Charity Registration Number 1180985
PARKSTONE CHURCH CIO
ACCOUNTS
For the Year ended 31st Deeember 2025
337 Rtngwood Road
Parksione
Poulc
BH12 3JN

PARKSTONE CHURCH CIO
For the Year ended 31st Deeember 2025
Contents
Page
Reference and Administrative D¢tails
Sialemeni ol Trusleeg. Responsibililies
Independent Examiner's Report
Statement o( Financial ActivAties
Sia(ement of Assets and Liabilities
Notes to the Financial Accounts
6-11

Parks¢one Church CIO
Reference and Administrative Details
Trustees
Mr Ron Barneii
Mr Jack ChristopheI
ML. John Christopher
Mr David Ham
Principal Office
337 Rtngwood Road
P<irk5tolle
Poole
BH123JN
Charity Registration Iyumber
1180985
Gift Aid Registration
XN5096
Independent F.xamlner
Mrs Suc Wintlc
27 Bas¢olt Road
Bourncmouth
BHII 8JR

Parkstone Church CIO
Sti)tement of Trustees Responsibilities
For the Year ended 31st December 2025
The TrUs￿S are responsibl¢ for preparing thc finan¢ial statemcnts in accordance wsth the Uniied Kinudo
Accouniing st￿￿8rd$ IUnÉted Kingdom Get)erally A¢tep¢ed Aceollnting Praciicel and applicable law alld
and T¢gulatsons.
The law applicable to charities ]Yquitts Irusie£s (o prepare fiuancial staicmcnLS for &%ch financial ycar which givc
a true and lair view of the sthte of arrairs of the charity and of the in¢oming resources and application8 of resources
of the charity for thal pe.i'iod.
pi"epating th¢sc financial bliltements, th¢ truslc¢s arc rcquired io..
Select suitable accnunting policies and Ihcn apply them consistenily;
Observe the meihodg and principals in the Charities SORP:
. Make jlldgemEnts and estimates thai are reasonable und prudent-
Statc whether applicable accollnting %tandaEds have been followed, subject to any materia] departures discloscd
and eKplaincd in th¢ financial staleinents: dnd
. Prepare the financial sutements on the going con¢ern ha%is unless Jt is Inappropria￿ to pTesume that the charity
will coniinL]e in busineEs.
The trustees ate responsible for keeping proper aceountinE r¢¢ords that disclose with reas(Jnable accuracy ar any
time ihe fI￿nCIal position of Gh(￿lIY and ¢n<ible them ￿ ensure that ihe rJn￿Lia1 slaten￿￿¢S Comply with th¢
Charities Act 2011. the applicable c.harities IAccoiit)is and Repor1} Regulations and the provisions of the
reasonable ste￿% for the prcvention and d¢t¢ction of traud and oiher irregularities.
Approved by th¢ tru.8tees of the Ch￿ilY on
And signed nn its behalf
rDH&
Trustee

