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2023-12-31-accounts

Financial Report for St Mary’s with Holy Apostles For the year ending 31[st] December 2023

Firstly, I would like to thank Kimberley Young, from Asquith & Co Accountants, for all her work in preparing the Financial Statements.

There are others, who have contributed towards managing the church finances whom I would also like to thank:

The contents of this report are based on the Financial Statements for the year ended 31[st ] December 2023, largely from the summary page.

Income

From page 1 of the Statement of financial activities, comparisons can be made between 2023 and 2022.

Yearly comparison of total income

Total income 2022 £150,172
Total income 2023 £153,501

This shows a small rise in income for 2023, compared with 2022, of £3,329 . The main reason for this was a rise of £7,250 on voluntary income – ie donations. (Some of the other sources of income were less than in 2022.)

Income Analysis

Voluntary income £87,709 Activities for generating funds £41,912 Income from church activities £19,413 Other incoming resources £3,452 Investments £1,105

1

Gift Aid (This is included in Voluntary Income.)

We recouped £12,105 from HMRC through gift aid. (‘Tax recoverable’ page 2, paragraph 2a of the Financial Statements)

If you are a tax payer and gift aid your donations, we can claim 25% of the total amount you give in one year. This is £25 extra for every £100.

If you are a tax payer and haven’t already considered gift aiding, please contact me for further information.

‘Activities for generating funds’ comprises of the following:

Hospitality £ 8,969 Car park £32,944 Total £41,912

‘Income from church activities’ includes property income for the use of Parish House, rental income from the curate’s house and the fees for weddings and funerals.

Total £19,413

Total Incoming Resources for 2023

Unrestricted funds £145,477 Restricted funds £8,024 Total income £153,501

The restricted funds comprise of donations given to special funds. They can only be spent for the specific purpose for which they were given. (Page 2, section 8a, of the Financial Statements shows the detail.)

Grants, which are restricted, comprise of a grant of £4,000 from Church Lands, for maintenance and repair of the fabric of St Mary’s and for insurance of the building.

2

Expenditure

Total resources expended:

Unrestricted funds £145,484 Restricted funds £ 16,383 Total expenditure £161,867

This is £7,723 greater than the expenditure in 2022.

Expenditure Analysis

please read the legend horizontally

Diocese £69,500

Church running and maintenance £28,731 Parish House running costs £11,436

Staff costs £23,588

Other ministry costs £9,917 Fund raising costs £3,836 Other costs, ESOL £1,958

Other ministry costs £9,917 Mission giving £5,820 Fund raising costs £3,836 Office costs £2,258 Other costs, ESOL £1,958 Costs of Curate’s house £1,787 Bank and financial costs Telephone, broadband, IT £1,434 £1,111 Other expenses £490

Mission and charitable giving from the mission account

The church has given £5.760 to support mission and to make charitable donations. This has been allocated as follows:

ACK St Stephen’s School Kenya £1,000
Chris and Suzy Wilson, working with CMS in Ethiopia £ 1,500
Bujumbura Christian University (Love Burundi) £850
The King’s House, Kenya £755
DEC appeal Turkey, Syria earthquake £500
House of Hope, Haiti £755
Grant for St Martin’s School Scarborough £200
Grant for Friarage Community School Scarborough £200

3

Charitable giving from church collections and events

In total, £4,354.75 has been given for various charities. This does not appear in the financial statements as it is not our money. We just act as an intermediary. The details are below. A big thank you to all those who organised events and supported these causes.

organised events and supported these causes.
Rainbow £10.44
Gaza appeal £52.60
RNLI memorial service £225.51
ACK St Stephen’s School, Kenya (largely quiz night
£1,381.37
Turkish earthquake appeal £338.69
Love Burundi book sales £145.52
Friends of St Mary’s - fower festival
£2,200.62

Transfers between funds

Every month, £480, is transferred from the main account to the Mission account to fund mission spending. This is £5,760 for the year.

There has been a transfer of £847 from the 20s-40s account (restricted) to the main account. This was suggested by the vicar and agreed at a PCC meeting. This money was an expense relating to the refurbishment of the 20s-40’s room, which it was felt could be covered from their restricted fund.

End of year totals

----- Start of picture text -----
180,000.00
160,000.00
140,000.00
120,000.00
100,000.00
2022
80,000.00
2023
60,000.00
40,000.00
20,000.00
-
Income Expenditure End of year
(20,000.00)
balances
----- End of picture text -----

4

Carry Forward Balances

These will be found at the bottom of the page 1 of the financial statements.

