REGISTERED CHARITY NUMBER: 1180766
Report of ¢he Trustees and
Unaudite¢l FiD•n¢l•l Statements
for the Year Endèd 31 December 2024
for
Alpd Mission Area
Salisbury & Company
Chartered Accountants
IrL%h Square
i1p￿r Denbigh Road
St Asaph
OenbKJh5hire
IL17 ORN

Aled Mission Area
Contents of the Financial Staternents
for the year ended 31 Decembèr 2024
Pay¢
Report of the Trust8e5
1 to 4
Independent Examinerfs Report
statement of Financial Activities
Balance Sheet
Cash Flow Slatement
hlote$ to the Cash Flow Statement
Notès to the Financial Statements
10 to 22
Detailed Stst¢m¢nt of Financial Activities
23 to 24

Aled Mission Area
Report of the Tru$lee$
for the year ended 31 D¢¢embpr 2024
The Iwslees present their report wlh the Iinanoal statements of the charity for the year ended 31 Deceffiber 2024. The
Iruslees have adopted the provisions of Accounling and Reporliro by Charibe5 S18temenl of Recomtnended Practice
applicable lo ¢harilies preparing their a¢counls In accordance wlh the Finanual Reportiw Slandaid applicable In the
UK and Republic ol I￿la￿K1 IFRS 1021 leffectwe 1 January 20191
OBJECTIVES AND ACTIVITIES
A5 required by the Charities Act 2011 the MISSION AREA CONFERENCE has given due regard lo guidani* published
by the Charity Comm15810n In respect of the operabon of the public benefyt reguiretnent
The activit185 undertaken lo fulfil the MISSION AREA CONFERENCE'S purposes for the pub11c benefit are des¢ribed
atyj detailed hereunder. The Church In Wales Is a Province wlhin the An9lican Cotnffljnion and seeks lo advance the
Christian religion through wortd-wide mLssion It 15 Ihe responsibility of the MISSION AREA CONFERENCE and the
In¢umbenls to work together aniy cMpÈrate In all matters of ujncern and 1fflportan￿ lo the MISSION AREA for the
promotion of the mLssion of the Church. pastoral. evaroelL8bc. social. and ecurnenical In the MISSION AREA.
The MISSION AREA CONFERENCE Is ￿spOnSible. Inler-alo, for the MISSION AREA budget and 811 expendiluie
thereunder. the care and mainlenanee ol Church fabnc and of Churchyards. and for any action or other matter
referred lo It In accordance with ConstitUt￿n aThJ is tf* nom)al channel ol communicatson tye￿en the people of the
MISSION AREA and the Diocesan Bishop.
THE MISSION AREA CONFERENCE PROVIDES A BENEFIT TO THE PVBUC BY:
al The provision of regular public worship
bl The provision of sa¢red Space for personal prayer and contemplation.
cl Pastoral work, Including wsiting 51ck and the bereaved
dl Teaching of Christianity through semons and small groups
el Taking of Assemblies In l(tal schools
f) Promotion of Christianity through staging of events aThY serwces. and dL8lnbution of literature
gl Thg provision of youth work wlh Christian elh05
hl PrDmolirig the whole rn15sion and outreach of the Church in Wa￿$ In aiiling cthmmunity cohesion thrO￿h provision of
activities for Older people, mothers and todd￿rS and other specific groups
Page 1

Aled Mk$5ion Arta
R*port of tho TfU$tees
for the year ended 31 December 2024
ACHIEVEMENTS AND PERFORPIANCE
rhe ALED MIs510n Area 15 cofflprised of 17 churches which in 2017 combined to form one organisalion called the Ale(1
Mission Area which became the Charity for all the ehurches in Ihe a￿8. P¢Movsty ea¢h church had Ils own organisalion
and accounts bul legally they a￿ now all combine(l The leadership Is provided by a Mission Area Leader appointed by
the Bishop. and two church wardens electe(I by the Mission Area COnfe￿nce whose members are ele¢led from Èach
church The large churches have two members and the sMal￿r ones one member. Al tho ordained ¢lergy are members
ex ofticio as well as the Church Army Oftior. DetaiLs of Ihe naTh*s OF Tftotees a￿ attached at Appendix 1.
Our Mission Area Leader Is Clive Myers who is unusualty thks posib.on ts lay.
The Mission Area has an organisalional structure compnsing an Executive wh￿h rneels every month lo undertake the
general organisation. and whose minutes are approve(I by m￿$￿)n Area Conference which meets four times a year
There Is also a committee where tr* Treasurers ol each Church meet wutarty to agree financial apportionment of costs
and Income, a Buildings Committee which k>oks after ¢hur¢hes and buikliros which are the responsibility ol the
Mission Area Tf* Share(l Ministry Team is at the leart of the mission ol the church frjr the area ancl meets monlhty to
look al tr¢ nee(1 lor services and how to prowde Ihem,
Our Vision
We, the Aled Mission Area, are a famrty of Chvrches. building up trust and mutual supporL
We a￿ liverse in 9eoyraphy, culture, lan9Ua9e, and worship.
We are inspired and supported by prayer.
Vve aim lo"
. be woven and unlted in th* love and Ilfe of ¢hrfj$t
. proclaim thè Go$ppl in Word and deed in our ¢ommunttie$ and in the world
. grow and nurture followers of Jesus
From this vision we have discerned three areas in which we have woth to do"
. How we a$ a group of churches work together
- How and whom we $eThfÈ
. How we bring people inside and outside our ¢hur¢he$
We have a MIs510n Area Plan to help us plan our pfK)Irt￿ arvj here have been lour focus groups to tske forward the
work as follows.
Children and Young People
Leadit¥J your church illlo growth
Worship
- Wlelsh and Ru￿1
The work achieved by the Focus groups is sèt out below togethef wlh their futu￿ plaAs.
Leading your Chur¢h in¢0 Grt)w¢h
-As a result of the Alpha Courses a Group now ry￿et5 regularty lo pray arKI reflect on the Bib￿. There Is a weekly
Evening Worship and d15CU5510n meeting on ZootD. Leading your Church into Growth challenge has been taken up
by some of the churthes and one of our clergy is going onto a national course lo leam MO￿ aboul leadin9 these
groups.
Childr¢n and Young People
-The youth group ha5 built. succe5sbJlty fecruitirwJ 50rne youngster5 from Year 6 going into Year 7.
-The Emrys chaplaincy funditsned for the first half of the year sajty tt* school has disenga9ed Sin￿ the start
the new school year.
-we have recruited a coupk of extra members lo the focus group
Worship
-The Joint Mission Area Euchansls norn)ally on the 5th Sunday of the month have been well attended wth eX￿lIent
preachers and there Is a good social wel¢ome as well as there LS a buffel lunch provKled afterward5
-Dai Hvryrol Weddi took place In Llanlairtalhairan and Dw Sant co￿￿ Bay
-A volunteer from E9Ws Llanelian. Jane Beckerman, has volunteered to coordinate HI￿r01 Weddi for 2024.
Wèlsh and Rural
Page 2