Parkstone Church CIO
Independent Examiner's Report to the Trustees of Parkstone Church CIO
I rcport on the accounis ol. Patkstone Church CIO for ihe year ¢nded 3 1st Dccernber 2025. which are set
oui on pa¥es 4-10
Respeitive respon%lbilities of the trustees and csamlmer
The trustee's are IEsponsible for the preparation of Ihe aceollnis. The charity's injstees consider
that an audii is Ilot required for this year undeT section 144121 of the Charitieg A¢t 2UI I (the Chariti&% 201 L
Aci) Rnd thai an indepcnd¢ni cAaminatTron ss n¢Ldcd.
It is my responsibillty lo:
examine the aclounls under section 145 of the 2a1 I Chariii&s Act
follow thc PlULedures in the geiieral dll"eeiions given by ihe Charity
Cornmission (under settion 14515>lbl of the Charities Aet and
ro siaic whether pariicular malt¢rs have rome tu tny alteniion
Basis ot Independent Examintr's Stat¢n*nt
My eX￿￿]￿all0￿ was L￿'r1ed uul in accordance with gencral Directions givcn by th¢ Charity Comtnission.
An examinaiion includcs d review of the accounting rec'ords kepi by the charity and a ¢ompaiison of th¢ 1￿COUnts
pres¢ntcd wilh thts￿ r¢cords.
It also include5 consideratitsn gf any unusual items or disclosures An the accounts. and seeking explanations fTOTtI the
trusiee% euncerning any such mailers. The prncedures tsnd￿1aken do noiprovide all the evidence th￿1 would be
i'equired in 8n audit, and cons¢qucntly no Opillion is given as lo whether the accounts present a'true and fair" Vicw
and the tEPOrt is limit¢d to those matiet5 Set out in the Statement below.
Independettt Exgminer's Statement
In connecliun with my examtnation, no n￿tler has ¢orne to my attention..
11 I which gives me rcasondble Laus¢ to believe thai in any material respect the requirements:
To kcep accountino recoiyis in aceordynce with section130 of thc 2011 A¢t- and
To prepare accovnls which liccord with ihe dLcounting recordg and comply with th
alcounting requiretn¢nts ot thc 2011 Act
Havc not heen met.. ()r
(21 to w'hich, in my opinion, aii¢niiLTrn should be drawn in order lo cnable a proper undersrandintt
of the acLuunis kn he rea¢hed.
Signed
>ue Wlntle FMAAT

Parks'tone Church CIO
Statement of Financial Activities
For the Year ended 31st December 2025
2025
2024
UDrestrfficted
Funds
Unrestrlcted
Funds
ReL'eipts
Ineome from
Regular CTiving & Collcctions
Little Saints
Rer
24,926
28.799
33
Retital Income
1,12
14075
40,921
Mans Rental Income
Total IDcoiJie
14,525
43.357
P&yJneDts o
Adrninistsaiion
9,2117
41,985
3,879
9,997
4,083
1,740
3.(X)a
3.220
25.919
BuÈlding Costs
Chur¢h Expense5
Development
Evangelism
Pay[￿1]
Tot#] P4yments
516
2,544
2,401>
57,292
Net Ineomel(Expenditure)
(16J71)
17,438

Parkstone Church CIO
Statement of Assets Liabilities
For the Year ended 3151 December 2025
2025
2024
U￿trICted Unrestricted
Funds
unds
Fixed Assets
Chuwh Mattse
Church Premises
846,000
1,674,000
2J2U,IMTrO
146.298
5 14,538
66CJ,¥36
C85h at Bank and In Hand
Natwest Account
32.742
49,113
Assets.
2,$52.742
709.949
Not
The properites wcre revalued in Julle 2025. by Blake$ Survevors

PARKSTONE CHURH CIO
Notef* tv the Finanual St#temenls
For the Year ended 3J.4t Deeember 2025
I. ACCOUNTING POLICIE
Statement of Compli#nte
Tlie tijiancial sla￿men1S have been prepared in aL£orda￿t with Accounting and Reporting by ChdTiiies Staiemeni
uf ReL()m]nended Pracuce applicable 10 charities prep￿ng their aLeounis in aLcord&nce with the FinanLial
R¢poning Standard applicablg itt the UK REpublic of Ireland IFRS 1021 (effective l January 20151
Icharities SORP IFRS 102). the Financial st￿dard applicable in the UK and Republic of liEland (FRS 102} and
the Charitie% Act 2011.
Basis of Preparation
Parkstonc Church meets the definitson nf a public benefit entity under fRS 102. As.seis and liabilities are initially
r¢Lobrniyed al historic&1 cotsi or uansaciion value unLess otherwise staled in the relevant dLcounting policy notes.
ExÈmpti*u frDJn preparing a cash flow stAtemeDt
Thc ch￿lty oprcd to e￿lY ddupt Bulletin I publLbhed on 2 Feb￿￿ry 2010 and have therefore noi in¢lud¢d & ca8h
flow statement in these financial staiements.
Gibing CO￿¢￿
The trustees Consider thai there dre no material uncetiainties dbout the charily'b abiliiy io continue a.% & going
¢oncem.
Ineume EllduWn￿nts
This represents the total value of all donated Incon￿ and any other incotn¢ r¢e¢ivabl¢ by the Lhaiity. This ig
ac¢outtted foi. oil a reLeivable basis. tkgacies are accounted for only whcn thcrc is both th¢ ceilainty of rcccipi
and the ability Iv provide an accurate valuaiion.
ExpeJKl1￿re
ResouTce& mostly expended on gtants. tv individuals and orgaTri5ations as approved by the b￿ste¢S duTing
Irustee meeiings.
Charit#ble Aclivitffie$
Charitable expenditure comprises those costs incurred by the charity in the delivery of actiiities and gervie¢s for
its beneficiaries. li inclu(l¢s both costs that can be allocat¢d dirccily to such aciivilies and those costs of an
indiiKt natur¢ ncc¢ssary ILI support them.
Grnnt Provisions
Provision5 for ants are madc wh¢ll the intcntion to make a grant has bcen communicaitd to the recipient bul
IheTC uRccnainty 2h)ui ¢ither the li￿l￿¥ of the 8rdnt or the ¢llllDUllt ot grdni payable.

