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2022-12-31-accounts

Parish of St Andrew’s and St Peter’s South Shoebury

APCM Reports 2022/23

in South Shoebury

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Annual Report 2022/23

Background

The Parochial Church Council (PCC) of the parish of South Shoebury has the responsibility of cooperating with the incumbent in promoting the whole mission of the church – pastoral, evangelistic, social and ecumenical. The council also has responsibility for the maintenance of the churches, the church halls in Church Road and Hinguar Street plus the ‘Curate’s House’ in Wakering Road.

Membership

Members of the PCC are either ex officio, elected at the Annual Parochial Church meeting (APCM) or co-opted in accordance with the Church Representation Rules. The PCC is obliged to meet a minimum of four times each year but may meet more frequently. The current timetable for the PCC is to meet ten times per annum.

The Standing Committee is required to exist by law. It may transact business between meetings subject to the directions given by the PCC.

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ANNUAL PAROCHIAL CHURCH VESTRY MEETING

To be held on Sunday 16[th] April 2023 at 11.15am in St Andrew’s Hall

AGENDA

Prayer and welcome

Election of Churchwardens

ANNUAL PAROCHIAL CHURCH MEETING

To be held on Sunday 16[th] April 2023 immediately following the Vestry Meeting

AGENDA

Please notify the Chair of any AOB

Questions and comments on the reports submitted. (Please read these in advance).

Election of PCC members

Election of Deanery Synod Reps (3)

Presentation of Accounts

Appointment of Independent Examiner for the next APCM

Electoral Roll Report

Any other business

Closing Prayers

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SECRETARY’S REPORT

The PCC meetings are held monthly and normally alternate between St Andrew’s in the summertime and St Peter’s in the winter. However, following the practice adopted during Covid-19 restrictions only one meeting took place at St Andrew’s; the remainder being carried out as virtual meetings via “Zoom” on the internet.

All meetings commence at 7.30pm and meeting dates up to November 2023 are as follows:

Tuesday 25[th] April Wednesday 24[th] May Thursday 22[nd] June Tuesday 18[th] July No meeting in August Wednesday 6[th] September Thursday 12[th] October Tuesday 21[st] November

There have been 9 PCC meetings between September 2022 and March 2023 (no meetings are held in August); attendance at these meeting has however been intermittent.

Meeting Agendas are circulated approximately one week before each meeting, with Minutes being issued usually within seven days of the meeting. To reduce printing and postage costs, Agendas and Minutes are circulated electronically as far as possible, with printed copies made available to those members not on e-mail.

At each meeting, the Minutes of the previous meeting are confirmed as accurate or amendments made as required and then signed by the Rector or Lay Chairperson. Actions previously agreed are reviewed during the meeting to update PCC Members and to ensure an accurate record is kept. Standing Agenda items every month are Safeguarding, Finance and Building Matters, other items are added as necessary or appropriate.

PCC Members for 2022/23:

Louise Williams (Chair), Gareth Abbott, Denise Askew (Churchwarden), Sandra Baines, Keith Barham, Max Barnes, Andy Clipsham, Dean Dollman, Patrick Dromgoole (Treasurer), Geraldine Hansford, Julie Hardy (Vice Chair), Susan Phipps, Geoffrey Price (Secretary), Hannah Robinson & Lisa Thomas.

Our meetings have been both light hearted and enjoyable whilst maintaining a proper sense of responsibility for the finances, the upkeep of our churches and their halls as well as addressing matters of worship. We have been mindful also of our duty to parishioners and the wider public which comes with those responsibilities.

The PCC has complied with its duty under section 5 of the Safeguarding and Clergy Discipline Measure 2016 (to have due regard to the House of Bishops’ guidance on safeguarding children and vulnerable adults).

I would like to thank Louise and the members of the PCC for their advice and help during the year.

Geoffrey Price PCC Secretary

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RECTOR’S REPORT

I would like to thank you all for your cooperation, support and friendship over the past year. The following pages are full of activities and actions which we have undertaken together to sustain and grow the life of the church here in Shoebury.

There are many of you who should be thanked but I would like to pay tribute to our Church Warden Denise, who has worked so hard and successfully over the past year. She has agreed to continue for the coming year: hooray! However, we should have two Wardens. So, please prayerfully consider if this is you!

Thank you to Hannah and Peter for all they have given to the life of the parish in the past year. Hannah has been supporting the work at St Mary’s North Shoebury since June last year. She will be taking up a new post in May and so we hold her and Peter in our prayers as they move to Chelmsford. Peter has been generous with his time and talents in playing at many, many services and also helping with various IT issues. We will miss you both very much.