A￿d Mission Area
Report of the Trustees
for the year ended 31 December 2024
-Llansannan, Sl Digain and St Ma￿S ￿ekty 'Cuppa & Chal. sessions attended by people from the communities as well
as the churche5. have continued to Ikiurish
-C8rd reader machine In51alled In Llan$annan in church arvj monitonng io see how Ihat benehts Income
-Recently linking with the Youth FDCUS Group to help wlh event5 arKJ prowde farrn location for games el¢ If require
-Llanelian had a Welsh Harvest Service al the e￿j of October as well as the'Hwyrol Weddi. earlier In the year.
-The Welsh'messy Church, al St D￿ainS, Llangemyw. has grown
And of cO￿rSe, there Is all the usual rourKI of Sunday and MAI-Week seNces, funeraL8. %4thlings. baptisms together
with online servi￿$ which started during COVKI sorne ofvthich have remained as they are valued
Our aim has been lo have Inside toilets In all ihe thurcfes and to Improve faulit*s arKI this 15 being taken forward. and
there have been Improvements In St Pauls cO￿n Bay and it is In pro￿S5 in Christ Church Bryn y Maen
Indlvldval Churches, hiphlightS
5t Mi¢haÈl's Abergele, St George and Canolfan Dewi Sant Pènsam
The vicar Kate Johnson left dunng the sumrner of 2024 and art *lvertisemenl for her ￿p13￿ment wa5 not Inrtially
successful. Her repla￿ment start5 on 7 Septernber 2025 and the churches look forward to a new chapter In their
history.
The Church Army Officer has had a programme of food armj ￿lcome In the Gent￿ which Is also used for community
actmties.
The mid Aled Chu￿￿e$
Faced wth a v8cAncy In the rural churches It was decKled that the current Vicar of Old Colwyn. Llanelian and Bews yn
Rho$ WOLJld have a joint ministry with another cleiic and share the VKFrk In those churches together with Llandula5.
IIy8laen, Llanfarilalhairan, Llangernyw and LlaTr5annan. She was recruited In March 2025.
In Sl Catherine and Sl John's Church In Okl CoKvyn they have done a Healthy Church Review to look at Issues like
rnaking the open building more obwousty 8 house of prayer and developing the faith of their families and Invothng them
rrore.
Betw5 yn Rhos ha5 an Express Church and a Celbc serW￿ which ￿ well attended by familie5
St Pauls. and Dewi Sant CO￿ Bay
There has been a reordering lo be able to acc(¥nrnodate toilets in the T(ywer Space. Phase 2 of the project will see a
kitchen as well when funds alkjw In Dewi Sant there has been a Warm Hub for peop￿ lo drop In an(1 be fed and have
social Interaction. St Paul's now has Open Church momiThJ each Wednesday for those who want a coffee. a spaTr lo
pray or just want to visit the m05151gnifirant buikling In Cotr•ryn Bay as a lounst
There was a Children's Mu51c Week wh1ch produrA -Joseph and his amazing technicolour D￿3￿Coat. In August and
Together In Cown Bay used the grounds and buildi￿ ol St Paul's lo have a famity fvn day
The Llandrillo Churches
IAidweek services have been reinlr(xJuce(l across the ¢hur¢l*s arKI the chapel and a Taize style worship at St George's
has begun
There has been "Praise on Ihe protn- serv1￿5 and Music event5 at the Chapel In St Georges ￿th the new facilities
there has b8en widening so¢ial and community events
Sl Trillo's 1$ open through the ￿ek arml a Sl Tnlb Development Group fom)ed.
FINANCIAL REVIEW
Reserves policy
The MISSION AREA CONFERENCE airns lo retain a balance of unrestri¢led -f￿. reserves lo provide working capital.
ancs lo meet any future shortfalls In receipts or urexpected payments. al kast equal to 9 months payments The
unre5tricled Iree reserv85 totall1￿ £988.110 L8 In line ￿th this policy.
The con501idated balance $heel lor the year arKI the as5et5 atKI liabili￿5 al the year-end. are shown In the statements
of account which accompany this ￿ptsrt. Furlher detail of the results for the year and the Statement Df Financial
Activities as at 31 De￿rnber 2024 are induded in the ACHIEVEMENTS AND PERFORMANCE section ol this report
above.
Total funds carried forward 31 year end are represented by unrestricle(I funds tolalling £1,235.896, restricted funds
lolalling F407 639 and endowment funds lolalling £30.058 as shown by the Slaletnent ol Assets and Liabilities (Cash
Funds, plus Other Monetary Assets. plus Investments. *ss Liabilibesl.
Page 3

