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2023-12-31-accounts

The A453 Churches

Barton | Gotham | Kingston | Ratcliffe | Thrumpton

CHARITY COMMISSION REPORT AND ACCOUNTS

FOR THE YEAR ENDED 31 DECEMBER 2023

The Parochial Church Council of the Ecclesiastical Parish of The A453 Churches of South Nottinghamshire (The 453 Churches) is a registered charity, number 1189059

THE A453 CHURCHES (BARTON | GOTHAM | KINGSTON | RATCLIFFE | THRUMPTON)

REPORT AND ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2023

Correspondence Address: The New Rectory
39 Leake Road
Gotham
NG11 0HW
Bankers: Lloyds Bank
PO Box 1000
Andover
BX1 1LT
Independent Examiners: Deborah Anderton
90 Stonebridge Drive
East Leake
LE12 6JP
Conrad Oatey
East Leake
Stuart Matthews
Ratcliffe-on-Soar

1

THE A453 CHURCHES (BARTON | GOTHAM | KINGSTON | RATCLIFFE | THRUMPTON)

REPORT AND ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2023

CONTENTS

PAGE
Structure, Governance and Management 3
Annual Report 4
Finance Report 7
Accounts for Barton-in-Fabis 8
Accounts for Gotham 11
Accounts for Kingston-on-Soar 14
Accounts for Ratcliffe-on-Soar 17
Accounts for Thrumpton 20
Independent Examiner’s Reports 23

2

THE A453 CHURCHES (BARTON | GOTHAM | KINGSTON | RATCLIFFE | THRUMPTON)

Structure, Governance and Management

The Parochial Church Council of the Ecclesiastical Parish of The A453 Churches of South Nottinghamshire (The 453 Churches) is a registered charity, number 1189059 (registered address The New Rectory, 39 Leake Road, Gotham NG11 0HW). The Parochial Church Council (PCC) registered as a charity in April 2020.

As a church within the Church of England, the A453 Churches is constituted within the Parochial Church Councils (Powers) Measure 1956. Members of the Parochial Church Council are either ex-officio or elected by the Annual Parochial Church Meeting (APCM) in accordance with the Church Representation Rules and, by dint of membership, become the charity’s Trustees. All Church attendees are encouraged to register on the Church Electoral Roll and to consider standing for election to the PCC. PCC members are required to complete a HMRC Fit and Proper Persons Declaration.

The PCC has met approximately every three months. The PCC is responsible for policy approvals and decisions, approval of significant non-routine expenditure, identification, assessment and mitigation of risks, and other significant decision making including the ratification of any proposals submitted by church sub-committees. Our Safeguarding Officer continues to ensure that the PCC complies with its duty under section 5 of the Safeguarding and Clergy Discipline Measure 2016 (duty to have regard to House of Bishops’ guidance on safeguarding children and vulnerable adults).

During the year the following served as members of the PCC:

Incumbent (Chair): Revd Richard Coleman
Reader: Mr David Smith
Churchwardens: Mrs Anne Farnsworth
Mrs Angie Howard
Mrs Janet State
PCC Secretary: Mr Ray State
Parish Safeguarding Officer: Mrs Anne Farnsworth
Deputy Lead Recruiter: Mary Stephens
Treasurer: Mr Graham Grocock
Representatives on the Mrs Janet State
Deanery Synod: Mrs Julie Moore
Elected Members: Mrs Sue Davies Until APCM
Mrs Pat Harrison
Mrs Diana Beeby Until APCM
Mr Peter Hawcock Until APCM
Mrs Sonya Hawkins
Mrs Louise Third Until APCM
Mrs Carole Edis From APCM
Mrs Bridget Plimmer From APCM
Mrs Erica Turner From APCM
Mrs Chris Pilnick From APCM

3

THE A453 CHURCHES (BARTON | GOTHAM | KINGSTON | RATCLIFFE | THRUMPTON)

ANNUAL REPORT FOR THE YEAR ENDED 31 DECEMBER 2023

Annual Report

Introduction and Background

During 2019 the five separate parishes of Barton-in-Fabis, Gotham, Kingston-on-Soar, Ratcliffe-on-Soar, and Thrumpton made the decision to join together into a single parish, The A453 Churches of South Nottinghamshire. This occurred on 1[st] June 2019. The A453 Churches PCC has the responsibility of cooperating with the Incumbent, Revd Richard Coleman, in promoting the whole mission of the Church - pastoral, evangelistic, social and ecumenical. It also has oversight of the financial affairs of the parish churches of St George’s Church Barton-inFabis, St Lawrence Church Gotham, St Winifred’s Church Kingston-on-Soar, Holy Trinity Church Ratcliffe-onSoar, and All Saints Church Thrumpton and responsibility for the maintenance of the buildings. St George’s Church Barton-in-Fabis has connected charities:

The Unknown Donors Charity (216015)

Church Lands (subsidiary 1) - income to be spent on the upkeep of the church.

Objectives and Activities

The A453 Churches has a public duty and charge to the “cure (care) of souls” for the Ecclesiastical Parish of The A453 Churches of South Nottinghamshire. The overall ministry and work of the PCC and the Clergy routinely embraces this charge. All of the Churches services and activities are accessible and open to the general public living within and beyond the Parish boundaries. As an Anglican church we serve parishioners through the arrangement of baptisms, funerals, and weddings. Additionally at Christmas, Easter and Harvest we run specific services and events for the wider community and on Remembrance Sunday we meet our civic responsibilities to the Parish. When planning our activities for the year, we have considered the Commission’s guidance on public benefit and, in particular, the supplementary guidance on charities for the advancement of religion. In particular, we try to enable ordinary people to live out their faith as part of our communities through:

To facilitate this work it is important that we maintain the fabric of our five churches.

