.
In 2020 the Bank of England base rate reduced from 0.75% to 0.10%, this reduction is reflected in the interest rate reductions executed by the 2 bodies where church funds are invested.
11. Fees from Weddings and Funerals
The Church receives fees for Banns and a proportion of fees from Weddings and Funerals. In 2020 fees were received for 1 Bann (6 in 2019), 9 Funerals (7) and 0 Wedding (1).
Additionally, a sum of £124 was received from the Diocese. Following a change to the way fees from Funerals held at a crematorium in 2020 are distributed to parishes, it was agreed that a sum should be redistributed to parishes based on the number of funerals conducted.
Total fees received for Church in 2020: £409 (£847 in 2019).
12. Children’s and Families’ Worker (CFW)
Liz Townsend was appointed in September 2008.
In 2020 the regular giving with gift aid provided £14,295 (£15,508 in 2019). Income for the Fund was also received from individual donations and a grant from Community Foundation for Surrey.
Grant funding for the fund is continually sought, and the Church was successful in receiving a grant from Community Foundation for Surrey for £6,731.
The total cost of Children’s and Families’ Work in 2020 was £34,490.
Total income to CFW Fund:
| Regular Giving One off donations Gift Aid Grant Funding |
11,436 20,980 2,984 6,731 |
|---|---|
| 42,131 |
The one off donations above, include a donation of £20,000 from a member of the congregation who moved away, and had therefore stopped their regular giving.
| Fund at 31 December 2019 Charged to fund in 2020 Income received in 2020 |
9,301.22 -34,490.43 42,131.08 |
|---|---|
| 16,941.87 |
It is important for regular giving to the Fund, in the form of donations and planned giving, to continue and increase in order for this ministry to continue at St Marks.
The ECC has committed to fund Children’s and Families’ Work at St Marks until at least December 2022.
13. Payment received from credit card and debit card
Donations and payments by card and be made in church using a self service giving device. In 2020 an online facility was introduced enabling donations to be made by card on a giving page linked to the church website.
A total of £1,070 was received from card payments 2020, including £205 from the website. The card processing fee for these payments was £13.68 (average fee 1.3%).
14. Reserves Policy
This Reserves Policy deals with the following Funds only:
Unrestricted Fund – General Fund
Restricted Fund – Children’s and Families’ Worker Fund
Restricted Fund - Maintenance Fund
| Church’s Reserves at 31 December 2020: Unrestricted Funds - General Fund Restricted Fund - CFW Fund Restricted Fund - Maintenance Fund |
£ 82,552 16,942 35,959 |
|---|---|
| 135,454 |
Policy
General Fund
We aim to hold sufficient reserves in our general fund to cover 6 months expenditure, ie £40,500.
The Church needs to be able to cover its monthly commitments (eg Parish Share of £5,443 per month), and be in a position to fund future year deficits if necessary of the general fund.
The Church also needs to be in a position to fund any unexpected building maintenance to ensure that all areas of the building remain safe and secure for all users of the building.
Children’s and Families’ Worker Fund
The fund is used to pay the St Mark’s Children’s and Families’ Worker (through the Circuit Payroll) salary, expenses and other CFW costs. Regular giving from the congregation and gift aid is credited to the fund. Total CFW Fund commitments are approximately £3,000 per month.
Regular income to the fund is not sufficient to meet financial commitments. The Church Council has made a commitment to fund the work to December 2022, using the general fund when necessary.
Maintenance Fund
The fund is in place following the original building work completed in 2011.