Aled Mk*sirJn A￿2
Report of the Tru8te8s
for the year ended 31 December 2024
STRUCTURE, GOVERNANCÉ AND IdANAGEAIENT
The Church In Wa￿S Is governed by Ils Constitution sel up under section 13111 of the We15h Church Acts 1914, as
amended from time to time by 115 Governing BIKIY. The MISSION AREA CONFERENCE Is not a body ¢orporate Its
composition. procedures and PLW4pfs are regulale(I by the ConslitulK)n. which provKles that before assuming office,
every memb8r must sKJn a declaration that he tsr she W￿11 be bound by the Constitution.
The Constiltslion provides that the member5 of the MISSION AREA CONFERENCE shall be The Incurnbent, Vicars and
Assistant Curate5. tsvo Church Wardens, one app01nled by th8 Incumbent arKJ one elected at the Annu81 Vestry
MeetinglAVMI, Sub-warden5 for each Church where there Is more than Church In the MISSION AREA. One
appointed by the Incumbent and one electe(6 al the AVM. Up lo 25 lay rnembers e￿¢te￿ at It* AVM, Ccpopled S8crelary
and Treasurer (if not already ex-officio or eknledl. and up to 7 further Co￿pIe<l members. Lay, communicant persons
over the age of 16 may be entered on an Electoral Roll (subject lo r*rtain conditionsl and all su¢h persons. so entered,
are entitled lo vote and lo stand for e￿¢tson.
REFERENCE AND ADMINISTRATIVE DETAILS
NUMBER
1176095
REGISTERED
20th Novemter 2018
ALED MISSION AREA 1S Sltuated In
The ArchdÈ8conry ol St Asaph within the Diocese of StAsaph
CORRESPONDENCE ADDRESS..
36a Llandudno Road. Rhos on Sea, cO￿n Bay. LL28 4UD
Approved by order of board of Irusle8s on. 24.10.2025
- and sIg￿d on Its behalf by
ev G Erlandson- Truste
Paye 4

Independent Examinerfs Report to the Trustee5 of
Aled Mission Area
Indèpendent examinerfs report to the trustee5 of Aled Mission Area
I report lo the charity Iruslees on my examination of the account5 of Aled m￿SK)n Area Ith8 Trust) foi the year ended
31 De¢ember 2024.
Respon8ibilitl8s and ba8is of report
As the charity Iruslees ol the Trust you are respons￿￿ for the preparation of the accounts In accordan￿ with the
requirements ol the Charitie5 Act 20111.the Act'l.
I report In respect of my ex8minalion ol the Tntsfs accwnts carrie(l out urKler Secbon 145 of tIE Act and In carrying out
y exarnination I have follo￿*d all appl￿ble Diwbons gfven by the Chanty Commission under Section 14515llbl ol
the Act.
Independent examine¢s statement
Sin¢e your ch8rity's gross Income eX￿eded £250.000 youi examiner rnu5t be a memLEr of a listed body I can confirm
that l am qualified lo undertake examinalbon ￿caUSe l am a mernber of Ihe Institute of Chartered Accounlanls In
England an(J Wales. which Is one of the listed bodies.
I have completed my examinabon. I ctsnfim that no rnatenal rnatters have corne to rny attention In connection with the
examination giving rne cause to bel*ve that In any matenal respecl.
accountiThJ records were not kept In respe¢t of the Trusl as reouireil by Section 130 of the Act, or
the accounts do not accord ¥Mlh those re¢ord$. or
th8 accounts do not ¢omply with the applicable reqvirements Con￿rnIng the fortn and content of accounts sel
out in the Charities IAccounls and Reports) RegulatlOn5 2008 other than any ￿quire￿ent that the accounts give
true and fair v￿W which Is not a matter consKIe￿￿ as part of an Independent exarnination.
I have no con￿rn$ have come across no other matter5 In connecthon wth the examination to wh1ch attention should
be drawn In this report In order to enabk a prop8r uTrJerstandirvJ of the a(xounts Ir) be rea¢tte¢J.
Ale(1
e tsf Chartere<J AccoLtnt3nts In Eryland and Wa￿5
Salisbury & Cotnpany
Chartered Accountan
Irish Square
Upper Denbigh Road
St Asaph
DenbvJhshire
LL17 ORN
Dale
Page 5

Altrd Mi$$ion Area
StatemÈnt of Financial Activities
for the year ended 31 Oecember 2024
2024
Total
fund5
2023
Total
funds
Unreslri¢te(I
funds
Restncted
funds
Endowment
funds
Notes
INCOME AND ENDOVIMENTS
FROM
Oonations and legacies
387.182
73.145
460,326
404,887
other traditvJ activibes
Investment Income
52.727
81.735
87.075
1.521
139.802
83.256
82,248
79.414
Tc*¢al
521.644
161.741
683.384
566.529
EXPENDITURE ON
Raising funds
6(K).682
19.081
619.763
691,737
Charitable activities
Cos15 of generating voluntary
Income
62.935
6,012
68.947
53,572
Total
663.617
25.093
688.710
745.309
Net gains on inve5tm8nts
8.028
11,231
24.565
19.192
NET INCOMEIIEXPENDITUREI
Transfers betweèn lunds
other recogni5ed
gainslllossesl
Ga1ns on revaluation of fLK8d
assets
11339451
187.3681
141.954
80.417
11,230
6.951
19,239
1159,5881
16
239.525
239.525
Net movement In funds
18.212
222.371
18.181
258.764
1159.5881
RECONCILIATION OF FUNDS
Total funds broughl forward
1,455.273
187.679
11.877
1.654.829
1.814.417
TOTAL FUTr4DS CARRIÉO
FORWARD
1.473.485
410.050
30,058
1.913,593
1.654,829
The notes lorm parl of these financial slal8ments
Page 6

Aled Mi5sbon Area
Balance Sheet
31 December 2024
2024
Total
funds
2023
Total
funds
Unrestricted
funds
ReStr￿ted
funijs
Endowment
fU￿1S
Notes
FIXED ASSETS
Tangible assets
Inve$tmonts
Invesltnen15
Inveslrnenl property
Social Inveslrnenls
10
149.373
149.373
64,814
20,015
690,(K)O
336,119
765
19,524
40.304
690.000
389.211
38.797
530.000
449.888
12
13
42.558
10,534
1.195.507
43.323
30.058
1.268.888
1.083,499
CURRENT ASSETS
Debtors
Cash al bank
14
198
578,787
277.979
366.726
644.705
277.979
366.726
644.705
578.985
CREDITORS
Amoun15 fallin9 due V￿thIn o
yeaf
15
17.6551
NET CURRENT ASSETS
277.979
366.726
644,705
571,330
TOTAL ASSETS LESS
CURRENT LIABILITIES
1.473.486
410.049
30.058
1.913.593
1,654.829
NET A55ETS
1.473.486
410.049
1,913.S93
1,654,829
FUNDS
Unreslricte(J funds
Restricted funds
End0￿￿ent funds
16
1,473.486
410.049
30.058
1.455.273
187,679
11.877
TOTAL FUNDS
1,913.593
1.654.829
The financial statements were approved by the Board ol Trustees and authonsed for Issue
..24.In.202S ... ..... ... and were signed on Ils L*half by
on
v G Ertandson- Trustee
The notes ftsmi part of tr￿se Thnancial 5talernents
Page 7

