OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2022-12-31-accounts

Parish of Meltham Christ the King financial report for APCM

Parish of Meltham Christ the King Financial Report for Annual Parochial Church Meeting 26 April 2023

This financial report is provided for the PCC of the Parish of Meltham Christ the King (the Parish) for their Annual Parochial Church Meeting (ACPM) to be held on 26 April 2023 It provides details of the receipts and payments associated with the Parish for 2022.

The Parish incorporates four churches – Christ Church, St Bartholomew’s, St James’, St Mary’s plus the Church Hall and Church House – the latter’s finances managed through St Bartholomew’s.

Receipts and payments are separated into unrestricted and restricted funds and this report comments on notable receipts and/or payments during the year.

Legacies of unrestricted funds received in 2021 provide a significant buffer but mask underlying pressure on operating income and costs. The PCC is committed to finding ways to put the Parish on a sustainable footing for the future.

Records have been independently examined by Stephen Hendy from Data Developments Ltd.

Ruth Murray-Webster Parish Treasurer

Independent Examiner’s report

Accounts for the year ended 31[st] December 2022

Respective responsibilities of the Trustees and the examiner

The charity’s trustees are responsible for the preparation of the accounts and they consider that an audit is not required for the year under section 144(2) of the Charities Act 2011 (the Charities Act) and that an independent examination is needed. It is my responsibility to:

Examine the accounts under section 145 of the Charities Act

to follow the procedures laid down in the general directions given by the Charity Commission (under section 145(5)(b) of the Charities Act, and

to state whether particular matters have come to my attention.

Basis of the Independent Examiner’s statement

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 these records. It also includes consideration of any unusual items or disclosures in the accounts and seeking explanations from the trustees concerning such matters. The procedures undertaken do not provide all the evidence that would be required for an audit, and consequently no opinion is given as to whether the accounts present a ‘true and fair’ view and the report is limited to those matters set out in the statement below.

Page 1 of 5

Parish of Meltham Christ the King financial report for APCM

Independent examiner’s statement

In connection with my examination, no material matter has come to my attention which gives me cause to believe that in, any material respect:

Accounting records were not kept in accordance with section 130 of the Charities Act, or the accounts do not accord with the accounting records

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

Date: 28[th] March 2023

Signed:

Stephen Hendy

Approval of accounts : _____________ Revd John Dracup

Page 2 of 5

Parish of Meltham Christ the King financial report for APCM

Parish of Christ the King , Meltham Statement of Financial Activities For the period from 01 January 2022 to 31 December 2022

Unrestricted
funds
Restricted
funds
Total
funds
Prior year
total funds
Income and endowments from:
Donations and legacies
Income from charitable activities
Investments
Other income
Other trading activities
85,085.41
51,291.79
83.08
1,124.41
0.00
1,102.50
4,812.50
76.35
0.00
0.00
86,187.91
56,104.29
159.43
1,124.41
0.00
318,235.93
38,340.97
186.39
479.63
0.00
Total income 137,584.69 5,991.35 143,576.04 357,242.92
Expenditure on:
Raising funds
Expenditure on charitable activities
Other expenditure
2,666.32
154,184.84
2,600.60
0.00
24,989.33
351.07
2,666.32
179,174.17
2,951.67
1,695.76
125,651.98
775.18
Total expenditure 159,451.76 25,340.40 184,792.16 128,122.92
Net income / (expenditure) resources before trans f
-21,867.07
-19,349.05 -41,216.12 229,120.00
Transfers:
Net transfers between funds
0.00 0.00 0.00 0.00
Net movement in funds -21,867.07 -19,349.05 -41,216.12 229,120.00
Total funds brought forward 275,142.05 62,674.42 337,816.47 108,696.47
Total funds carried forward 253,274.98 43,325.37 296,600.35 337,816.47
Represented by
Unrestricted
General fund
Designated
Christ Church
Christ Church Development Fund
Church Hall
St Bartholomew's
St Bartholomew's Church Choir
St Bartholomew's Development Fund
St Batholomew's Womens Fellowship
St James'
St James' Development fund
St Mary's
St Mary's Development fund
Restricted
Christ Church Memorial Fund
Godfrey Beaumont
Hall - Fabric Fund
Church Hall Roof
St Bartholomew's Children's Work
St Bartholomew's Church Roof
St Bartholomew's Mums & Tots
St Bartholomew's Organ
St James' Children Overseas
St James' Grave Upkeep
St Mary's Organ Fund
4,242.14
1,192.20
14,062.47
21,471.51
19,985.09
4,045.94
124,461.79
595.17
19,072.75
16,993.18
9,759.57
17,393.17
569.16
33,856.50
0.00
1,332.76
391.52
0.00
170.00
4,547.00
38.75
50.00
2,369.68
4,242.14
1,192.20
14,062.47
21,471.51
19,985.09
4,045.94
124,461.79
595.17
19,072.75
16,993.18
9,759.57
17,393.17
569.16
33,856.50
0.00
1,332.76
391.52
0.00
170.00
4,547.00
38.75
50.00
2,369.68
2,852.43
21,374.27
0.00
34,597.75
151,256.14
4,259.79
0.00
414.31
30,002.59
0.00
30,384.77
0.00
532.82
45,085.10
739.80
6,663.51
391.52
167.00
170.00
4,547.00
1,038.75
1,000.00
2,338.92
Total Funds 253,274.98 43,325.37 296,600.35 337,816.47