PARKSTONE CHURCH CIO
Notes ts) the FIn4￿cIal Statements
For the Year ended 31st December 2025
SupNJrt Costs
Suppurt CO%LS include central functions and have bren allocaTrd io activiry co%t categories on a basis consistent
with the ￿$¢ of re%ouree8, for example. allocating properly ¢osls' by floor areas: or per Capita. staff co$ts' by the titne
spejit aÉJd other costs by their usage.
Governance Costs
Thcsc includ¢ the costs aiiribuL%bl¢ to the charity's complithre with coJistituiiona] and 5tatuiory requiremenrs.
illcluding audit, straieuic mana8ement and trustees, meetings and reimhursed expenses.
Taxation
The Cl￿AlY ig eonsidercd to p&8s th¢ tests set out in Paragraph I Schedule 6 of thc Fin*n¢e ALI 2010 and therefore
li meets thc definition af a chdllt(ible con)pany foi UK eutpofdlion tax puTroses. Accordingly, the chari(y is
poieniially eKett]pt trom iaxation ui respeci ot income or capital gains receive(I within categorie% covered by
Chaptei. ? Pari I l ot. the Coi'poration A¢t 2010 or Scction 256 of the Taxation or Chargeable Gains Act 1992.
to the ext¢ni thai bULh income or gains are applied exclusively io charirable purpose%.
Tangible Fixed Assets
T￿￿TIble Fixed Assets are stated at their cosi vaLue and revaluauons noted on the Staiem¢nt Lif Assets and
Liabiliiies on Pagc 5
Cath aod Cash EqulvaJeDts
Cash and cash equivaltnts comprise cash on hand and call depobits.. and other short-term highly liquid inv¢%thients
that are readily ¢onvertible to a known amount of cash and are subject to an in8ignificanirisk of change in value.
Fund Structsre
UniESIFiLled income funds are general funds tha( are available tor u%e at the twstees, discretion in turther4thee or
the objcctiv¥ of the charity.
Financial IDstnllD¢nts
Clossificatio
Financid ass¢ts and financial liabiliti¢s are rtcvgnised when the chari(y becomes a p￿[Y to th¢ conthi¢Lual
provisions of the inslrurnenl.
Fin&nciJl liabiliiies and equity in%trumcnis are cldssifjed according 10 the Subst￿Ce of the contractual
gemenis cntcr¢d into. An equity instrnmeni is any contTact tl)at ¢vid¢n¢es a residual inl¢ir¥t in Ihe dsseis of
the charity aficr deducting all of its liabilities.