Alpd Mi$sion Ar¢a
Cosh Flow Statement
for the year ended 31 0ec8mb8r 2024
2024
2023
Notes
Cash flows Irom operatitlg a¢ts"vitse$
Cash generated Irorn operations
101.798
1196,4641
Nel cash provi(led byllused In) opefatillg
101,798
1196.4641
¢ash nows from Investing activbties
Purchase of tangible fixed assets
Purchase of InvestFnent property
Purchase of social Investments
Sale of 50cia1 investrven15
Interest ￿ceiVed
Divvjends received
15,2601
1475}
170.5301
22.830
5,838
11,471
9.188
Net cash Iu5ed 1nyprtsvl(￿ by iAvesling acliwbes
135.8791
17,307
Cash flows from linancing activities
Income attributable lo endowment
Net cash (used Inllprowded by fin8nciThJ actwibes
Change cash and cash equivalpnts in
the r8POrting period
Cash and cash equivalenls at the
begirbnbng of the reporting period
65.918
1179,1571
578.787
757,944
Cash and cash equivalents at the end ol
the reporting period
644,705
578.787
The notes lorn part of these hnanaal statements
Page 8

Aled Mission Area
Notes to the Cash Flow Ststement
for the year ended 31 December 2024
RECONCILIATION OF NET INCOMEIIEXPENDITUREI TO NET CASH FLOW FROM OPERATING
ACTIVITIES
2024
2023
N¢t in¢oMellexpenditu￿I for the reporting period las per the
Statement of Finan¢ial A¢tivltiÈsl
Adjustments for..
Depreciation charges
Lossesllgainl on Investments
Interest received
OIvKlend5 rer£ived
Income atlribulable to e￿I0%￿n&￿t
ecreasellincreasel In debtors
Decrease in creditors
19.239
1159.5881
701
106.870
18.3681
19.1881
119.1921
15,8381
198
17,6551
13751
Net cash provided byllu$ed Inl opefation$
101,798
1196,4641
ANALYSIS OF CHANGES IN NET FUNDS
At 111r24
Cash Ilow
Al 31112124
Net cash
Cash al bank
578.787
65.918
644.705
578.787
65.918
644,705
Totsl
578.787
65.918
644,705
The notes fomi part of these finatKial slaternenls
Page 9

Aled Mission Area
Note5 to the Finan¢i•l Ststoments
lor Ihe ye•r enrled 31 December 2024
ACCOUNTING POLICIES
Basis ol preparing the financial $tatements
The financial 5talemenls of the chanty. which Is a publ￿ benefit enbty under FRS 102. have been prepared In
accordance with the Charities SORP IFRS 1021 Accounlrng and Reporting by Charities Slalernenl of
Recommended Practice applicab￿ to charitie5 prepanng their a¢counls In accordance with the Financial
Reporting Standard applicable In the UK and Republic of I￿larKI IFRS 1021 leNective 1 January 20191., Financial
Reporting Standard 102 'The Finanual Reporting Slandarij appli¢able In the UK and Republic of Ireland. and the
Chantles Act 2011 The Tinanual 5ts1emenls have been prepared under the historul c05t convention with the
exception ol Inveslrnenls which are IncltKled at markel value, as modified by the revaluation of certain assets.
Going ctsn¢Èrn
The Iruslee5 have reviewed the ¢hanVs performance and all oiher cnnsKlerations, and as a ￿sU11 beI￿ve that
the going concern basis Is reasonable
Inttsme
All Income Is recognised In the Statement of Financial A¢liMlies On￿ the charity has entitlemenl to the funds, it
Is probable that the Incorne will be received and the amount can be measured reliably.
Expenditure
Liabilities are recognised as expeThliture as soon as there 15 a legal or constructive obligation committing the
charity lo that expenditure. It Is probable Ihal a tr3nsler of economic benefits ￿11 be requirèd in settlernenl and
the amounl of the obligation can be measured reliably. EXpendilU￿ Is accounted lor on an accruals basis and
has been classified under headings Ihat aggregate all cost felaled lo the category Where costs cannot be
dI￿¢11Y attribute¢ lo partl¢LJlar headiros they have LEen allocated to acliwties on a basis ¢onsk5tenl with the use
of ￿$ou￿$.
Tangible fixed assets
Depoaalion Is provided al the followi￿ annual rates in orthr to wnte ON each asset over Its estimated useful
Investment property
Investment property Is shown at mosl recent valuabon Any aggwate surplus or defiejl ansing from changes In
fair value Is recognised In Ihe Stalemenl ol Financial Acbwtie5.
Taxation
The charity is exempt from lax on rts chantable actiwties
Fund accounting
Unrestricted funds can be used In accordance wth the Charitab￿ objectives at the discretion of th8 Iruslees.
Resirictsd funds can only bè Usèd lor particular festricled purposes within Ihe objects of tre thartty R8Stnctions
arise when specified by the donor or when funds a¥e raised for particular ￿$tricted purpo$e$.
Further explanation of the nature and purpose of each furwj 15 IncludeLI In the notes to the finan¢ial stalem8n
DONATrONS ANO LEGACIES
2024
2023
Gifts
Donations
Gift aid
Legacies
Grants
Charitable activities
Insuran￿ claims
122,665
,639
53.793
24,345
132,939
34.395
1.5
118,756
78,618
39,770
10,500
114,059
42,259
905
460.326
404.867
Grants rec8ived. IndLMled In above. are as foll
2024
2023
Support of charitabk aclivibes
132.939
114,059
Page 10
continued

Al¢d Mis$ion Area
Notes to the Flnancial Statements - ¢ontr"nuefl
for the year ended 31 December 2024
OTHER TRADING ACTIVITIES
2024
2023
Fundraising events
139.802
B2,248
INVESTMENT INCOME
2024
2023
Rents recewed
Other fixed asset Invest- Fll
Deposit account Interest
65,700
9.188
8,368
62.105
11.471
5,838
83,256
79.414
RAISING FUNDS
Ralslng donatlon$ and lega¢l¢s
2024
2023
Support costs
284,360
391,611
other trading activitie8
2024
2023
Vergers. organist5 and choir
Music and perforrnance exp8n58S
C05t of meetings
Diocesan share
15,510
2.932
545
316,416
14,102
5,407
455
280.162
335.403
300.126
Agg￿gate amounts
619.763
691.737
CHARITABLE ACTivrriES COSTS
Dire¢t
Costs
Costs of ger*raliry voluntary Income
68.947
SUPPORT COSTS
Human
ources
Governan
¢osls
Manayement
Finance
Tota15
Raisin9 (¢onalions and
legacie5
274,364
1.543
701
7,752
284.360
Pa9e 11
coritinued.

