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2022-12-31-accounts

Trustees'
Annual Report
Independent
Examiner's
Report
Receipts and Payments
Summary
Statement ofAssets and Liabilities
Notes to the Financial Statements

SADAMC SADAMC SADAMC
Receipts and Payments summary 2022
2022.00 1021,00
Unrestricted Restricted Endowment Total funds Total funds
RECEIPfS
Voluntary
receipts
E E E E
Pla n dg eg 1675500 0 OD O.DO 16755.00 20645.90
Giving el services 70243 0 OD O.DO 702.43 698.83
A
I
other g nng/voluntarl receipts KSC 5040 DO 000 000 504D00 5D40 00
Do etions(ge e 1763.69 0.00 000 176369 4555 96
F to ore 163150 000 000 163150 3472.22
Fees due to DBF O.DO 1783.DO 0.00 178300 3688.00
1 Wedding staged paym anti 230300 2500.00 0.00 480300 2000.00
Taxrecovered 2 Gift Aid (Planned givingl 293400 O.DO 0.00 293400 5666.06
VAT(NLHF project) D.OD 1188.40 000 118840
3112982 547140 0M 3660122 45766 97
Adlvl ties far generating funds Coffee 663.29 0.00 0.00 66329 22.00
1675.00 0.00 0.00 167500 100,27
Soup luncher 584 96 ODD O.OD 58496 23 20
3 Warm Space(heating
donations
859.31 D.OO 0.00 85931
2400.DO 000 0,00 240000
Investmentlncome O.OD 0.00 4063.69 406369 4056 98
Interest 270.15 0.00 270 15 51.50
CI urrh acti Itlei 1475.60 D.OO D.OO 147560 50740
Chantv coDections 000 000 O.CO 000 165.00
Total receipts 39058.13 547140 4C63.69 48593 22 50693 32
PAYMENTS
Church Activities
Stipendcontribulions/share/amassment 4 1000000 000 0.00 LDDDO.OO 1DOOD 00
Clergy and staFfing corts 5 Mmistry costs O.DO 000 0.00 0.00 735 15
H t, light, t 16835.63 000 O.DO 16835.63 12632 78
Upkeep ofservices 177.38 000 0.00 177.38 16965
Bells, organlsts, virgers 2515 00 2515.00 1480.00
Minor repairs, organ tuning 1679.17 0 OD 0.00 1679.27 4261.30
Churchyard maintena ce 261000 000 000 261DOO 108000
Admm 68 00 000 000 6800 406 56
Maganne 2378.24 D DO O.DO 2378.24 666 22
Fees returned Deposits 000 000 000 0.00 500 DO
to Diocese 000 300000 0.00 300000 77600
000 000 0 OD 000 0.00
M isiongiv g and d aoo s 651 75 000 0.00 65175 600.50
6 Sundnei 0 00 000 0 00 000 LOM.OO
NH LF Pro)em 0 OO 511410 000 511410 15229 10
3691527 8114.10 0.00 45029 37 ~953726
Costs of generating funds 0.00 0.00 0.00 0.00 O.DO
Revaluation oflnvestments 0 OD 0.00 1694151 1894151 (13419.00)
Internal transfem 8615.39 (il551.70) (4063.69) 0.00
Total Payments 45330.66 3562.40 14877.82 63970.86 36118.26
Excess of Receipts over Payments (6472.M) 1909.00 (10614.11) (1M77.66l 14575.06
6 shi b nk d th dat lie uam2022 4616981 1053600 156493.00 213198.81 198623 00
Ca hi b k 6 th d t31 ~ b 2022 47924.66 12445.0D 137551.49 197621.15 213198.00

Statement ofAssets and Liabilities
TOTAL FUNDS
Unrestricted Restricted Endowment 2022 2021
funds funds funds
6 5 E 5 6
Cash Funds
Lloyds Bank Current Account 26,377.09 12,445.00 38,822.09 35,528.39
Lloyds Magazine Account 6 434A2 43442 434.42
Cash in hand 1500 15.00 15.00
Other monetary
assets
Gift Aid recoverable 2 work in progress
investment Assets at 31/12/12
CCLA 1 6060610010 Development Fund 19,560,54 19,307.00
CCLA 2 606061001F Sale ofRectory Site 27,201.23
CClA 3 6060610015 Mission Room Recoupment Order 17,718.39 156,493.00
CCIA CBF Investment
1060016875-21911STURRT
92,631.87
CFB Deposit 06982010 1,437.61 1421
Tote Is