Worship and Prayer

The number of people on the Parish Electoral Roll during the year was 97 (100 in 2022) and the average weekly attendance at Sunday Services, counted during October was 78 (96 in 2022), but this number increased at festivals and family services. St Lawrence Church Gotham is open on a Saturday morning providing refreshments and is well attended by an increasing number of people from the village. Our Family Fun Service, which is held once a month at 4pm continues to be run by lay people in the Church has a steady core of people attending. We continue to have a number of lay people who lead services on a regular basis at all five churches. We also have 4 lay people preaching regularly each month. Our online service continues to be available via our website which has attracted people from the wider community; and for the church members who are not online we have continued the printed service sheet and sermon for them each week. This year we had 4 young people who have made the decision to take their faith in Jesus seriously and publicly affirmed their faith and were confirmed by the Bishop.

4

Pastoral Care

Some members of our Parish are unable to attend Church due to sickness or age. Revd Richard Coleman has visited all Church members who have requested it, to celebrate communion with them in their homes, hospital or care home. Anne Farnsworth has continued to organise volunteers to visit or telephone all who are sick or unable to get out for any other reason to keep them in touch with Church life. Around half of our combined congregations are members of one of our four lay-led Bible study groups which also provide pastoral care to members of the group, and it has been a delight to see people growing in their knowledge and love of Jesus through these groups. We continue to support the Foodbank in Clifton with food and other products that they need on a weekly basis. The Rector, along with Anne Farnsworth, is also able to hand out Foodbank vouchers to folk in the five villages who are referred to them. We held funerals for 2 church members who sadly died during the year.

Mission and Evangelism

Our parish magazine (circulation c.1,070 households), named “Connection”, continues to be an important means of promoting the Church’s mission, work and activities to the local communities as well as providing articles of interest to the communities. Our community cinema is still appreciated by those who come. Due to our licence we are unable to advertise the names of the films outside of the church and so we have to give clues as to which film is being shown. We are also unable to charge for entry but can and do charge for refreshments. Our Opening The Book team have been going in to Gotham Primary School once a month to take assemblies in the school, which is much appreciated by staff and pupils. Our group of five churches, along with seven other churches in the local area, continued to financially support a Schools Worker at East Leake Academy; as her involvement at the Academy had been curtailed due to continuing Covid concerns she started a weekly Youth Group at Gotham straight after school to which we have a regular core of 10 young people along with about half a dozen occasional attenders. This year we collected 117 shoeboxes, which will go to bring joy to children who wouldn’t normally receive anything at Christmas as well as providing them with the opportunity to learn about Jesus for themselves. We ran the Hope Explored course in January over 3 Wednesday evenings and had a total of 35 people come, with 5 being non-Church. We have also run a pilot of the Bereavement Journey Course in September with 4 people with very positive feedback and so will be looking to advertise this to the wider community later on this year. Gotham’s Memorial Hall was destroyed by fire in February and Gotham Church has been able to regularly host a number of those groups affected in the Church, a number of which have said that they wish to remain in the Church even once the Hall is rebuilt.

Gotham Church Hall

The Gotham Local Management Group had taken the decision to sell the Church Hall, which suffered from disrepair and obsolescence, as discussions with other village organisations came to nothing. This was done in 2022 and the proceeds of the sale will be restricted for Ecclesiastical purposes only. Little Cherubs Toddler Group have relocated to the Church and changed their name to Cherub’s Play Café. Cherub’s Play Café continue to meet on a Friday morning during term time with over 30 families attending which is around double the number we had when in the Church Hall. Run by Anna Marsden, Fiona Coleman, Elaine Inskeep and Louise Third, they continue to provide a well resourced toddler group. The Bible and song time continue to be very popular and a good number of families stay right to the end of each session to join in with this. A lot of the Christian songs have been learnt and remembered by the children and parents who happily sing along.

Barton’s Land (“Amen Field”)

In 2018 the A453 road was widened to become a dual carriageway and as part of this widening the Highway Authority compulsory purchased about 50% of a field known as “Amen Field” which belonged to St George’s Church, Barton in Fabis. This land was registered under The Unknown Donors Charity (216015) and the income is to be put towards the repair of the church in Barton. A number of legal matters prevented the Highway Authority from completing the purchase of the land and providing compensation to Barton Church. This matter was finally completed in 2023 with Barton Church receiving £11,667 which is reserved for the upkeep of the Church. The Deputy Churchwardens, Carole Edis and Sue Davis, as well as the Rector, would like to express their appreciation and gratitude for the assistance that the PCC Secretary, Ray State, has provided in pursuing this matter with both the Highway Authority’s representative and the Diocese.

5

Deanery Synod

Two members of the PCC sit on Deanery Synod. This provides the PCC with an important link between the Parish and the wider structure of the Church of England.

Ecumenical Relationships

The Anglican church is the only church in the villages, but prior to the Covid lockdowns, once a month, St Lawrence Church Gotham was made available for a Methodist service. This offer has still not been taken up by the Methodist circuit since the pandemic ended.