Aled Mission Area
Not*$ tL> the Fin•n¢iJl Stst*ments . continued
for the year ended 31 December 2024
TRUSTEES. REMUNERATION AND BENEFITS
There were no tru51ee5' remuneraknon cw other benehts fr*r the year ende(1 31 December 2024 nor for the year
ended 31 Decefnber 2023.
Trustees, *xpen$*s
There were no trustees. expenses pawj for the year ended 31 D￿rnber 2024 nor for the y8ar ended
31 Oecember 2023.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestncted
Restricted
fun(ts
funds
Endowment
funds
Total
ftjnds
INCOME AND ENDOWMENTS FROM
DoTiation5 and lega¢Es
395.102
9.765
404,867
other trading activit￿S
Investment Income
81.508
79.226
740
188
82,248
79,414
Total
555,83S
10.693
566,529
EXPENDITURE ON
Raising funds
680.370
11.367
691.737
Charitable activitiès
Costs of generabro voluntary Incrxn?
51.587
1.985
53.572
Total
731.957
13.352
745.309
Net gainslllossesl on Inveslrnent5
14.6851
23.206
671
19,192
NET INCOMEIIEXPENDITUREI
I180.8(￿)
52.036
20.547
152.0261
671
1159.5881
Transfe￿ between funds
Net movement In lund$
1128.7701
131.4891
671
1159,5881
RE¢ONCILIATION OF FUNDS
Total funds brought lopward
.584.042- 2"19.169-
-11.2Ck8
1.814.417
TOTAL FUND5 CARRIED FORWARD
1.455.272
1B7.680
11.877
1.654.829
Page 12
continued...

Aled Mission Arva
Notes to the Financial Statements - continued
for the year ended 31 December 2024
10.
TANGIBLE FIXED ASSETS
Improvern8nts
Fixtures
and
fittings
Freehold
property
property
Totals
COST OR VALUATION
Al l January 2D24
Additions
Revaluations
64.814
19.282
5.280
84,096
5,260
BO,000
80.(KKJ
At 31 December 2024
64.814
24,542
169,356
DEPRECIATION
At 1 January 2024
Charge for year
19,282
701
19.282
701
At 31 December 2024
19.983
19,983
NET BOOK VALUE
Al 31 December 2024
80.000
64.814
4.559
149,373
Al 31 Be￿rnber 2023
64,814
64.814
Cost or valuatiofi at 31 OeCeM￿r 2024 is fepfe5entgJ by"
Improvernents
to
property
Fixtuie5
and
fittings
Freehold
property
Totals
Valuation In 2023
Valuation In 2024
64,814
19.282
5.260
84,096
85.260
80.COJ
64.814
24,542
169.356
The property Old School Llangernyw. Is hekj In the narne of Sl Asaph Diocesan Board of Finance, acting &5
custodian trustee for ¢harity Legal Iitk rests wlh the cusl(Mlian tnotee. while the beneficial Ir)leresl lies
entirely ￿th St Digain. Llaroernw.
Accordingly. the property L% recognL8ed %wthin the charitys accwnts as an asset. as It Is u$e¢J for charitable
purposes and held for the benefit of the charity
FIXED ASSET INVESTMENTS
Listed
Investments
MARKETVALUE
Al 1 January 2024
Unrealised Investment gains
38.797
1.507
At 31 December 2024
40.304
NET BOOK VALVE
Al 31 December 2024
40,304
Al 31 De￿rnL￿r 2023
38.797
There were no Investment assets outsk* Ihe UK
Page 13
Continued.

Aled Mission Area
Notes to the Financial Statements - continued
for the year ended 31 December 2024
11.
FIXED ASSET INVESTMENTS - continued
Cost or valuation al 31 December 2024 Is represented by".
Listed
inveslfflenls
Valu81ion in 2023
Valuation In 2024
38,797
1,507
40,304
12.
INVESTMENT PROPERTY
FAIRVALUE
Al 1 January 2024
Additions
Revaluation
530.000
475
159.525
Al 31 December 2024
890.000
NET BOOK VALUE
Al 31 December 2024
890,000
Al 31 December 2023
S30,000
Fair value at 31 D￿mber 2024 1$ rep￿ented by
Valuation In 2023
Valuation In 2024
530,000
160,000
690.000
The property, 11113 Rhiw Rtsad & Church Room. Rh￿ Road. is tEld in the name of The Representative Body of
the Church in Wales, actin9 as cuslo(Iian trustee for the charity Legal lille ￿$ts with the ¢ustDdian trustee, while
the benefiual Inte￿$t lies enti￿lY wlh St Paul CoWn Bay.
The property Ty'r Ysgol Llangernyw. Is hekl In the name ol St Asaph Dior*san Board ol Finance, acting as
custodian Iwslee for the chanty. Legal lille rests ￿th the cuslrM1ian Iruslee, Whi￿ the beneficial Interest lies
entirely with st Dtg&in, Ll8ngemyw.
Accordingly. the properties Is recognise(I wthin chanvs accounts as an asset. as It Is used lor charitable
purposes and held for the benefit tsl Chanty
13.
SOCIAL INVESTMENTS
Other
Investments
MARKETVALUE
At 1 January 2024
Additions
Disposals
Revaluations
449,888
70,533
122,8301
1108,3801
At 31 December 2024
389,211
NET BOOKVALUE
At 31 Decernber 2024
389.211
At 31 Decemb8r 2023
449,888
Page 14
ntinued..