PARKSTONE CHURCH CIO
Note8 th the Flnanclal St&temeTrts
For the Year ended 31st Dec¥mber 2025
R¢cognilion undMeusuremÉmt
All fsllancial assets and liahiliti¢s are initially mekLsured at iransactson Price (including ti'ansaction costs), except
foi. rh()se lin¢incial assets clai%JfiEd as at fair value though profit or loss, which are iniiially measured at t&ir value
IwhiLh is norn]211y the transactiot) price excluding ThnsaLiion costs). unless the arrangement constitute% a
r￿all¢l￿g transaction. If an arrangcment constitutes a financittg transaction, rhe financial asset.
The bcst cyidence offair valu¢ 15 a quoted price for idcnucal asset in Lin active llw'ker. When quoied prices aiE
unavailable, the price of a recent transaction for an identica] provid¢s evidence of fair value *% Inng as there
has not been a significant Lh4￿86 in eci)noniic circumstances or a sigt]ificant lapse of ¢imL since the transaciion
took place. Ir the marke( is n()t active and recent transaciions ol. an identical assei on their own nol a good
egtimate of tair value. Ihe fair value is eglimaled by using a valuation technique.
Ai 31 December 2025 thcrc were no outstanding capital conm)itments
At 31 December 2025 thete were no contract commitments outstanding.

Parkstont Church CIO
Reeeipts and PaYn)ents Accounts
For the Year ended 31st December 2025
2025
Unrestrici<xl
2024
Unre5trided
Ref
Funds
Funds
Incon)e & F.lldoWn￿nts fn)m
DoD8tions & L£'gaeles
Liille Saini
M4ns¢ Rental Income
Regular (Jiving & Colleclitsns
R¢ntal Incom¢
14,875
24,Y26
1,120
40,921
14,525
28,799
43.357
Paym¢nts on Charitahle Aetivilffies
Adrninlstration
A￿OUn￿nt
Bookkeeping
135
130
660
667
1,023
26
763
92
54S
txgal l•ecs
l.icences
Office Exp¢n5¢5
Sub%cripliovLS & T)ues
Telephone & Intrrnei
5,495
321
54
609
9,207
633
-3,879
Bulldlng Costs
Cledning
Cnw)cil T
EleLtri¢ity
Gas
Insui?n¢e Church
Insurattce Man*e
135
190
56
2.638
1,759
1.839
1,252
26,568
7,605
133
41,Y
3.391
2.996
1.540
1.059
194
Repairs & Maintenance Church
Rcpairs & Maitttenan¢e Manse
Watrr
498
129
9.997
Church Servicc F.xpenses
Eviln¥elism
Hospitality
Mini%ty
ServiLe Costs
Speakerb
Tuck Shvp
488
1.610
640
256
147
1.500
82
640

Parkstone Church CIO
Receipts and Pavments Accounts
For the Year ended 31st December 2025
2025
2024
Unre5tTlCtEd Unrestrlrted
Funds
Funds
Ref
Income & EndowryDents from
Donatit)ns & I￿gaLl¥s
Lsttle Saints
Man5c Rcnial Income
Regular Giving & Collections
R¢nial Inrvrnc
33
14,875
24.926
1,120
4n,92l
14,525
28.799
Payment8 on Charitable Aetivities
Administration
Aecouniant
Bookkeeping
135
660
130
667
60
1,023
t£gal Fee$
LiLence.
5.495
321
54
1.813
669
Y.2117
763
92
oirice Expcnsts
8ub8cription% & Dues
-I-elephone & Iniernei
545
633
3.879
Bullding Costs
Cleaning
Council Tax
135
56
2.638
1.759
1.839
190
Electricity
Gag
Insurance Chuirh
3,391
2.996
1,540
1,059
194
498
129
9.997
Lnsuranee Mthse
Repairs & Maintenance Church
Repairs & Maintenance Mdnse
Water
1.252
20.568
7,605
133
41.985
Chureh Servlee ExpeDses
Evangelibm
Hospitality
MinibtTy
Servicc Cost
Speakers
Tuck Shop
488
1.610
256
640
147
1,500
82
4.n%.3
10

Parkstone Church CIO
Receipts and Payments Aeeounts
For the Year ended 31st December 2025
Payments Charitsble Aetivitie5 Continued
Ref
2025
2024
Unrestri£tsd Unrestricleil
Develupjnent
Music
5]6
1,740
Evangellsm
li)dia Pi-I>jtiLt
Kolkata
Philip Lock
Spanish Gospel Mi5SLon
(136
636
750
750
636
636
2,$44
750
3.000
l)ayroll
Administratoi.
Junitor
900
2.4
2.320
3.220
2.4￿1
Tralnfing
Total Paytnents
57292
25.919