Annual Report for the Friends of the Church of St Philleigh 2025 

The charity continued to raise money to support the Church of St Philleigh this year. We ran four separate fundraising events during the year: a fun ride(horses) around the parish, a Gala Concert in the church and the usual two Philleigh Fayres during the summer holidays. Good weather was enjoyed on all of these days meaning that visitor attendance was good and the financial outcome high. The concert was especially well received locally and we intend to present another one in 2026. 

The total grants given to the PCC amounted to £4974, which money was used to help preserve the fabric of the church, maintain the churchyard and keep the church open for the benefit of locals and visitors alike. 

We are very grateful to all our volunteers who work especially hard on the field at the two Philleigh Fayres. 



## **SUMMARY SHEET FRIENDS OF ST PHILLEIGH ACCOUNTS 2025** 

## **For the period 1st Jan 2025 to 31st December 2025** 

|||**2025**|**2024**||
|---|---|---|---|---|
|**RECEIPTS**|||||
|**Fayres**<br>**Income Less Floats**||**29,046.80**|**24,058.17**||
|**Less Costs**||**(10,665.26)**|**(8,824.21)**||
|**Gala income less foat**||**3,195.71**|||
|**Gala Concert costs**||**(245.71)**|||
|**Fun Ride income**||**1,445.23**|||
|**Fun Ride Costs**||**(199.92)**|||
|**Donatons**||**520.00**|**2,292.97**||
|**Gif Aid Tax reclaim**||**125.00**|||
|**Bank Interest**||**992.10**|**1,041.06**||
|**Total Receipts**||**24,213.95**|**18,567.99**||
|**PAYMENTS**|||||
|**Grants to PCC (see below)**||**4,974.43**|**13,106.79**||
|**Total Payments**||**4,974.43**|**13,106.79**||
|**Excess of Receipts over Payments**||**19,239.52**|**5,461.20**||
|**Balance b/forward at 1 Jan 2025**||**66,245.28**|**60,784.08**||
|**Plus excess:**||**19,239.52**|**5,461.20**||
|**New balance 31 Dec 2025**||**85,484.80**|**66,245.28**||
|**Represented by**|||||
|**Bank Balances 31/12/2025**|**Current**|**15,746.55**|**24,624.13**||
||**Savings**|**69,613.25**|**41,621.15**||
|**Debtor**||**125.00**|||
|||**85,484.80**|**66,245.28**||
|||||**2025**|
|Payments to PCC:|||||
|01 Apr 25 Churchyard maintenance||||700.00|
|24 Nov 25 Insurance and Cleaning||||4,174.43|
|08 Dec 25 Churchyard maintenance||||100.00|
|Total PCC grants for|2025|||**4,974.43**|
|32-day Notce Savings Account|||||
|Balance at 1 Jan 2025||||41,621.15|
|Plus interest gained||||837.90|
|Monies transferred from current account||||27,000.00|
|Money transferred to 95-day notce||||42,000.00|
|Balance at 31 Dec 2025||||**27,459.05**|