Financial Review

Each church has a number of ways of raising funds throughout the year but despite these efforts there is still great concern especially with the ability to pay the ever increasing Parish Share, the majority of which provides the stipends and housing of the Clergy. We are grateful to the villagers who continue to support the churches both financially and also with practical help throughout the year. St Lawrence Church Gotham continues to make good use of its building and the flexibility that the reordering in 2010 provides - being able to accommodate differing groups from the Memorial Hall within the Church could not have been done without it.

Reserves Policy

It is the policy of the PCC to look to maintain unrestricted funds which are sufficient to cover the general upkeep and running of each church and to maintain the fabric of the building. It is held to smooth out fluctuations in cash flow and to meet emergencies. The level of reserves is monitored and reviewed by the PCC on an ongoing basis.

Volunteers

We would like to thank all the volunteers who work so hard to make our Churches the lively and vibrant communities they are. In particular we want to mention our Churchwardens Anne Farnsworth, Angie Howard and Janet State and the Deputy Churchwardens Carole Edis, Sue Davies, David Smith, John Collins and Erica Turner who have worked so tirelessly on our behalf. And to also thank our treasurer, Graham Grocock, for his continuing efforts with the accounts.

Signed on behalf of the Parochial Church Council on 12th May 2024 by:

Revd Richard Coleman (Rector & Chairman of the PCC).

6

THE A453 CHURCHES (BARTON | GOTHAM | KINGSTON | RATCLIFFE | THRUMPTON)

FINANCIAL REPORT FOR THE YEAR ENDED 31 DECEMBER 2023

The combined total of unrestricted income for the benefice for the year ended 31st December 2023 was £131,629 and restricted income amounted to £22,150, giving total income of £153,779 from normal church activities. This included a significant legacy donation, and without that the total would be a little lower than last year’s £127,052. Within total income the total for planned giving reduced a little to £61,617 (including Gift Aid) from 126 donors, 6 fewer than last year, but collections at services amounted to £16,261 (including Gift Aid) an increase of 22%. Fundraising activities raised £9,817 but almost two thirds of that was at Barton. Grants received in the year were insignificant. In addition to normal church income, a payment of £10,363 was finally received at Barton for the land taken when the A453 was widened.

Parish share was the biggest cost and the payment of £64,457 was 77% of the allocation made by the Diocese and 49% of our total unrestricted income. Repair and maintenance costs are always a problem as our churches are all Grade I or II Listed Buildings, with these costs exceeding £1,000 at all the churches except Thrumpton. Major repairs have started on the churchyard wall at Kingston and windows at Ratcliffe. The next largest costs were insurance at £12,692, despite taking a claims excess of £10,000 to reduce premiums, and gas & electricity at £6,610, even after a grant of £1,000 from the Diocese and £300 from the Government so costs in 2024 may be significantly higher. Donations to charities have reduced in recent years as money has become tighter at some churches and amounted to £730. Total expenditure amounted to £125,690, resulting in a net surplus across the five churches of £38,452, half of it restricted.

Total unrestricted cash (bank balances and Church of England Deposit Fund) at 31st December 2023 amounted to £81,074 and restricted cash amounted to £205,832, most of that being from the sale of the Church Hall at Gotham. The market value of shares in the CCLA Investment Fund at the year end was £99,044.

7

ST. GEORGE’S CHURCH, BARTON-IN-FABIS

FINANCIAL STATEMENTS FOR YEAR ENDED 31/12/23

RECEIPTS AND PAYMENTS ACCOUNT

RECEIPTS
Giving
Regular Giving
Collections At Services
Gift Aid Recovered
Total Giving
Donations
Wall Box Donations
Other Donations
Total Donations
Church Services
Wedding & Funeral Fees
Less Paid to Diocese & Other Fees
Net Total Services
Fund Raising
Flower Festival
Garden Fete
Christmas Bazaar
Breakfasts
Carol Singing
Coffee Mornings
Easter Tea
Cheese & Wine
Dinners & Pudding Club Meals
Ride & Stride
Total Fund Raising
Land Rent
Sale Of Land (Net Proceeds)
Interest Received
Total Receipts
General General 2023
Designated
Restricted
Funds
Funds
£
£
2023
Designated
Restricted
Funds
Funds
£
£
2023
Designated
Restricted
Funds
Funds
£
£
2023
Designated
Restricted
Funds
Funds
£
£
2023
Designated
Restricted
Funds
Funds
£
£
Total
Funds
Total 2022
Total
Funds
2022
Total
Fund
£
4,744
1,195
1,914
Fund Funds Funds
£ £ £
4,744
1,195
1,914
£
6,344
1,301
2,640
7,853 7,853 10,285
35
30,656
35
30,656
900
30,691 30,691 900
1,120
(487)
1,120
(487)
2,362
(782)
633 633 1,580
2,259
706
1,387
1,382
208
551
29
2,259
706
1,387
1,382
208
551
29
2,803
551
1,189
1,031
380
632
200
293
239
6,522 6,522 7,317
4 319 120
10,363
120
10,363
323
120
61
45,703 319 10,483 56,506 20,264