ECC agreed that the fund can be used to cover essential building maintenance costs. In 2020 a sum of £450 was charged to the fund:
Total Reserves requirement:
| al Reserves requirement: | |
|---|---|
| 6 months General Fund expenditure 6 months CFW Fund Expenditure Provision for unscheduled building maintenance |
£ 44,000 17,500 10,000 |
| 71,500 |
THE UNITED CHURCH OF ST MARK
SUMMARY STATEMENT OF FINANCIAL ACTIVITIES FOR YEAR ENDING 31 DECEMBER 2020
| Unrestricted Restricted TOTAL Funds Funds 2019 INCOMING RESOURCES £ £ £ 56,628 20,722 77,349 Voluntary Income 4,462 - 4,462 Activities for generating funds 2,657 - 2,657 Income from Investments 22,576 - 22,576 Church Activities - 11,539 11,539 Other Incoming Resources 86,323 32,260 118,583 TOTAL INCOMING RESOURCES RESOURCES EXPENDED 77,514 39,384 116,898 Church Activities 450 635 1,085 Charitable grants and donations 77,964 40,019 117,982 TOTAL RESOURCES EXPENDED 8,359 (7,758) 601 NET INCOMING RESOURCES 0 0 0 NET MOVEMENT IN FUNDS 84,074 54,654 138,728 BALANCES B/FWD 1 JANUARY 2020 92,433 46,895 139,328 BALANCES C/FWD 31 DECEMBER 2020 |
Unrestricted Restricted TOTAL Funds Funds 2020 £ £ £ 50,543 35,997 86,540 1,514 - 1,514 1,488 - 1,488 8,137 - 8,137 - 6,731 6,731 |
|---|---|
| 61,681 42,728 104,409 |
|
| 71,312 35,627 106,939 250 0 250 |
|
| 71,562 35,627 107,189 |
|
| -9,881 7,101 -2,780 0 0 0 92,433 46,895 139,328 |
|
| 82,552 53,996 136,548 |
STATEMENT OF FINANCIAL ACTIVITIES FOR YEAR ENDING 31 DECEMBER 2020
| TOTAL 2019 £ |
Unrestricted Funds £ £ |
Unrestricted Funds £ £ |
Restricted TOTAL Funds 2020 £ £ £ |
|---|---|---|---|
| INCOMING RESOURCES Voluntary Income Planned giving: 48,103 Gift Aid donations 14,159 Tax recovered 1,637 Non gift aid donations 1,653 Cash collections 950 Messy Church 1,977 Messy Munchkins 603 Sunday Coffee 8,266 Donations 77,349 Activities for generating Funds 136 Derby Day Car Park 2,040 Tattenhams Market 2,286 Community Cinema 4,462 Income from investments 1,033 Interest on Cambridge and Counties Interest on Skipton BS 1,575 Interest on National Counties BS 10 Interest on CAF Bank Accounts 7 Interest on Anglican CBF Deposits 27 Interest on Virgin Money investment 4 Interest on Meth CFB investment 2,657 Church Activities 21,729 Hall lettings 847 Fees from weddings and funerals 22,576 Other incoming resources 10,000 Grant funding for CFW Fund 1,255 Fundraising for CFW Fund 284 Christmas Together 11,539 118,583 TOTAL INCOMING RESOURCES |
31,929 9,574 729 749 116 441 117 6,888 |
50,543 1,514 1,488 8,137 0 |
11,436 2,984 - - 507 90 - 20,980 35,997 86,540 - - - 0 1,514 - - - - - - - 0 1,488 - - 0 8,137 6,731 0 0 6,731 6,731 |
| 0 697 817 |
|||
| 1,206 259 13 11 - - - |
|||
| 7,728 409 |
|||
| - - - |
|||
| 61,681 | 42,728 104,409 |
| TOTAL 2019 £ |
Unrestricted Funds £ £ |
Restricted TOTAL Funds 2020 £ £ £ |
|---|---|---|
| RESOURCES EXPENDED Church Activities Ministry: 62,387 Diocesan Parish Share 1,737 Circuit Assessment 858 Vicar's expenses - Deanery Synod - Other Ministry costs 34,803 Children's and Families' Work 939 Messy Church 427 Messy Munchkins 62 Fun and Faith expenses 101,214 Charity Giving: 350 Methodist Connexional Funds 554 Water Aid 81 Children's Society 100 St Bede's School 1,085 Property running costs 3,190 Building Maintenance 1,760 Equipment and Materials 4,981 Utilities 1,748 Insurance 2,841 Hall cleaning 14,520 Worship: 303 Resources 92 Piano and organ tuning and repair 245 Altar requisites 640 Resourcing and Training 18 Baptism cards, books, and resources 6 Posters and leaflets 85 Training 98 Lunches and refreshments 13 Other 220 Sundry expenses 3 Stationery and stamps 6 Card fees 60 Bank charge 5 DBC Admin charge 207 Other misc expenses 280 117,958 TOTAL RESOURCES EXPENDED |