Page 3 of 5

Parish of Meltham Christ the King financial report for APCM

The Parish had £296,600 cash in the bank or in hand at 31 December 2022, of which £43,325 was restricted for specific purposes, see detailed breakdown below.

Parish of Christ the King , Meltham Retricted Fund movement summary Selected period: 01 January 2021 to 31 December 2022

Parish of Christ the King , Meltham Parish of Christ the King , Meltham Parish of Christ the King , Meltham Parish of Christ the King , Meltham Parish of Christ the King , Meltham Parish of Christ the King , Meltham

Retricted Fund movement summary

Selected period: 01 January 2021 to 31 December 2022
Fund Fund balances Incoming Outgoing Transfers Fund balances
brought forward Resources Resources Carried forward
Christ Church Memorial Fund 532.82 36.34 569.16
Godfrey Beaumont 45,085.10 11,228.60 33,856.50
Hall - Fabric Fund 739.80 739.80 0.00
Church Hall Roof 6,663.51 9.25 5,340.00 1,332.76
St Bartholomew's Children's Work 391.52 391.52
St Bartholomew's Mums & Tots 170.00 170.00
St Bartholomew's Organ 4,547.00 4,547.00
St Bartholomew's Church Roof 167.00 167.00 0.00
St James' Children Overseas 1,038.75 1,000.00 38.75
St James' CRISIS 0.00 5,000.00 5,000.00 0.00
St James' Grave Upkeep 1,000.00 950.00 50.00
St James' Mustard Seed 0.00 915.00 915.00 0.00
St Mary's Organ Fund 2,338.92 30.76 2,369.68
Totals 62,674.42 5,991.35 25,340.40 0.00 43,325.37

A more detailed analysis of income and expenditure is summarised on page 4.

Noteworthy points are:

Page 4 of 5

Parish of Meltham Christ the King financial report for APCM

Parish of Meltham, Christ the King Parish of Meltham, Christ the King Parish of Meltham, Christ the King Parish of Meltham, Christ the King Parish of Meltham, Christ the King Parish of Meltham, Christ the King
Analysis of income and expenditure