Some of you have enquired whether we will be welcoming another curate. The answer is that I haven’t been asked so, not this year.

Thank you to our Licensed Lay Ministers, Andy and Sandra for your preaching, service leading, music and leadership in the churches. You are a great support. It was wonderful to see Sandra licensed as LLM at Chelmsford Cathedral in the summer.

Thank you to others who have led services and preached in the past year: Mary, Geraldine, Nikki and Ivan. As well as those who lead intercessions, do Bible readings, welcome people, arrange flowers, maintain the buildings and tend the churchyard and garden, make the teas, give lifts etc.

Thank you to our PCC members: to our wonderful Secretary Geoff who does such a lot for the parish, as well as being very good at minutes. Thank you to Julie our Vice Chair as she steps down from PCC. Thank you to Patrick for the diligence and care which he applies to our accounts. And to all of you for the thoughtfulness with which you approach discussions.

We continue to be thankful to all who support our churches practically and financially and for those who pray each day for us.

If I’ve missed you out, your name may appear later in these reports. And if you are still not there, I do apologise.

One of the highlights of the year was the Queen’s Jubilee Party in May. St Peter’s was full of both church members and neighbours. Another was our Confirmation Service at St Andrew’s in November. We were joined by candidates from St Saviour’s and Christ Church and it was a very special and joyful occasion.

During 2022 we had 25 baptisms, 2 weddings, 23 funerals and 24 burials of ashes. We were sad to commend to God’s care Don Willis, Jean Childs, Jeremy Shallis, Derek Harris, Joy Bateman and early in 2023, to Mandy Robinson. We give thanks to God for the friendship and fellowship we have enjoyed with all these old friends.

Over the past year I have been able to take part in interview panels in my capacity as Area Dean, conduct parochial inspections on behalf of the Archdeacon and lead Deanery Synod.

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The recent decision of the General Synod to permit the blessing of same sex relationships, has caused some disquiet amongst some of my colleagues and congregations but our Deanery is mostly harmonious! I regard my main responsibility as Area Dean to support the clergy and keep an eye on the local churches.

On a personal level I have enjoyed commencing a three year, part-time MA in theology and spirituality. On 15 Fridays per academic year I go to West Malling in Kent and enjoy the luxury of study and thought. I’m grateful for Sandra’s help in taking ‘Be Still’ on those Fridays. I’m finding it very stimulating and am thankful for the encouragement of the Bishop and the PCC to do this course.

We have thanked each other which is right. Above all, we give thanks to God for his continued blessing and provision for our parish. There is much to be done to help us share the good news of his love throughout our parish. Please pray that we will use the gifts of God wisely and well. Please pray that our churches will grow in depth of faith and also in numbers. And that all we do in his name, will bring honour to God.

Reverend Canon Louise Williams

St Andrew’s Church and Hall:

Throughout 2022-23 we have undertaken several works in both the church and hall.

Church

We wanted to replace the external light bulbs for more environmentally friendly ones. The result has been replacement light fittings, mainly situated under the eaves. This has improved the appearance as well as the efficiency of the external lighting. Spikes have been placed over the north and east windows to deter the pigeons. PAT testing and fire safety equipment testing is all in order.

Thank you to Susan Phipps who ensures we have flowers week by week and for the team who help at Christmas, Easter and Harvest: Geoff, Debbie and Mary. Other volunteers are welcome. Thank you also to those who donate money for flowers in memory of loved ones throughout the year.

We have a small but dedicated group of cleaners who keep St Andrew’s looking smart and well-cared for. Thank you to all of you for your time and dedication. If you would like to share in this work, please contact Sue Kelly.

The vestry roof started to leak again and we are grateful to Jason Worrell for fixing it for us.

Currently under discussion:

The PCC continue to research and discuss the interior of St Andrew’s. New, under pew heaters seem the best solution to improve the heating. We hope to get permission to ‘revamp’ and refresh all of the woodwork in the church as it is looking tired. We would like to move the font to the place currently occupied by the piano, with the piano moving to the chancel. This will make baptisms considerably easier and will look very attractive. It will also make the tower easier to use for seating.