Aled Misston Area
Notes to the Financial Ststements - ¢ontinuèd
for the year ended 31 De¢ember 20Z4
13.
SOCIAL INVESTMENTS- contit)ued
Cost or valuatk)n at 31 Oecernber 2024 Is represenled by."
Other
Investments
Valuation In 2023
Valuation In 2024
449,888
160.6771
389.211
14.
DEBTORS.. AMOUNTS FALLING DUE IMTHIN ONE YEAR
2024
2023
Trade debtors
198
15.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Olher cre(Jitors
7.655
Page 15
continued

Aled Mission Area
Notes to the Financial Statements - continuèd
for the year ended 31 December 2024
MOVEMENT IN FUNDS
Net
overnenl
In funds
Transfer5
betseen
funds
Al
31112124
At 111124
Unrestricted funds
General fund
Designated Funds
RS Garden Fund
Beryl Lloyd Memorial (Des￿3naIed}
Reor(Jering fund IDesign8tedl
Cohvyn Bay Property Valuations
IDesb3naledl Fund
General- revaluation reserve
1134.9441
1623.1321
111.2231
609.527
11,223
1.133
500
74.814
1.133
500
92,801
1,000
16.987
530,000
S30,000
239,525
239.525
1 455.273
105.581
187,3681
1,473.486
Rèstricted fLtnds
Organ fund
CIF
Churchyard maintenan￿ Fund
COIF Reslor31ion Fund
Church Yard Fund
Llanelian Churchyard Fund
st Michaels Church Yard
Trofarth Church Yard
Churchyard
Churchyard Fund
Churchyard fund
Outdoor Crib
Fr05t Trust Fund
CCLA Organ Fund
Restoralion
Social & Pastoral
Agency Collection5
SED Memonal (Designated) Fund
Dep051t Account IDesignaledl Fund
Sl Trillo Chan￿1 Repair Fund (Resthcted)
Fund
Sl A5aph D8F Adminislralor Grant
DBF Coronavirus Emergency Fund Grant
Martin Stewart Bequesl
Church Artny (Designaledl Fund
Be115- Cary￿14￿n Repairs Fund (Restnctedl
Fund
PA- PA & Hearing Loop FU￿ (Reslncledl
Fund
Chan￿1 Repair fund
Llanddewi grave5
Colwjn Bay St Pauls Re-ordering
(Reslricledl Fund
Sl Trillo Repaintin9 (Resknctedl FurKI
10.970
17.153
1,753
11.1261
627
78
85,000
9.844
18.5D7
1,831
88,792
16,555
14,023
6,748
674
14,625
3.593
46,148
5.000
5.655
727
16.1961
15,567
14,023
6.748
674
13,983
3.453
17.738
S.0(K)
458
514
2.162
184
13741
26,248
2.269
1.482
19lSI
1.107
198
2.070
6,9B2
11.4821
3.006
2.091
11551
198
11.0351
241
1,035
6,982
513
14.615
482
209
17481
722
13,867
482
5,000
121
15341
655
449
6.049
13.0881
616
23.874
22.043
1.831
42.970
iO.O(KJ
59.593
102.563
10.000
167.679
141.953
80417
410,049
Endowment funds
Sl Trillo L l Leather Legacy IErKlovmienti
Fund
st Trillo S(¥ners Gift (Endownenll Fund
Sl Trillo VC Wilde Beques¢ IEndowmenll
Fund
Hayes - Old Colwyn RBCW CIF PT2869
Mrs EMB Hayes (Endowmentsl Fund
7.399
4.478
405
291
7,804
5,596
827
6.124
6,124
10,534
10,534
11,877
11.230
6,951
30,058
TOTAL FUNOS
1.654,829
258.764
1.913.593
Page 16
continued...

Al8d Mission Area
Notes to the Financial Statements- ¢ontinued
lor the year ended 31 December 2024
16.
MOVEMENT IN FUNDS - continued
Nel movement In funds, Included In the aLK)ve are as foll(yw5
In¢omir4J
resources
Resou￿$
e%￿nded
Gains and
losses
Movement
In luncss
Unrestricted lund$
General fund
Reordering fund (Designated)
Gen8ral- revaluation ￿SerVe
520.644
1.OCM)
1663.6161
8.028
1134,9441
1,ODO
239,525
239.525
521.644
1663.6161
247,553
10S,581
Restricted funds
Organ fund
CIF
Churchyard Maintenance Fund
COIF Restoration Fund
Church Yard Fund
Churchyard
Churchyard Fund
Churchyard fLJnd
Frost Trust Fund
Social & Pastoral
Agen¢y Collections
Sl Trillo chan￿ Repair Fund IRe5tnctedl
Fund
st Asaph DBF Administrator Gr8nt
Church Arrny IDesignatedl Fund
Bells- Carrillion Repairs Fund IResln¢ledl
Fund
PA- PA & Hearing Loop Fund (Reslnctedl
Fund
ChanTrl Repair fund
Llancldeya graves
Cowri Bay St Pau15 Re-orthriro
IRe5tricledl Fund
Sl Tnllo Repainting (Reslriciedl Fund
3.898
15.0221
11.1261
627
78
85.000
988
458
514
2,162
2,269
627
365
85,(K)O
1,848
458
2.124
3.731
333
12871
11,2201
360
11.6101
11.5691
12501
2.186
11981
43
11551
209
209
17481
15341
4.731
(5.4791
15341
5,190
{47411
449
2.300
15.3881
13,0881
SD
1,831
1.631
41.964
10.0(K)
42.970
10.000
161.741
125,0941
5,306
141.953
Endowment funds
Sl Trillo L l Leather Legacy IEndovmienll
Fund
St Trillo Somers Gift (Endowmentl Fuw¥J
Hayes- Old Comyn RBCW CIF PT2869
Mrs EM8 Hayes (Endowrnentsl FutKJ
4(
291
405
291
10.534
10,534
11,231
11.230
TOTAL FUNDS
663.384
1688.710
264,090
258,764
Page 17
continued..