Unrestricted balance £119,046 Restricted balance £17,402

Looking at these can give a misleading impression. The £119,046, in the carry forward balance of the unrestricted column, is not just the total cash the church has in its bank accounts. It also includes the rather outdated valuation of £55,000 for the curate’s house. This is an asset, but not money in the bank.

As has been seen, there has been a small increase in income in 2023. £81,221 from voluntary donations, gifts and income from gift aid, account for this in particular. To all who give financially to the ministry of the church, a big thank you for your generosity. However, expenditure is £7,723 greater than 2022, which accounts for a larger year end deficit. (See the chart of year end totals above.)

Even though our resources are diminishing for another year, we have still been able to meet our commitments.

Let us together thank the Lord that,

“All we have needed, the Lord has provided Great is Your faithfulness Lord.”

Looking forward to the current year

As you may know, there have been considerable repairs to the church building, which are way beyond the resources of the PCC accounts. We also need a new heating system, which will be very costly. The Friends of St Mary’s have been collecting money, for many years, for the upkeep of the church fabric. For this, I am extremely grateful, because they have been able to support us in financing these bills. However, their resources are being significantly drained. If you are not a Friend of St Mary’s, please would you consider this?

Let us also, together, seek the Lord’s provision for our needs this coming year.

Fran Doble, PCC Treasurer

5

The PCC of St Mary’s with Holy Apostles

Scarborough

Financial Statements for the year ended 31[st] December 2023

Approved by the PCC ………………………………………………….

Keith Revell (Lay chair of the PCC)

Date 19th March 2024………………………………..

Parochial Church Council of St Mary with Holy Apostles, Scarborough Charity Number 1186990 Independent Examiners Report Year Ended 31 December 2023

I report to the trustees on my examination of the accounts of the above charity for the year ended 31 December 2023.

As the Charity trustees, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011.

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

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;

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 obtain a proper understanding of the accounts to be reached.

Approved by:

Date

14/03/2024

……………………………………….. …………………………….

Christopher Mattinson FCCA

Asquith & Co Accountants Ltd Rowan House 7 West Bank Scarborough North Yorkshire YO12 4DX

Page 1

Parochial Church Council of St Mary with Holy Apostles Statement of financial activities

For the year ending 31st December 2023
Note
Incoming Resources
Voluntary income
2a
Activities for generating funds
2b
Income from investments
2c
Income from Church Activities
2d
Other incoming Resources
2e
Not Home Alone
2e
English speakers of other languages
8b
TOTAL INCOMING RESOURCES
Resources Expended
Church Activities
3a
Fund Raising costs
3b
Staff Costs
4
Other costs
5
TOTAL RESOURCES EXPENDED
NET INCOMING RESOURCES BEFORE
OTHER RECOGNISED GAINS & LOSSES
Transfers Between funds
NET MOVEMENT IN FUNDS
BALANCES BROUGHT FORWARD 1 JANUARY 2023
BALANCES CARRIED FORWARD 31 DECEMBER 2023
Unrestricted
funds
Restricted
Funds
Total Funds
2023
Total Funds
2022
£
£
£
£
79,685
8,024
87,709
80,459
41,912
0
41,912
43,277
1,015
1,015
419
19,413
0
19,413
20,456
3,452
0
3,452
3,390
0
0
2,071
0
100
145,477
8,024
153,501
150,172
118,060
14,425
132,485
125,249
3,836
0
3,836
6,275
23,588
0
23,588
21,684
1,958
1,958
936
145,484
16,383
161,867 0
154,144
-7
-8,359
-8,366 0
-3,972
847
-847
0
840
-9,206
-8,366
-3,972
118,206
26,608
144,814
148,786
119,046
17,402
136,448
144,814

2 INCOMING RESOURCES

2a Voluntary income
Planned giving:
Donations
Tax Recoverable
Other
Collections (open plate)
Gifts
Legacies
Grants
2b Activities for generating funds
Hospitality & sales stand
Car Parking
Other
2c
Income from investments
Dividends & Interest
2d Income from Church Activities
Property income
Fees
2e Other incoming Resources
Not Home Alone
8b ESOL
TOTAL INCOMING RESOURCES
Unrestrict
ed funds
Restricted
Funds
Total
Funds
2023
Total
Funds
2022
£
£
£
£
47,566
1,756
49,322
53,163
12,105
12,105
11,922
0
6,730
2,268
8,998
7,226
10,796
10,796
2,348
2,488
2,488
800
4,000
4,000
5,000
79,685
8,024
87,709
80,459
8,969
8,969
6,815
32,944
32,944
36,462
0
0
41,912
0
41,912
43,277
0
1,015
0
1,015
419
14,991
14,991
15,622
4,422
4,422
4,834
19,413
0
19,413
20,456
3,452
3,452
3,390
2,071
0
0
100
145,477
8,024
153,501
150,172