Last summer we started thinking about the pipe organ which is currently never used. A number of the congregation were surprised to learn that it is actually an organ! A few weeks after this subject was broached at PCC, we had the offer of a functioning electronic church organ. The Archdeacon gave his permission and we were astonished that there was a

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perfectly sized space in the chancel for the new instrument! Since then it has been in use nearly every Sunday. We give thanks to God for this gift and felt it was timely that it arrived so soon after we began considering seeking permission to remove the pipe organ. It is becoming increasingly clear that our building is difficult for wheelchair users and those with limited mobility and the PCC recognise that this is not acceptable. To this end we are seeking advice and guidance as to how we can make the main part of the church (not the chancel) step-free. There are various possibilities but we don’t yet know what is permitted. To enable wheel chair users to sit near the front whilst remaining in their chairs, we propose swapping one of the short pews nearer to the front to leave a decent space for wheelchairs. We also hope to install some pulleys for the chandeliers to make lighting the candles much safer.

Moving furniture or changing the interior of churches can feel unsettling. I will be very happy to walk around the church with you and chat this through. And, ancient buildings require very strict permissions so we won’t be doing anything without those!

Churchyard

The churchyard is a great gift to us and our neighbours. Thank you to all who have helped maintain the churchyard: we receive many appreciative comments about (and donations for) the churchyard. Special thanks to Peter, Mary and Patrick. We can always do with another pair of hands so please contact Peter Kelly if you would like to help. The Community Payback Team continue to help every Saturday and are making a real difference.

Various items of equipment have been purchased over the year to enable our volunteers to complete their tasks.

The roofs on the outside toilet and shed have been replaced as they were leaking beyond repair.

We have purchased new noticeboards for the church and the hall. A charity has given us bike stands which will be situated outside the church hall. We hope that this will encourage those who are considering cycling to church to make use of them.

Church Hall

It has been a real joy to make use of the back rooms and kitchen, as well as the main hall, for various activities in the past year. The gas hot water boiler in the kitchen was proving not cost effective to keep repairing and has been replaced by an electric heater.

A new flush system has been fitted in the gent’s loos which is much more eco-friendly and should save a lot of water.

PAT testing and fire safety equipment testing is all in order.

Huge thanks are due to Jane for her hard work cleaning both our church halls and to Sue, Peter and Geoff for all they do to maintain the hall and the churchyard.

Reverend Canon Louise Williams (on behalf of our Church Warden!)

THE CHILDREN’S SOCIETY

This year’s box collection resulted in a total of £339 being paid to the society and an acknowledgement has been received from them. This total is lower than last year and may be a reflection of the current cost of living crisis coupled with the further advance of the cashless society.

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Following the Christingle Service a donation of £105.72 was sent to the society.

Geoff Price – Box Coordinator

TUESDAYS AT TWO

We have had a full programme of weekly meetings during the past year with the usual breaks at Christmas, Easter and throughout August. I am pleased to report that our membership has increased and we all look forward to meeting up for a chat and refreshments. We had special cakes at Christmas and Easter and pancakes on Shrove Tuesday. One of our members, Georgie Swann, celebrated her 102[nd] Birthday with us in late September.

Geoff Price

PARISH MAGAZINE

The Parish Magazine continues to be well supported and enjoys a wide readership as many people tell me they pass on their copy to friends and relatives once they have read it! Also we get through quite a large number at St Andrew’s as people visit the church. At the end of 2022, Geraldine Hansford decided that it was time to relinquish her editorship of the magazine and we extend our grateful thanks for all her hard work in producing the magazine over a number of years.

We are pleased to welcome Rev Louise as caretaker editor and thank her for taking over whilst a new editor is sought.

Geoff Price

ST ANDREW’S CHURCH HALL

Since the refurbishment and installation of Wi-Fi the hall is doing well with bookings, once the Notice Boards are installed outside we could get more interest.

Sue Kelly- Church Hall Manager

ST PETER’S CHURCH HALL

The last year has seen some improvement in use for parties since covid. I am sure this will continue to improve and time passes and we all become accustomed to living with covid. Those who do use the hall are always pleased with its condition and facilities. One family used it for their Christmas gathering as their numbers had increased beyond any of their homes. They enjoyed it making full use of the double oven 8 ring cooker in the kitchen.

The regular hall users have changed slightly. We lost Hartbeeps due to lack of numbers as well as Silver Circle. Margaret Hammond was unable to continue and could find no replacement. Sadly Margaret Hammond passed away recently. There are many who have fond memories of the Silver circle meetings including my own mother and would have liked to have thanked her for all her hard work.

Slimming world are going strong under new leadership as Lin left. The Fifty Choir are still going strong as well as Beavers and Cubs. Rainbows have increased their hours to include

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Brownies now. The Shoebury Society changed the day and hours but are still going strong. We have gained a few new groups Yoga (2 sessions) and Singing lessons. Libby Barnes has also brought Cake Club to us on Thursday mornings. This is a group to support young mothers in a variety of ways.