Selected period: 01 January 2022 to 31 December 2022
Total
General Designated Restricted This year Last year
Income and endowments from:
Donations and legacies
1001 - Gift aid giving 4,050.00 46,925.86 642.00 51,617.86 45,216.30
1002 - Give As You Earn - - - 0.00 0.00
1003 - Freewill Envelopes (non Gift Aid) - 380.00 - 380.00 2,600.20
1004 - Freewill Evelopes - 6,610.39 - 6,610.39 5,388.60
1010 - Donations 784.01 4,344.41 - 5,128.42 3,775.28
1020 - Church collections - 4,166.47 - 4,166.47 3,953.92
1050 - Gift Aid Recovered 400.28 11,427.71 460.50 12,288.49 11,689.45
1051 - GASDS - 962.59 - 962.59 483.53
1070 - Legacies - 200.00 - 200.00 183,628.30
1075 - Grant Income 3,850.00 983.69 - 4,833.69 61,500.35
Donations and legacies Totals 9,084.29 76,001.12 1,102.50 86,187.91 318,235.93
Income from charitable activities
1045 - Fundraising 365.00 9,647.69 4,812.50 14,825.19 8,482.89
1046 - Coffee Mornings - 1,008.70 - 1,008.70 518.50
1060 - Rent - Church Hall - 14,330.00 - 14,330.00 6,610.00
1061 - Rental Income - church house - 6,060.00 - 6,060.00 6,060.00
1063 - Rental Income - Other - 4,250.00 - 4,250.00 2,169.00
1080 - Fees - weddings etc 5,143.25 8,439.00 - 13,582.25 12,517.85
1095 - Church magazine income 1,503.15 25.00 - 1,528.15 1,982.73
1098 - Insurance Claims 9,672.42 -9,152.42 - 520.00 0.00
Income from charitable activities Totals 16,683.82 34,607.97 4,812.50 56,104.29 38,340.97
Investments
1030 - Interest received - 83.08 76.35 159.43 186.39
Investments Totals 0.00 83.08 76.35 159.43 186.39
Other income
1099 - Sundry Income - 1,124.41 1,124.41 479.63
Other income Totals 0.00 1,124.41 0.00 1,124.41 479.63
Income and endowments Grand totals 25,768.11 111,816.58 5,991.35 143,576.04 357,242.92
Expenditure on:
Raising funds
2016 - Fundraising costs 2,666.32 0.00 2,666.32 1,695.76
Raising funds Totals 0.00 2,666.32 0.00 2,666.32 1,695.76
Expenditure on charitable activities
2001 - Utilities - 12,731.22 - 12,731.22 8,972.64
2020 - Diocesan Parish Contribution 56,134.00 10,861.00 - 66,995.00 60,000.00
2030 - Cost of Parish Magazine 1,038.38 - - 1,038.38 1,393.37
2040 - Maintenance, repairs and consumables - 19,082.35 2,005.00 21,087.35 20,835.25
2041 - Maintenance - church house - 356.00 - 356.00 391.18
2042 - Development Projects - 23,915.48 6,079.80 29,995.28 0.00
2045 - Cleaning Materials - 253.62 - 253.62 273.31
2050 - Upkeep of Churchyard 150.00 122.69 - 272.69 405.90
2070 - Charitable Giving 200.00 1,100.00 6,915.00 8,215.00 8,470.85
2071 - Mission & Outreach (including youthwork) 1,529.04 584.32 3,836.05 5,949.41 2,364.95
2080 - Insurance 9,331.55 120.00 - 9,451.55 8,828.00
2081 - Insurance - church house 283.41 -25.00 - 258.41 276.04
2085 - Office Expenses 180.00 8.33 4,138.74 4,327.07 654.89
2086 - Books, Training and Course Fees - - 460.00 460.00 0.00
2095 - Altar requisites, candles and other costs of
services
1,173.57 121.28 1,554.74 2,849.59 1,900.40
2100 - Staff Costs - Organist / Choirmaster - 250.00 - 250.00 400.00
2101 - Staff Costs - Parish Administrator 3,120.00 - - 3,120.00 2,860.00
2102 - Staff Costs - Cleaner - 4,326.75 - 4,326.75 2,640.00
2103 - Staff Costs - Others 3,010.25 287.00 - 3,297.25 2,847.00
2200 - Professional Fees 2,179.20 1,760.40 - 3,939.60 2,138.20
Expenditure on charitable activities Totals 78,329.40 75,855.44 24,989.33 179,174.17 125,651.98
Other expenditure
2090 - Bank charges - 90.61 - 90.61 0.00
2099 - Sundry Expenditure 188.00 2,321.99 351.07 2,861.06 775.18
Other expenditure Totals 188.00 2,412.60 351.07 2,951.67 775.18
Expenditure Grand totals 78,517.40 80,934.36 25,340.40 184,792.16 128,122.92

Page 5 of 5