59,567 1,573 489 75 116 - - - 61,819 250 - - - 250 365 1,120 3,954 1,793 1,181 8,414 354 225 0 579 83 13 0 23 107 226 3 14 60 10 187 273 71,562 |
- - - - - 34,490 507 90 - 35,087 96,907 - - - - 0 250 540 - - - - 540 8,954 - - - 0 579 - - - - - 0 226 - - - - - 0 273 35,627 107,189 |
BALANCE SHEET AT 31 DECEMBER 2020
| 2019 £ CURRENT ASSETS 85,126 Cambridge and Counties Bank 40,000 National Counties Building Society 12,979 CAF Bank balances 2,000 Skipton Building Society 2 Anglican CBF Investment 3,067 Debtors and prepayments 143,173 CURRENT LIABILITIES -3,845 Creditors - amounts falling due in one year 139,328 NET CURRENT ASSETS 139,328 TOTAL NET ASSETS Represented by Unrestricted Funds 92,433 General Fund Restricted Funds 9,301 Children's and Families' Worker Fund 36,499 Maintenance Fund 1,095 Christmas Together Fund 139,328 |
£ 85,072 0 3,498 51,000 0 1,401 |
£ 136,548 |
|---|---|---|
| 140,971 -4,423 |
||
| 16,942 35,959 1,095 |
||
| 136,548 82,552 53,996 |
||
| 136,548 |
………………………………… Martin Trenaman MAAT Treasurer
………………………………… Colin Batty Chairman, Ecumenical Church Council ………………………………… Rev Des Williamson Minister
…………………………………. Anthony Hallett Independent Examiner
FINANCIAL STATEMENT 2020
| 2019 £ Income 35,697 Planned giving - GA 11,040 Tax recovered 1,637 Planned giving - non GA 1,653 Cash collections 7,141 Other donations 11 Messy Church (net) 1,550 Messy Munchkins (net) 2,657 Interest 21,729 Hall lettings 847 PCC fees from weddings and funerals 2,040 Tattenhams Market 2,286 Cinema 88,287 Total Income Expenditure 62,387 Parish Share 1,737 Circuit Assessment 858 Vicar expenses 0 Deanery Synod 0 Other Ministry 245 Altar requisites 303 Worship 62 Fun and Faith (net) 92 Organist/musicians and tuning 450 Grants and Giving 220 Education Training, mission 0 Maintenance 1,760 Equip and mats 4,981 Utilities 1,748 Insurance 2,841 Cleaning 280 Sundry 77,964 Total Expenditure 10,324 Surplus/(Deficit) for Year |
2020 £ 31,929 9,574 729 749 7,005 116 441 1,488 7,728 409 697 817 |
|---|---|
| 61,681 59,567 1,573 489 75 116 0 354 0 225 250 226 365 1,120 3,954 1,793 1,181 273 |
|
| 71,562 -9,881 |
Independent Examiner’s Report to the members/trustees of the Ecumenical Church Council (ECC) of The United Church of St Mark, Tattenham Corner.
I report on the accounts for the year ended 31[st] December 2020.
Respective responsibilities of the ECC and the examiner
The charity’s trustees consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed.
It is my responsibility to:
-
examine the accounts under section 145 of the 2011 Act;
-
follow the procedures laid down in the General Directions given by the Charity Commissioners section 145(5)(b) of the 2011 Act; and
-
state whether particular matters have come to my attention
Basis of Independent Examiner’s Statement
My examination was carried out in accordance with the General Directions given by the Charity Commission.
An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts and seeking explanations from the management committee concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in a full audit, and consequently I do not express an audit opinion on the accounts.
Independent Examiner’s statement
In connection with my examination, no matter has come to my attention:
-
(1) which gives me reasonable cause to believe that in any material respect the requirements
-
to keep accounting records in accordance with s.130 of the 2011 Act; or
-
to prepare accounts which accord with these accounting records have not been met; or
-
(2) to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.
Signed
Tony Hallett
5 March 2021
DECLARATION
The trustee’s declare that they have approved the trustee’s report above.
Signed on behalf of the Trustees:
| Signatures | ||
|---|---|---|
| Full names | COLIN BATTY | MARTIN TRENAMAN |
| Position | CHURCHWARDEN | TREASURER |
| Date | 18 OCTOBER 2021 |