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## **Costessey PCC** 

## **Financial Statements for the Year Ended 31st December 2025** 

## **Financial Report** 

## **Overview** 

The Exodus and Peal Boards at St Edmunds were restored. Grants for this work were obtained from Church Building Council £2,500; Cleary Fund £2,500; Morris Fund £2,000 and Paul Cattermole Fund £360. 

Solar panels installed in 2024 are now generating a small income in the winter months which is expected to increase in the summer with more sunshine. 

The kitchen upgrade was completed during the year and two successful parish lunches have been enjoyed. 

Stay & Play is going from strength to strength and remains self-sufficient all thanks to Jackie and the team . 

## **Receipts** 

Total Income for 2025 was £93,842.(2024 £106,232). This is a decline of 12%. This is mainly due to there being no designated Gift Day. £8,975 was however gifted through one off givings by parishioners (2024 £33,944 specifically for the St Helens roof replacement.) 

Planned Giving was £55,786 (2024- £44,152) This is an increase of 26% and folows from an appeal from James at Vision Sunday earlier in the year for parishioners to review their giving. 

Gift Aid received £10,736 (2024 - £10,712). 

£30,800 (2024 £29,951) was received in donations and gift aid to cover salary costs.£23,400 of his was transferred to the Deposit Account. 

The Deposit Account balance at 31/12/25 is £87,274 (2024 £86,401) 

The fund for the refurbishment of St Helens stands at £5,568. (2024 £10,231) 

During the year £31,348 (2024 £76,879) was spent on St Helens refurbishment. This was fully funded by a donor. 

## **Payments** 

Total expenditure was £89,661 (2024 £134,745) 

The parish share request for 2025 was £41,127 (2024 £39,861). Both years were paid in full. 

The parish share for 2026 is set at £42,772 and the direct debit has been increased to £3,564 pcm. This will result in parish share being paid in full. 

IT expenditure of £1,9 06 (2024 £1,719) relates to Church Suite, Quickbooks, Proclaim software, Church Website and Broadband costs. 

Staff payroll costs were £32,954 (2024 £31,687) 

Mission Support relates to Moldova £3,297 (2024 £1,500). Monthly payments were increased frpm £150 to £165 from 1 July. In addition there was a visit by 8 members of St Helens in October. It was agreed by the Finance committee that the church would pay for James and John's fares and acoomodation and underwrite any shortfall on fundraising. This totalled £1,407. 

Services & Events £2,402 (2024 £641). Major items were baptismal pool, church meals, temporary staging for Christmas services and printing  orders of service. Resources & Education £4,311 (2024 £3,801) Major items were design and print costs, books, training courses and  courses provided by the church. 

General Admin £2,289 (2024 £107) Major items were for assistance in developing systems to enable James to delegate more of the administration and bank charges. Subs/Licences £2,318 (2024 £1,398) Major items were music licences, Norfolk Gospel Partnership and the defibrillator. 



## **Costessey PCC** 

## **Financial Statements for the Year Ended 31st December 2025** 

## **Financial Report** 

## **St Edmunds** 

Heat Light and Water expenditure was £1,974 (2024  £2,383) 

Insurance expenditure was £2,597 (2024  £2,334) 

Maintenance expenditure of £2,945  (2024 £3,596) Major items were chairs £1,177, fabric £558, electrical £449, candle stand £181, vacuum cleaner £189 and fire extinguisher checks £116. A parishioner made a donation in respect of the chairs. 

St Helen's Heat, Light and Water costs tota £4,454 (2024 £5,920) Insurance expenditure was £1,189 (2024  £1,153) Payments to the cleaner were £2,459 (2024  £1,891) Maintenance expenditure was £6,429 (2024  £47,789) Major items were Kitchen refurbishment £4,663. This was met by donations made by a parishioner. Fabric £499.20,Mower repairs £254, Fire&Electrical testing £250 Electrical repais £165 and vacuum cleaner£152. £850 was spent on upgrading audio equipment which was paid for by a donation from a parishioner. 

## **Magazine** 

Total income for the year is £4,846 (Advertising £2,350 Sales £2,496) (2024 £5,547) Total expenditure  was £4,099 (2024 £3,748)making a profit of £747 (2024 £1,799) Thanks again to Lynda and Eddie for photos  and for all their hard work this year in making the Costessey News a success. 

## **Gifts to Mission & Charities.** 

The following collections were made in the year. Royal British Legion 

This report has been prepared by Graham Gardner. 