ST. GEORGE’S CHURCH, BARTON-IN-FABIS

FINANCIAL STATEMENTS FOR YEAR ENDED 31/12/23

RECEIPTS AND PAYMENTS ACCOUNT

PAYMENTS
Church Activities
Diocesan Parish Share
Magazine, Cards & Posters
Clergy Expenses
East Leake Youth Worker
A453 Churches Special Event
Communion Wine & Wafers
Wedding Register
Giving Envelopes
Total Church Activities
Donations
Framework
Royal British Legion
Leics Kidney Patients Association
Lincs & Notts Air Ambulance
Total Donations
Church Running Costs
Insurance
Heating, Lighting & Water
Waste Bin Service
Fire Extinguishers
Organ Tuning & PAT Test
Window Repairs
Repairs & Maintenance
Boiler Repairs
Tree Removal
Retirement Gift
Church Property Register
Food For AGM & Mothers’ Day
Quinquennial Inspection Fee
Gaming Licence Fee
Total Running Costs
Cost Of Generating Income
Cost Of Flower Festival
Total Payments
General General 2023
Designated
Restricted
Funds
Funds
£
£
2023
Designated
Restricted
Funds
Funds
£
£
2023
Designated
Restricted
Funds
Funds
£
£
2023
Designated
Restricted
Funds
Funds
£
£
2023
Designated
Restricted
Funds
Funds
£
£
Total
Funds
£
12,375
567
376
250
17
47
13
Total
Funds
Total 2022
Total
Funds
2022
Total
Fund
£
12,375
567
376
250
17
47
13
Fund Funds Funds
£ £ £
11,000
432
287
250
0
20
23
16
13,645 13,645 12,027
114
128
164
114
128
164
50
221
406 406 271
3,094
1,194
40
115
1,400
155
285
480
32
4
3,094
1,194
40
115
1,400
155
285
480
32
4
2,730
998
40
115
218
3
28
525
6,799 6,799 4,658
544
20,849 20,849 17,499

ST. GEORGE’S CHURCH, BARTON-IN-FABIS

FINANCIAL STATEMENTS FOR YEAR ENDED 31/12/23

MOVEMENT IN FUNDS
Total Receipts
45,703
Total Payments
(20,849)
Net Surplus/(Deficit)
24,854
Fund Balances Brought Forward
6,728
Fund Balances Carried Forward
31,582
STATEMENT OF FUNDS
Unrestricted Funds (General Fund)
Bank Balance
Designated Funds (Fabric Fund)
CBF Church Of England Deposit Fund
Bank Balance
Restricted Funds
Bank Balance
CBF Church Of England Deposit Fund
Total Funds
45,703
(20,849)
319
0
10,483
0
56,506
(20,849)
20,264
(17,499)
2,765
12,447
15,211
2022
£
£
6,728
3,169
4,425
7,594
120
769
889
15,211
20,264
(17,499)
2,765
12,447
15,211
2022
£
£
6,728
3,169
4,425
7,594
120
769
889
15,211
24,854
6,728
319
7,594
10,483
889
35,657
15,211
31,582 7,913 11,372 50,868
2023
£
£
31,584
3,488
4,425
7,913
603
10,769
11,372
50,869
603
10,769
50,869 15,211

The Designated Funds (Fabric Fund) is the balance of the money received from the estate of Mary Marriott. The Restricted Funds is the net proceeds of the sale of land £10,363 plus the money received on the winding up of the Dorothy Wilkinson Charity and annual land rent paid in 2022 and 2023.

Signed:-

Date:

G F Grocock – Treasurer

St Lawrence Church Gotham

Receipts and Payments Account

For the period from 01 January 2023 to 31 December 2023

Unrestricted Designated Restricted Endowment Total Prior year
funds funds funds funds funds total funds
Receipts
Planned giving 35,567.45 2,165.92 37,733.37 34,370.41
Collections and other giving 5,670.34 5,670.34 4,430.71
Other voluntary receipts 1,314.33 175.00 1,380.00 2,869.33 13,628.36
Gift Aid recovered 2,480.26 132.68 3,151.46 5,764.40 8,915.78
Other receipts 5,944.06 314.55 3,230.00 9,488.61 4,996.71
Activities for generating funds 1,465.51 1,465.51 3,902.82
Investment Income 3,731.38 3,731.38 246.33
Receipts from church activities 2,538.00 2,538.00 3,417.00
Total receipts 58,711.33 622.23 9,927.38 69,260.94 73,908.12
Payments
Cost of generating funds 20.80 297.00 317.80 2,728.12
Missionary and Charitable Giving 920.95 179.99 1,100.94 1,264.13
Parish Share 37,184.00 37,184.00 37,000.00
Clergy and Staffing costs 2,395.67 2,395.67 2,458.01
Church Running Expenses 17,687.22 2,831.62 9,485.29 30,004.13 31,756.83
Hall Running Costs 1,112.01
New Building work 20,490.50
Governance Costs 680.00 680.00 7,569.20
Total payments 58,888.64 3,011.61 9,782.29 71,682.54 104,378.80
Excess of receipts over payments before transfer (177.31) (2,389.38) 145.09 (2,421.60) (30,470.68)
Transfers
Gross transfers between funds - in 282.08 1,221.09 823.11 2,326.28 3,376.55
Gross transfers between funds - out (302.07) (282.08) (1,742.13) (2,326.28) (3,376.55)
Excess of receipts over payments before other gains (197.30) (1,450.37) (773.93) (2,421.60) (30,470.68)
Net movement in funds (197.30) (1,450.37) (773.93) (2,421.60) 169,529.32
Reconciliation of funds
All assets at 01 January 2023 5,240.21 2,863.79 181,177.17 189,281.17 19,751.85
All assets at 31 December 2023 5,042.91 1,413.42 180,403.24 186,859.57 189,281.17
Represented by
Unrestricted
General fund 5,042.91 5,042.91 5,240.21
Designated
Fabric/repairs 1,420.85 1,420.85 2,714.78
Flower fund (7.43) (7.43) 1.49
Little cherubs 147.52
Restricted
Agency collection 45.00 45.00 45.00
Bell Fund 1,041.95 1,041.95 1,031.95
Childrens activities 90.82 90.82 90.82
Church community clock 4,529.07 4,529.07 2,043.98
Fabric/repairs 543.67 543.67 1,868.19