3a Church Activities Mission giving Free Will Giving Other Ministry Costs Church Running & Maintenance Parish House running costs Costs of Curates house Office Costs Telephone, broadband, IT Other expenses Bank and Financial Charges

Wages & Salaries

5 Other costs

Not Home Alone ESOL

TOTAL RESOURCES EXPENDED

Unrestricte Restricted
d funds Funds 2023 2022
£ £ £ £
0
5,820 5,820 6,098
69,500 69,500 67,000
7,524 2,393 9,917 10,122
22,789 5,942 28,731 22,244
11,436 11,436 12,827
1,787 1,787 2,052
2,258 2,258 2,205
1,111 1,111 1,797
490 490 17
1,164 270 1,434 887
118,060 14,425 132,485 125,249
1,215 1,215 1,135
2,620 2,620 5,140
3,836 0 3,836 6,275
23,588 23,588 21,684
23,588 0 23,588 21,684
0 0 936
1,958 1,958 0
0 1,958 1,958 936
145,484 16,383 161,867 154,144

Page 3

The PCC has 5 (all part time) paid employees, an organist, verger, 2 cleaners (on job share) and an administrator.

The PCC also contribute to the costs of the cleaner at Parish House - included in Parish House running costs.

5 Fixed Assets

The freehold and buildings comprise the curate's house at 13 Woodall Avenue, Scarborough. It is believed to be worth considerably more than the Balance sheet valuation of £55,000 and is not being depreciated in the accounts. It is insured for £254,043

The PCC also owns St Mary's Parish House which is not shown in the accounts, as the PCC has never paid anything for it. It is insured for £2,019,408

6 Debtors
Debtors
Prepayments and accrued income
7 Liabilities
Amounts falling due in one year
Creditors
Accruals and deferred income
PAYE & NI Contributions
2023
2023
2022
0
13,080
13,080
8,001
13,080
0
13,080
8,001
17,970
17,970
11,528
418
418
753
18,388
0
18,388
12,281

8 Funds

8a The restricted/designated funds operating during the year are as follows:

Children’s & Youth Worker
20s to 40s ministry
Church@Rainbow
Not Home Alone
Camera
Grants and church ministry gifts
Mission (designated fund)
ESOL
Bank Charges
Total
Main account
Balance
31/12/22
Incoming
Resources
Expended
Resources
Transfers
Balance
31/12/23
5,335
240
5,575
13,181
1,023
2,842
-847
10,516
811
492
155
1,148
1,135
2,268
1,338
2,065
125
125
2,250
4,000
4,000
2,250
1,018
5,820
5,780
978
2,891
1,958
933
270
-270
26,746
8,024
16,383
4,933
23,320
ESOL fund
9 Analysis of Net Assets By fund
Tangible Fixed Assets
Current Assets
Liabilities
Balance
31/12/22
Incoming
Resources
Expended
Resources
Balance
31/12/23
2,891
1,958
933
2,891
0
1,958
933
Unrestricte
d funds
Restricted
Funds
Total
Funds 2023
Total Funds
2022
55,000
55,000
55,000
76,515
23,320
99,836
102,095
-18,388
-18,388
-12,281
113,127
23,320
136,447
144,814

Page 4

Parochial Church Council of St Mary with Holy Apostles Balance Sheet as at 31st December 2023

Notes
FIXED ASSETS
13 Woodall Ave
5a
CURRENT ASSETS
Debtors
6
Cash at bank & in hand
LIABILITIES
Creditors - amounts falling due in 1 year
7
NET CURRENT ASSETS
Total assets less current liabilities
TOTAL NET ASSETS
PARISH FUNDS
Unrestricted
Restricted
9
2023
2022
£
£
55,000
55,000
55,000
55,000
13,080
8,001
86,756
94,094
99,836
102,095
18,388
12,281
136,447
144,814
136,447
144,814
113,127
118,206
23,320
26,608
136,447
144,814

Parochial Church Council of St Mary with Holy Apostles, Scarborough Charity Number 1186990 Independent Examiners Report Year Ended 31 December 2023

I report to the trustees on my examination of the accounts of the above charity for the year ended 31 December 2023.

As the Charity trustees, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011.

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

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;

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 obtain a proper understanding of the accounts to be reached.

Approved by:

Date

14/03/2024

……………………………………….. …………………………….

Christopher Mattinson FCCA

Asquith & Co Accountants Ltd Rowan House 7 West Bank Scarborough North Yorkshire YO12 4DX