## Costessey PCC 

Financial Statements for the Year Ended 31st December 2025 

Receipts and Payments Accounts 


**----- Start of picture text -----**<br>
General  Fund<br>Unrestricted Restricted Total Total Total Total Total<br>General Designated Funds 2025 2024 2023 2022 2021<br>Receipts £ £ £ £ £ £ £ £<br>Planned Giving 55786 55786 44125 47573 24050 19405<br>Contactless Giving 1196 1196 459 132 229 476<br>Plate Collections 3685 3685 4113 5632 6538 4490<br>Donations 773 773 828 496 375 857<br>Gift Aid Rebate 10736 10736 10712 6242 4801 4901<br>Fees (Gross) 4998 4998 6523 6245 8070 7726<br>Admin Fees 323 510<br>Fund Raising Activities<br>Magazine Adverts 2350 2350 2810 3685 3313<br>Magazine Sales/Misc 2496 2496 2737 2492 1055<br>Hall Lettings 2070 2070 2509 2887 1583 755<br>Other Fund Raising (book Sales) 0 330 2986<br>Social Functions 32 426 138<br>Children & Youth  20 120<br>Play & Stay 710 710 894 780 477<br>Flowers 130<br>Sundry Income (formerly Sunday Coffee) 544 113 243 31<br>Endowment Dividends 325 325 317 312 518 20<br>Bank Interest 2277 1349 3626 4488 1485 310 300<br>Legacies/Bequests 23400 23400 27272 34757 2841 2250<br>Grants - CPR  7960 3098 1000<br>Funds towards St Helens Refurbishment -3165 11268<br>Gifts Day 8975 8975 33944 22330 23820<br>Transfer of Funds -800 800 1125<br>Sundry 67 67 157 366 19<br>FOSE Receipts<br>Billable Expenditure<br>Totals 93842 25677 1674 121193 138309 119497 83878 45474<br>**----- End of picture text -----**<br>




## Costessey PCC 

Financial Statements for the Year Ended 31st December 2025 


**----- Start of picture text -----**<br>
Receipts and Payments Accounts<br>General Fund<br>Unrestricted Restricted Total Total Total Total Total<br>General Designated Funds 2025 2024 2023 2022 2021<br>Payments £ £ £ £ £ £ £ £<br>Parish Share 41127 41127 39861 35000 31500 18000<br>Clergy Expenses 638 638 487 588 241 569<br>Fees to Diocese 2723 2723 3388 3208 4494 5023<br>Mission Support 3297 3297 1500 0<br>Clergy Float 500<br>Church Running Costs<br>Services & Events 2402 2402 641 1753 1070 773<br>Worship Resources 389 389 0 89 3 247<br>Resources & Education 4311 4311 3801 1686 434<br>Altar Requisites 463 463 485 714 0 0<br>General Admin  2289 2289 107 124 775 254<br>IT Costs 1906 1906 1719 1521<br>Mobile Phone 112 112 123 102<br>Printing Postage and Stationery 373 373 808 681<br>External Examiner Fees 100 100 100 100<br>Flowers 0 100 149 50<br>Subs/Licences 2318 2318 1398 839 673 296<br>CPR Expenses 0 5740 4902<br>Exp covered by gifts 0 21692<br>St Edmund's<br>Heat,Light & Water 1974 1974 2383 1969 2491 1446<br>Maintenance 1768 1177 2945 3586 3319 20 172<br>Car Park Rent 10 10 10 20 0 10<br>Supplies 0 0 0 273<br>Insurance 2597 2597 2334 1992 1801 1729<br>Organists 760 760 960 730 620 790<br>Organ/Piano Maint 460 460 250 350 520 439<br>St Helen's<br>Heat,Light & Water 4454 4454 5920 3240 4549 1451<br>Maintenance 6429 6429 47789 12224 2079 5871<br>Caretaker 2459 2459 1891 1700 1413 216<br>Supplies 658 658 742 263 114 209<br>Insurance 1189 1189 1153 820 817 781<br>Youth and Family Expenses<br>Youth Events 0 117 468<br>Play & Stay Expenses 880 880 795 1009 309<br>Youth Worker Payroll Costs -734 25300 24566 31687 9609<br>Fund Raising Expenses<br>Magazine Expenses 4099 4099 3748 3646 2920 0<br>Social Functions 0 245 0<br>Hall Management 0 0 0<br>Transfer of Funds 0 3151 0<br>Sundry 210 210 559 2983 315<br>Totals 89661 26477 0 116138 158725 93253 89965 39382<br>**----- End of picture text -----**<br>