15 January 2024 Page 1

Unrestricted Designated Restricted Endowment Total Prior year
funds funds funds funds funds total funds
Garden of rest 1,067.47 1,067.47
Heated building during cold winter 500.00
Ukraine Refugee Support Fund 548.07 548.07 826.94
VESTRY 1,509.99
church hall sale funds 172,537.19 172,537.19 173,260.30

15 January 2024 Page 2

St Lawrence Church Gotham

Statement of Assets and Liabilities (by fund) As at: 31 December 2023

Balance Previous
balance
Current assets
6501: Bank current account - Asset
Bell Fund
Restricted
Childrens activities
Restricted
Fabric/repairs
Designated
Fabric/repairs
Restricted
Flower fund
Designated
Garden of rest
Restricted
Heated building during
cold winter
Restricted
Little cherubs
Designated
Ukraine Refugee
Support Fund
Restricted
VESTRY
Restricted
General fund
Unrestricted
Agency collection
Restricted
6507: Reordering account - Asset
Church community
clock
Restricted
Ukraine Refugee
Support Fund
Restricted
church hall sale funds
Restricted
General fund
Unrestricted
6510: CCLA (CBF) deposit account - Asset
church hall sale funds
Restricted
6590: Cash in hand - Asset
Flower fund
Designated
General fund
Unrestricted
Current assets
Liabilities
6699: Agency collections - Liability
Agency collection
Restricted
Liabilities
Grand Total
1,041.95
90.82
1,420.85
543.67
(20.00)
1,067.47




4,994.58
281.00
9,420.34
4,529.07
548.07
22,537.19
31.82
27,646.15
150,000.00
150,000.00
12.57
16.51
29.08
187,095.57
236.00
236.00
236.00
186,859.57
1,031.95
90.82
2,714.78
1,868.19


500.00
147.52
9.07
1,509.99
4,999.32
614.06
13,485.70
2,043.98
817.87
173,260.30
239.38
176,361.53


1.49
1.51
3.00
189,850.23
569.06
569.06
569.06
189,281.17

15 January 2024

Page 1

ST. WINIFRED’S CHURCH KINGSTON-ON-SOAR

FINANCIAL STATEMENTS FOR YEAR ENDED 31/12/23

RECEIPTS AND PAYMENTS ACCOUNT

RECEIPTS
Giving
Regular Giving
Collections At Services
Gift Aid Recovered
Total Giving
Donations
Wall Box Donations
Other Donations
Direct Donations
Total Donations
Church Services
Wedding & Funeral Fees
Less Paid to Diocese & Other Fees
Net Total Services
Fund Raising
Chamber Music Concert
Christmas Music Concert
Ride & Stride
Investment Income
Dividend From CCLA
CBF Deposit Fund Interest
Total Investment Income
Total Receipts
General General 2023
Fabric
Restricted
Funds
Funds
£
£
2023
Fabric
Restricted
Funds
Funds
£
£
2023
Fabric
Restricted
Funds
Funds
£
£
Total
Funds
Total 2022
Total
Funds
2022
Total
Funds Funds
£
4,458
2,186
1,688
£ £ £
4,458
2,186
1,688
£
4,558
1,996
1,668
8,331 8,331 8,222
136
239
5,000 136
5,239
1,313
375 5,000 5,375 1,313
2,141
(867)
2,141
(867)
2,144
(722)
1,274 1,274 1,422
395
73
395
73
428
230
468 468 658
360 2,028
805
202 2,230
1,165
2,218
374
360 2,833 202 3,395 2,592
10,808 2,833 5,202 18,843 14,208

ST. WINIFRED’S CHURCH KINGSTON-ON-SOAR

FINANCIAL STATEMENTS FOR YEAR ENDED 31/12/23

RECEIPTS AND PAYMENTS ACCOUNT

RECEIPTS AND PAYMENTS ACCOUNT
PAYMENTS
Church Activities
Diocesan Parish Share
Magazine, Cards & Posters
Clergy Expenses
East Leake Youth Worker
Organist’s Fees
Candles
Wine Decanter & Wafers
A453 Churches Special Event
Total Church Activities
Donations
DEC Ukraine Appeal
Children’s Society
Clifton Foodbank
Total Donations
Church Running Costs
Insurance
Heating & Lighting
Waste Bin Service
Repairs & Maintenance
Repairs To Lights
Roof Repairs
Churchyard Wall Repairs
Mowing Grass
Clock Repairs & Service
Bank Charges
Chocolates For Mothers’ Day & Flowers
Share Of Cost Of Food For AGM
Church Property Register & Files
Organ Tuning
Quinqennial Inspection
Gaming Licence Fee
Total Running Costs
Total Payments
General 2023
Fabric
Restricted
Funds
Funds
£
£
Total
Funds
Total 2022
Total
Funds
£
10,887
432
250
250
40
40
2022
Total
Funds
2022
Total
Funds Funds
£
7,500
567
343
250
30
17
17
£ £ £
7,500
567
343
250
30
17
17
8,724 8,724 11,898
124
92
124
92
329
162
189
216 216 680
2,596
1,528
40
48
1,037
242
110
125
685
4
260 1,410 2,596
1,528
40
48
260
1,410
1,037
242
110
125
685
4
2,292
769
40
62
1,296
462
960
230
105
47
21
15
62
6,416 260 1,410 8,085 6,362
15,356 260 1,410 17,026 18,940