Aled Mission Area
Notes to the Financial Statements - conlinued
for the year ended 31 DÈ¢Èmb*r 2r124
16.
MOVEMENT IN FUNDS - ¢ontinutd
Comparative5 for movement in funds
Net
tnovement
In fu￿lS
Transfers
tween
funds
At
31112r23
Al 111r23
Unre$lri¢ted lund$
Gener81 fund
Designated Funds
RS Garden Fund
Beryl Lloyd Memorial IDeswJnatedl
Reordering fund (Designated)
1.490.608
1182,226}
18.408
59.221
17.1851
1,367.603
11.223
1.133
500
74,814
1.133
500
91.801
116.9871
1,584,042
1180.8051
52.036
1.455,273
Restricted fund5
Organ fund
CIF
Churchyard Maintenance Fund
COIF Resloralion Fund
Chur¢h Yard Fund
Llanelian Churchyard Fund
Sl Mi¢haels Church Yarcl
Trofarth Church Yard
Churchyar(I
Churchyard FLt
Churchyard furyj
Outdoor Crib
Frost Trust Fund
CCLA Organ Fund
Resloralion
Social & Pastoral
Colwyn Bay CC Youth Work
Agency Collections
SED Memorial IDesi9naledl Fund
Deposil Account (Designated) Fund
St Trillo Chancel Repair Fund (Reslncledl
Fund
St Asaph DBF Administrator Grant
DBF Coronawrus Emergency Fund Grant
Martin Stewart Bequest
Chur¢h Army ID￿￿￿31@[1) Fund
Bells- Carrillion Repairs Fu￿1 IRe$tncted
Fund
PA- PA & Hearin9 Loop Fund IRestncte(11
Fund
Chan￿1 Repair fund
Llanddewi graves
11.(￿9
17.153
1.029
9.988
18.223
14.023
6.748
674
14.011
3.366
65,934
5,0(Kl
3,(￿7
1.482
19151
11001
10,970
17 153
1.753
9.988
15.567
14.023
6.748
674
13,983
3,453
17,738
5,000
3,386
724
12,6561
146}
122
12.6551
18
1351
145,5411
219
1tM)
1.107
11.0001
915
1.035
16.CM)01
1.107
1.000
19B
1.035
12.982
19151
198
2.070
6,982
440
11.571
482
5.0(Kl
73
3.044
513
14,615
482
5,000
12301
121
8.000
12.4001
5,600
7.500
7,500
566
22,043
22.043
219.169
20.546
152,0361
187,679
Endowment funds
St Trillo L l Leolher Legw (Endowmenll
Fund
St Trillo Somers Gift IEndoknThentl Fund
7.008
4.198
391
280
7,399
4,478
11.206
671
11.877
TOTAL FUNDS
1.814 417
1159.5881
1.654.829
Page 18
continued...

Aled Mission Area
Notes to the Financial Statements . continued
for the year ended 31 Decembef 2024
16.
MOVEMENT IN FUNDS - Continuèd
Cornparalive nel movernent In funds. Incl￿ In the above are as foll(yws
IrKomiThJ
iesources
Resour
expen¢Jed
Gains and
losses
Movement
Iri funds
Unrestritted funds
General fund
Designale(S Funds
Reordering fund IDesignatedl
555.836
1733.3771
18.408
116.9871
14.6851
1182,2261
18,408
116.9871
555.836
1731.9561
14.6851
1180.8051
Restricted fund$
Organ fund
Churchyard Maintenanr*
Churchyard
Churchyard Fund
Churchy8rd fund
Frost Trust Fund
Agency Collections
St Trillo Chancel Repair Fund IRestrictedl
Fund
St Asaph DBF AdrniTTrislrator Grant
Church Army IDesignatedl Fund
Be115- Carrillion Repairs Fund IRestncterll
Fund
Chancel Repair fund
Ll8nddewi graves
1.034
{461
2.147
2,427
330
13101
724
1461
122
12,6551
219
19151
{2,0251
15,4291
12881
19151
347
177
73
73
3,044
12301
4.300
11.2561
17301
12.4001
12.4001
566
22.043
566
22,043
10.693
113,3531
23,206
20.546
Endowment fund$
Sl Trillts L l Leather Legacy (Endowmenll
Fund
Sl Trillts Sorners Gift IEndoknTrentl Fund
391
280
391
280
671
671
TOTAL FUNDS
566.529
1745.3091
19.192
1159,5881
Paye 19
conlinued..

Aled Mi5$ion A￿a
Notes to the Financial Statements - continued
lor the year endÈd 31 December 2024
16.
MOVEMENT IN FUNDS - eontinue
A Cut￿nI year 12 months and prior year 12 months ccKnbired positson Is as follows
Nel
movernenl
In fund5
Transfers
tstr￿&n
funds
At
31112124
At 111r23
Unr8Strbcted funds
General fund
DesvJnated Funds
RS Garden f und
Beryl Lloyd Memorial IDesignatedl
Reordering fund IDesignatedl
Cown Bay Property ValuatK)llS
(Designated) Fund
General- revaluation reserve
1.4￿.608
1317.1701
18.408
1563,9111
118,4081
609.527
1.133
500
91,801
1.133
soo
92,801
115,9871
16.987
530.0(KJ
530.000
239.525
239.525
1.584.042
17S.224}
135,3321
1,473,486
Restricted fund5
Organ fund
CIF
Churchyard MaInlenan￿ Fund
COIF Restoration Fu￿1
Church Yard Fund
Llanelian Churchyard Fund
st Michaels Church Yard
Tiofarth Church Yattl
Churchyard
Churchyard Fund
Churchyard fund
Outdoor Crib
Fr051 Trust Fund
CCLA Organ Fund
RestDralion
Social & Pastoral
Colwyn Bay CC Youth Wo
Agency Co1￿clI0n$
SED Memonal (Designaledl Fund
Deposit Account IDesKJnatedl Fund
st Trillo Chan￿1 Repair Fund IReslnct8dl
Fund
Sl Asaph DBF Admin4Stralor Grant
DBF Coronavirus Emergency Fund Grant
Martin Stewart Bequest
Church Army Ioesignatedl Fund
Bells- Carrillion Repairs Fund IR8Stndedl
Fund
PA- PA & Hearing Loop Fund IRe51riciedl
Furid
Chan￿1 Repair fund
Llanddewi graves
Colvryn Bay St Re-ordering
(Restricted) Fund
Sl Trillo Repainting IRe$lrictedl Fund
11.(￿9
17.153
1,029
9.988
18.223
14.023
6.748
674
74.011
3.366
65.934
5.0
3.(￿7
1482
19151
11.1251
627
11001
727
9,844
18,507
1,831
88.792
16.555
14.023
6,748
674
14,625
3,593
46,148
5.000
5.655
85.(KJO
9B8
16.1961
12.6561
412
636
14931
202
14091
119,2931
2,488
100
11.4821
2.091
1.000
198
1.035
12.982
11.0001
11.070}
241
1,035
6,982
16,0001
282
. 2,296
722
13.867
482
5,000
121
11.571
482
5.000
109
17641
776
8.000
11,9511
6.049
7.500
13.0881
616
23.874
4,412
616
23,874
42,970
10,000
59,593
102,563
10,DOO
219.169
162,499
28,381
410,049
Endowment funds
st Trillo L l Leather Legacy IEThlowTnenll
Fund
St Trillo Somers Gift IEndowTnentl FuThJ
St Trillo VC Wikle Bequest (Endowmenti
Fund
Hayes- Old Cown RBCW CIF PT2869
Mrs EMB Hayes IEndowrnent51 Fund
7,008
4.198
796
571
7.804
5.596
827
6.124
6. 124
10.534
10,534
11.901
6,951
30.058
Page 20
continued...