Costessey PCC 

## Financial Statements for the Year Ended 31st December 2025 


**----- Start of picture text -----**<br>
Movement within Funds & Balance<br>Opening  Closing  Closing  Closing  Closing<br>Balance  Balance  Balance  Balance  Balance<br>01/01/25 Receipts Payments 31/12/25 31/12/24 31/12/23 31/12/22<br>Endowment Funds<br>Chancel 1128 113 1241 1128 1074 984<br>Churchyard 3789 408 4198 3789 3607 3276<br>Clive James 502 52 554 502 478 436<br>St Helen's Fabric 4020 182 4202 4020 3827 3711<br>Sub-Total 9440 755 10195 9440 8986 8408<br>Restricted Funds<br>Bells 1568 71 1639 1568 1493 1447<br>Choir (St E) 234 11 245 234 223 216<br>Choir (St H) 403 18 422 403 384 373<br>Curson Legacy 1407 64 1470 1407 1339 1300<br>Fabric (St E) 1260 57 1316 1260 1199 1163<br>Organ Maintenance 38 2 40 38 36 35<br>M H Richardson Family 9487 428 9915 9487 9031 8759<br>M H Richardson St H Roof & Boiler 4837 218 5055 4837 8633 8372<br>Curson Bequest re G & M Munday 1107 50 1157 1107 1054 1021<br>Sub-Total 20341 918 21259 20341 23392 22684<br>Unrestricted Funds<br>Designated<br>Bell Fund 31 1 32 31 29 27<br>Church Linen (St E) 200 9 209 200 190 184<br>Education 0 0 0 299 290<br>Equipment (St E) 537 537 537 511 496<br>Equipment (St H) 86 24 110 86 82 80<br>Fabric (St E) 4125 4 4129 4125 3927 3808<br>Fabric (St H) 0 186 186 0 731 709<br>N.Chamberlain (St H) 289 13 302 289 275 266<br>Printer/Copier 378 17 395 378 479 657<br>Muriel Webb (St H) 1105 50 1155 1105 1052 1020<br>N&J Vitkovich re Youth and Children 495 22 517 495 471 457<br>R Rouse Community/Outreach/Projects 0 0 460 446<br>R Piesse - Gift for Education 1288 58 1346 1288 1226<br>Gift re Mission 25696 9575 2910 32362 25696 12037 2415<br>J Price salary Funding 22390 10489 22390 10488 22390 24157<br>CAF Funding St Edmunds Fabric 5102 1176 3925<br>General Funding 12626 12500 126<br>Sub-Total  56620 38177 38976 55820 56620 45926 10857<br>General Fund 10433 93842 89661 14614 10433 38946 44751<br>Total All Funds 96833 133692 128637 101887 96833 72570 86700<br>Total Funds Represented By £<br>Natwest Current Account 2108<br>Natwest Business Reserve Account 12505<br>CCLA Deposit Account 87274<br>101887<br>**----- End of picture text -----**<br>


Approval of Financial Statements. 

The 2025 Financial Statements and Balance Sheet  were approved at a meeting of the PCC, held on 19/01/2026. 

Margaret Proudfoot, Churchwarden 

Revd James Pinto, Priest in Charge 

Kevin Payne, Churchwarden 



## Costessey PCC 

## Financial Statements for the Year Ended 31st December 2025 

## Statement of Assets and Liabilities 

|Restricted<br>Total<br>General<br>Designated<br>Funds<br>2025<br>£<br>£<br>£<br>£<br>Cash Funds:<br>-<br>Bank Current Account<br>2,108<br>-<br>2,108<br>Bank Savings Account<br>12,505<br>12,505<br>Bank Deposit Account<br>55,820<br>31,454<br>87,274<br>14,613<br>55,820<br>-<br>31,454<br>-<br>101,887<br>Other Monetary Assets<br>Liabilities<br>Charity Donation to<br>-<br>-<br>be forwarded.<br>Investment Funds Market Value<br>2025<br>at 30th June 2025<br>£<br>**Chancel Fund - 126001310S**<br>94.92 income shares in the CBF of the Cof E Investment Fund<br>2107<br>**Churchyard Fund - 126001195S**<br>365 income shares in the CBF of the Cof E Investment Fund<br>8102<br>**Clive James Memorial Fund - 126001304S**<br>45.37 income shares in the CBF of the Cof E Investment Fund<br>1007<br>Unrestricted|Total<br>Total<br>Total<br>Total<br>Total<br>2024<br>2023<br>2022<br>2021<br>2020<br>£<br>£<br>£<br>£<br>£<br>0<br>0<br>50<br>300<br>250<br>10,433<br>38946<br>12702<br>19307<br>15,809<br>86,401<br>78304<br>41949<br>39404<br>36,864<br>96,834<br>117240<br>54701<br>59011<br>52,923<br>20<br>2024<br>2023<br>2022<br>2021<br>2020<br>£<br>£<br>£<br>£<br>£<br>2146<br>2031<br>1961<br>2223<br>1,945<br>8491<br>7810<br>7541<br>8548<br>7,478<br>1055<br>971<br>937<br>1062<br>930|
|---|---|






## Independent Examiners Certificate 

> **Report to the trustees/ members of:** Costessey PCC 

> **On accounts for the year ended:** 31 December 2025 **Charity no (if any):** 

I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended      /      /       . 31  12   2025 

## **Responsibilities and basis of report** 

As the charity's trustees, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”). 

I report in respect of my examination of the Trust’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act. 

## **Independent examiner's statement** 

I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination which gives me cause to believe that in, any material respect: 

 the accounting records were not kept in accordance with section 130 of the Charities Act; or 

 the accounts did not accord with the accounting records; or 

 the accounts did not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a ‘true and fair’ view which is not a matter considered as part of an independent examination. 

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached. 


**----- Start of picture text -----**<br>
Signed:  Date:  29 March 2026<br>Name:  Marie-Anne Edwards<br>Relevant professional<br>AAT<br>qualification(s) or body<br>(if any)<br>Address:<br>156 Fakenham Road<br>Briston<br>Norfolk<br>IER  1  Oct 2018<br>**----- End of picture text -----**<br>