ST. WINIFRED’S CHURCH KINGSTON-ON-SOAR

FINANCIAL STATEMENTS FOR YEAR ENDED 31/12/23

MOVEMENT IN FUNDS
Total Receipts
Total Payments
Net Surplus/(Deficit)
Unrealised Gain/(Loss) On Investment
Fund Balances Brought Forward
Re-classification Of Funds
Fund Balances Carried Forward
STATEMENT OF FUNDS
Unrestricted Funds (General Fund)
Bank Balance
CBF Church Of England Deposit Fund
Designated Funds (Fabric Fund)
CBF Church Of England Deposit Fund
Bank Balance
CCLA Investment Fund
Restricted Funds
Bank Balance
CCLA Investment Fund
CBF Church Of England Deposit Fund
Total Funds
General General 2023
Fabric
Restricted
Fund
Funds
£
£
2,833
5,202
(260)
(1,410)
2023
Fabric
Restricted
Fund
Funds
£
£
2,833
5,202
(260)
(1,410)
2023
Fabric
Restricted
Fund
Funds
£
£
2,833
5,202
(260)
(1,410)
2023
Fabric
Restricted
Fund
Funds
£
£
2,833
5,202
(260)
(1,410)
2023
Fabric
Restricted
Fund
Funds
£
£
2,833
5,202
(260)
(1,410)
Total
Funds
£
18,843
(17,026)
Total
Funds
Total 2022
Total
Funds
£
14,208
(18,940)
2022
Total
Funds
2022
Total
Fund
£
10,808
(15,356)
Fund Fund
£
2,833
(260)
Fund
(4,548)
(36)
27,167
2,573
6,381
92,415
(27,167)
3,792
635
7,331
1,817
7,016
99,710
0
(4,733)
(9,836)
114,279
22,582 74,203 11,758 108,543 99,710
2023
£
£
(4,266)
26,849
22,582
74,203
74,203
3,641
7,384
733
11,758
108,543
2022
£
£
389
(425)
(36)
24,594
67,822
92,415
6,749
582
7,331
99,710
74,203 24,594
67,822
3,641
7,384
733
6,749
582
108,543 99,710

The Restricted Funds are the balance remaining on the Babington Memorial repair fund along with the interest earned on that money and £3,590 remaining on a donation for repairing the churchyard wall. All the funds in the CCLA Investment Fund are either restricted for the Babington Monument or designated for the fabric fund so the dividends paid by the CCLA Investment Fund are likewise part restricted and part designated to the fabric fund. All the dividends paid are transferred into the CBF Deposit Fund so part of the money in the Deposit Fund is restricted and part is designated for the fabric fund. On 5[th] November 2023 the PCC Of The A453 Churches Of South Nottinghamshire re-classified as unrestricted general funds the funds in the CBF Deposit Fund and the bank balance which had previously been designated for the fabric fund.

HOLY TRINITY CHURCH. RATCLIFFE-ON-SOAR FINANCIAL STATEMENTS FOR YEAR ENDED 31112123 RECEIPTS AND PAYMENTS ACCOUNT 2023 bric Restrict Fund Fun 2022 Total Fund Fund RECEIPTS Givin Regular Giving Collections At Senil￿s GiftAid Recovered Total Giving 2.206 2,206 1,550 1,169 4,924 2,566 1,178 1,356 5,099 1,169 4,924 Direct Donats'ons Wall Box Donations Collection Boxes Other Donations Donats'ons For lfyfjndow Repairs Total Donations 118 232 118 232 35 670 202 22 200 3,643 3,643 4,028 385 1,094 h Servi Wedding & Funeral Fees Less Paid to Diocese & Other Fees Net Total Services 1,800 (412> 956 1261) (412) nd Raisin Spring Fair Sutton Bonington Show Autumn Fair Ride & Stride Ratcliffe Parish Meeting 187 1,119 17 25 187 1.119 17 25 186 896 25 Total Fund Raising Investment Income Dividend From CBF Investrnent Fund Interest Received Total Inveslment Income 420 11 431 14 435 418 14 424 Total Receipts 8.477 12.188