Akd Mission Area
Notes lo the Financial Stattmènts - continued
for ¢he year 31 December 2024
16.
MOVEMENT IN FUNDS - Continued
TOTAL FUNDS
1.814,417
99.176
1,913,593
A current year 12 months and prK)r year 12 months combine(I nel movement In funds. Included In th& above arè
as follows
Incorning
resources
Resourc8S
expen(*d
Gains and
105S8S
Movernent
In funds
￿n￿stricte{l funds
General fund
Designated Funds
Rèordering fLJnd Ioesonatedl
General- revaluabon reserve
1.076.480
11.396.993)
18,408
116.9871
3.343
1317,1701
18,408
115,9871
239,525
1.000
239.525
1.077.480
{1,395.5721
242,868
175,2241
Restricted funds
Organ fund
CIF
Churchyard Maintenance Fund
COIF Resloralion Fund
Church Yard Fund
Churchyard
Churchyard Fund
Chur¢hyard fund
Frost Trust Fund
Social & Pastoral
Agency CollecliDns
Sl Trillo Chan￿1 Repair Fund (Restnctedl
Fund
st Asaph D8F Administr81or Grant
Church Army (Designaledl Fund
8ells- Carnllion Repairs Fund IRestnde(11
Fund
PA- PA & HeariNJ Loop FurKI (Restridedl
Fund
Chan￿1 Repair fund
Llanddewi grave5
CoWn Bay St PauLs Re-ordering
(Resliictedl Fund
st Trillo Repainting (Restnctedl FUTh
3.897
15.0221
11.1251
627
802
85.000
627
1,399
8S.(X)O
1.848
412
4.271
6.158
663
15971
{1.2201
360
412
636
14931
2,488
13.6351
16.9981
15381
347
2.363
11981
19151
43
11,0701
282
282
2.296
17641
9.031
500
16.7351
11,2641
5.190
17.1411
11,9511
2.300
15.3881
13,0881
616
23.874
616
23.874
41.964
10.0(M)
1.(X)6
42.970
10.000
172.434
136,4471
28.512
162,499
Endowment funds
Sl Trillo L l Leather Legacy IEndowmenll
Fund
St Trillo Somers Gift IEnLlo%wientl Futyj
Hayes - Old Cown RBCW CIF PT2869
Mrs EMB Hayes IEndowrnentsl Fund
797
571
796
571
10.534
10.534
11.902
11,901
TOTAL FUNDS
1.249.913
{) 434.0191
283.282
99,176
Page 21
continued

Aled Mission Ar¢a
Note$ lo the Finaneial Statements - continued
for the year ended 31 December 2024
17.
RELATED PARTY DISCLOSURES
There were no ￿lated party transactions for the year e￿Ied 31 De￿rnber 2024.
Page 22

Aled Mlssion A ￿¥
Detailed Slaternent tsl Financial Activities
for the ￿ar Èn(le(131 December 2024
2024
2023
INCOME AND ENDOWMENTS
Donation$ and legacitr5
Gift5
Oonalions
Gift aid
Legacies
Grants
Chanlable activihes
Insurance clairrs
122.665
90.639
S3.793
24,345
132.939
34,395
1.550
118,756
78,618
39,770
10,500
114059
42.259
905
460,326
404.867
Other trading activities
Fundraisiro events
139.802
62.248
Inve5trn8nt income
Rents received
Other fixed 8ssel Inve5t- Fll
Deposit account Inte￿$t
65.700
9.188
8.368
62,105
11,471
5.838
83.256
79,414
Total Incomlng restsur¢t$
683,384
566,529
EXPENDITURE
O¢her trading a¢tsvities
Vergers. organists and choir
Music and performance expense5
C051 of rneelings
Diocesan share
15.510
2,932
545
316.416
14,102
5,407
455
280,162
335.403
3(KJ, 126
Charitable activities
Children & young people
Parish mission work
Support of diocesan prqect5
Support of church chanties
Support of external charili8s
Fundraising costs
Cleigy expense5
Parish admin151rator
Leasing and hire costs
General expenditurè
3.406
9.152
1.900
7.570
10
2,330
76
1,432
13,750
17,524
391
8.589
2.206
3,181
2,701
2.682
23.072
22.547
68.947
53.572
Support costs
Management
Rates and water
Insurance
Light and heal
Telephone
Postage and stationery
Repairs and mainlenan¢e
Carried lonward
2,654
26,219
72,749
2,805
2,882
134.668
241.977
3.994
24,541
83,985
1,642
3,248
232,464
349.874
This page does not forrn part ol the statutory financAal statements
Page 23

Aled Misslon Area
D¢lail*d Stslement of Financial Activilies
for the year ended 31 Oecernber 2024
2024
2023
Management
Brought foFward
Cleaning
Maintenance of services
Depreciation
Churchyard man2gernent Costs
Churchyard Memonal
241,977
17.397
3,278
349.874
10.8
1.063
1,118
15,044
11,238
474
274 364
377.989
Finance
Bank charg8S
1.543
1.557
Hurnan rpsour¢Ès
Fixture5 and fittings
701
Governance costs
Professional lees
Ac¢okJnlancy and 18gal fee5
7.752
9.665
2.400
7.752
12,065
Total resources expended
688.710
745,309
Net expenditure
15,3261
1178,7801
This page does not fom) part of the stalutory financial slaternents
Page 24