HOLY TRINifY CHURCH. RATCLIFFE-ON-SOAR FINANCIAL STATEMENTS FOR YEAR ENDED 31112123 RECEIPTS AND PAYMENTS ACCOUNT 2023 2022 Total Funds Total Fun Fund Fund PAYMENTS hurch Activities Diocesan Parish Share Magazine, Cards & Posters Clergy Expenses East Leake Youth Worker A453 Churches Special Event Gift Aid Envelopes Totsl Church Activities 4.500 306 263 250 17 6.000 236 194 250 263 250 17 5.341 5.341 Dona ion Royal British Legion Total Donations hurch R Insurance Electricity Waste Bin Servi Fire Extinguishers Repairs & Maintenance Window Repairs Floor Carpets Tree Surgery Professional Fees Candles & Bibles Lightning Protection Bank Charges Heaters Food ForAGM & Mothers, Day Gaming Li￿nCe Fee Total Running Costs nnin 2,050 253 40 33 48 1,610 1,921 176 40 41 253 1,610 270 655 702 525 24 150 97 150 103 124 150 103 124 28 2,805 4,415 Total Paymgnts 9.864

HOLY TRINITh CHURCH, RATCLIFFE-ON-SOAR FINANCIAL STATEMENTS FOR YEAR ENDED 31112r23 2023 Fabric R Fund 2022 Total Fund General Fund Total Fun Funds EME FUNDS Total Re￿IPtS 8.477 3,657 12,188 9,279 Totsl Payments (8,254) (1,610) (9,864) (11,309) Net Sutplusl{Deficit) 223 2,048 2,324 (2,029) Unrealised Gainl(Loss) On Invesiknent 1,322 87 1.409 (1,853) Fund Balances Brought Forward 14.554 6.943 21.496 25,379 Fund Balances Carried Fopward 6.997 2,135 21,496 ATEMENT FFUN 20 Unre8 ricted F nd Bank Balance NS&I General Fund CBF Church Of England Investment Fund en 725 502 15,372 16,098 14,050 14.553 ated Funds NS&I Fabric Fund Fabri 6,997 6,943 Restricted F nds Bank Balance C8F Church Of England Investrnent Fund Win 48 2,087 2,135 Totsl Funds 25,229 21,496 Treasurer. In connection wrth my examination of the accounts no matters have come to my attention to indicate that in any material respect proper accounting records have not been kept or that the accounts do not accord with these accounting records. Independent Examiner. Date: IL) Ll Ic)ty

ALL SAINTS CHURCH, THRUMPTON

FINANCIAL STATEMENTS FOR YEAR ENDED 31/12/23

RECEIPTS AND PAYMENTS ACCOUNT

RECEIPTS
Giving
Regular Giving
Collections At Services
Gift Aid Recovered
Total Giving
Donations
Wall Box Donations
Other Donations
Ukraine Appeal
Ukraine Appeal – Gift Aid Recovered
Total Donations
Church Services
Wedding & Funeral Fees
Less Paid to Diocese & Other Fees
Net Total Services
Fund Raising
Ride & Stride
Stained Glass Window Appeal
Stained Glass Window Appeal – Gift Aid
Puzzles Demonstration
Cookery Demonstration
Cream Teas
Musical Sparkle
Sale Of Books
Total Fund Raising
Total Receipts
General General 2023
Restricted
2023
Restricted
Total
Funds
Total 2022
Total
Funds
2022
Total
Funds Funds
£
1,869
2,410
783
£
2,637
446
£
4,506
2,410
1,229
£
3,893
1,768
1,548
5,061 3,083 8,145 7,209
105 160 265 1,255
500
125
105 160 265 1,880
599
(259)
599
(259)
370
(224)
340 340 146
13 13 191
300
140
150
430
14
13 13 1,224
5,519 3,243 8,762 10,459

ALL SAINTS CHURCH, THRUMPTON

FINANCIAL STATEMENTS FOR YEAR ENDED 31/12/23

RECEIPTS AND PAYMENTS ACCOUNT

RECEIPTS AND PAYMENTS ACCOUNT
PAYMENTS
Church Activities
Diocesan Parish Share
Magazine, Cards & Posters
Clergy Expenses
Communion Wine & Wafers
East Leake Youth Worker
Banns Book
A453 Churches Special Event
Total Church Activities
Donations
DEC Ukraine Appeal
Clifton Foodbank
Total Donations
Church Running Costs
Insurance
Electricity
Waste Bin Service
Fire Extinguishers
Organ Tuning
Clearing Church Gutters
Mowing Grass
Lawn Mower Repairs
Repairs & Maintenance
Handrails
Stained Glass Window Repairs
Reset Gravestones
Promise Appeal Reception Event
Candles, Wine & Paper Cups
Bank Charges
Gaming Licence Fee
Share Of Food For AGM & Mother’s Day
Church Property Register
Total Running Costs
Total Payments
General 2023
Restricted
Total
Funds
Total 2022
Total
Funds
2022
Total
Funds Funds
£
3,500
376
348
250
24
17
£ £
3,500
376
348
250
24
17
£
3,500
277
248
19
250
4,515 4,515 4,294
625
625
1,730
357
33
90
32
115
78
150
4
392
191
1,730
357
33
90
392
32
191
115
78
150
4
1,596
259
33
58
84
155
302
246
600
100
33
153
28
3
2,588 583 3,171 3,650
7,103 583 7,686 8,569

ALL SAINTS CHURCH, THRUMPTON

FINANCIAL STATEMENTS FOR YEAR ENDED 31/12/23

2023
General
Restricted
Funds
Funds
£
£
MOVEMENT IN FUNDS
Total Receipts
5,519
3,243
Total Payments
(7,103)
(583)
Net Surplus/(Deficit)
(1,584)
2,661
Fund Balances Brought Forward
6,400
6,973
Fund Balances Carried Forward
4,815
9,634
STATEMENT OF FUNDS
2023
£
£
Unrestricted Funds (General Fund)
Bank Balance
4,815
Restricted Funds
Bank Balance – Church & Churchyard
8,594
Bank Balance – Stained Glass Window
1,040
9,634
Total Funds
14,449
Signed:-
General General 2023
Restricted
2023
Restricted
Total
Funds
£
8,762
(7,686)
Total
Funds
Total 2022
Total
Funds
£
10,459
(8,569)
2022
Total
Funds
2022
Total
Funds
£
5,519
(7,103)
Funds Funds
£
3,243
(583)
(1,584)
6,400
2,661
6,973
1,076
13,373
1,890
11,482
4,815 9,634 14,449 13,373
£
4,815
9,634
2022
£
£
6,400
5,933
1,040
6,973
13,373
14,449 13,373

Date:

G F Grocock – Treasurer

It kn my r￿0￿t0., •e¢tkn 1445Mbl of the •xl the a¢¢¢unts, and 8eeing ewiqneticTh from a6 I[￿88 anywth mattern. Th• w0¢th1¢• ' to keep accoLth rettffjds kn accordar￿e *llh 8eclbJn 130 olthe Chath8 W. aTrl CotY8rf 08i¢y East Leake 28104r24

St Lawrence Church Independent Examiner's Report to the membersltrustees of St Lawrenc• Church, Gotham I report on the ac¢ounts for the year ended 31st December 2023. Respective responsibllities of the Trustees and Independent Examiner The charity's trustees consider that an audit is not required for this year under section 14412) of Ihe Charities Act 2011 (the 2011 Act) and that an independent examination is needed. It is my responsibility to examine the accounts under section 145 of the 2011 Act., follow the procedures laid down in the General Directions given by the Charity Commissioners section 14515)(b) of the 2011 Act,. and state whether particular matters have come to my attention. Basis of Independent Examiner's Statement My examination was carried out in accordan￿ with the General Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the aGGounts, and seeking explanations from the management committee concerning any such matters. The procedures undertaken do not provide all the eviden￿ that would be required in full audit, and consequently I dD not express an audit opinion on the accounts. Independent Examinerfs Statement In connection with my examination, no matters have come to rny attention. 1. which give me reasonable cause to believe that in any material respect the requirements to keep aGGounting records in accordance with s130 of the 2001 Act.. or to prepare accounts which accord wilh these accounting rewrds have not been met.. or to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reachèd. Deborah Anderton 90 Stonebridge Drive East Leake 14" February 2024

St Winifred's Parish Church Kingston-on-soar Independent Examiner's Report to the member31tru8tees of St Winlfred's Parish Church, Kingston•oll-Soar I report on the accounts for the year ended 31* Decembèr 2023 Respective responslbllitie8 of the Trustees and Independent Examiner The charity's trustees consKler that an audit is not required for this year under sects.on 144121 of the Chanlies Act 2011 (the 2011 Act) and that an independent examination is needed. It is my responsibility to examine the accounts under section 145 of the 2011 AGt'. follow the procedures laid down in the General Direction$ given by the Charity Commissioners section 14515llbl of the 2011 Ad.. and state whether particular matters have come to my attention Ba858 of Indepondenl Examln¥Vs Statemont My examination was carried out in accordance with the General Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or di￿10$￿￿$ in the accounts, and séeking explanations from the management ￿rnrnrttee concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in a full audrt, and consequently I do not exp￿$$ an audrt o￿nIOn on the accounts. Independent Examinef 8 Ststemont In connection wth my examination, no matters have come to my attention. 1. which give me reasonable cause lo believe that in any matenal respect the requirements lo keep accounting records in accordance viith s130 of the 2001 Act.. or to prepare accounts whith accord Ythh these accounting records have not been met" or to which, in my opinion, attention shouFd be drawn in order to enable a proper understanding of the accounts lo be reached. Deborah Anderton 90 Sionebridge Drlve E&st Leake 18 March 2024

All Saints Church Thrumpton Independent Examiner's Report to the membersltru8tees of All Saints Church, Thrumpton I report on the accounts for the year ended 31* December 2023 Respective responslblllties of the Trustees and Independent Examiner The charity's trustees consider that an audit is not required for this year under section 14412} of the Chanlies AGt 2011 {th8 2011 Act) and that an indeFendent examination is needed. 11 is my responsibility to examine the accounts under section 145 of the 2011 Act., follow the procedures la￿ down in the General Directions given by the Charity Commissioners section 145{5)Ibl of the 2011 Act. and Slate whether particular matters have come to my attention. Basls of Independent Examinotrs Statement My examination was carried out in accordance with the General Directions given by the Charity Commission. An examinab'on includes a review of the accounling records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disdosures in the accounts. and Seeking explanations from the management committee conceming any such matters. The procedures undertaken do nol provide all the eviden￿ that would be required in a full audrt, and consequently I do not express an audit ow'nion on the accounts. Independent Examlnerfs Statement In connection th my examination, no matters have come to my altention. which give me reasonable cause to believe that in any material ￿SpeCt the requ1￿MentS to keep accounting records in a¢¢ordanGe with s130 of the 2001 Act.. or to prepare accounts vthich accord with these accounting records have not been met: or 2. to which, in my ow'nion. attention should be drawn in order to enable a proper understanding of the accounts lo reached. Deborah Anderton 90 Sionebridge Drive East Lcake 10 April 2024