Our own group Tea, Toast and Toddlers on Tuesday mornings is doing well under the leadership and hard work of Mary Fane with the help of Geraldine and Nikki. It is proving very popular. We are trying to start another group for the more mature among us on the 3[rd] Thursday of every month. It’s a group for those that would like to chat over a cuppa and cake. Bring along a bit of knitting or something creative if you wish but it’s not essential.

We, with help of some Hinguar Street residents, hosted the party for the Platinum Jubilee for the late Queen Elizabeth II for members of the congregation and our local neighbours. This proved a great success. So much so we are organising a similar party for the Coronation of King Charles III.

A great thanks goes to Mary who helps in ways too numerous to mention. Also thanks to Jane who cleans and Alan and Karen who look after the garden and do more than the odd job around.

Den Askew- Hall Manager

PARISH BIRTHDAY CARDS

A Birthday card is sent to all parishioners who have given us their details to enable us to do so. We thank Kym Hazard-Garne who undertakes this year round operation.

Geoff Price

ELECTORAL ROLL

At the time of writing this report the roll is being updated and will be presented at the APCM.

Libby Barnes - Electoral Roll Officer

CURATE’S REPORT

In June last year, I moved over to St Mary’s North Shoebury to take over from Revd David Pierce as the lead minister after he retired. It has been a challenging but extremely rewarding time. The church wardens and I formed a solid team very quickly and every Monday after morning prayer we go off to the Parsons Barn for breakfast and to have a weekly meeting.

In September we began Xplore a science based family service, the young people and parents get to have a go at science experiments. These have ranged from Walking on Custard, gravity and dactylology – where the young people had to solve the mystery of who ate the biscuit, by finding and studying fingerprints.

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We also, in partnership with Asda and SAVS community builders, started a community hub once a month, where people from the community can come and meet up with different community agencies. One of the best things that has come out of the hub after a meeting with a COPD sufferer, is a COPD support group with a specialist nurse.

Once a month we also hold an evening social and they have had many different formats, from the joint Harvest Fish and Chip Supper and Beetle drive with South Shoebury – thank you to everyone who came - to a talent sharing evening where the young people from Xplore stole the evening with a dance from Matilda the Musical. Since Christmas we have been using our monthly socials to raise money for new vestments, this fundraiser was kicked off in the January all age service, which ended with me receiving a shaving foam pie in the face! We have also held a quiz night and a St Mary Berry – pudding evening and bake off contest where I got to be a proud wife as Peter won with what I must add, in a nonbiased way, was an amazing coffee cake! I have been blown away that we’re already half way towards our target.

As has been recently announced, Peter and I are moving to Chelmsford, where I will take up the role of Priest in charge of St John’s Moulsham and Chaplain to ARU University Chelmsford. Peter and I have very much enjoyed our time with you. Though you have not seen me much this year, I still hear all you have been up to through Peter and you have very much been in my prayers.

Can I take this opportunity to thank you all, for helping me grow into the priest I am today, and putting up with awkwardness and stumbling through the services at the beginning. Especially to Louise for teaching me so well and putting up with my 101 questions.

Thank you

Hannah Robinson- Assistant Curate

CHURCHWARDEN’S REPORT

St Peters Church

Quite a bit of work has been done this year at St Peters. To start with the roof repairs after storm Eunice caused a tree to punch a hole in it. The ceiling inside the hall also had to be repaired. The north windows have been allowing rainwater to soak through the walls for some time now. These have all been sorted out now with thanks to Jason Worrell.

We have also had a problem in the rear corner near the font with water damage around the windows. This has been investigated at various times but rising damp was discovered by Jason. The work required stripping back the walls to treat it then replastering the whole area. It currently awaits redecoration. A faculty has been submitted for decorating the whole Church and renew the carpet. It also includes removing the old organ carcass from the rear of the church. It currently just houses the audio equipment. This still awaits permission.

The disabled toilet had cracked tiles which was dangerous. These have been removed and the wall replastered. The Mens’ urinals have had a PIR flushing system fitted. This means

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they will only flush once an hour if the sensor has been activated. The previous system meant the water continued to fill up the cistern which then flushed whether required to or not 24 hours a day. The new system is obviously more eco-friendly and saves water.

There is also a new fence between the lawn area and car park. The old fence was being held together with prayers and wishes. The rotting gate at the end of the building has also been replaced. My Thanks to Alan and Karen for organising this with Lemon fencing and for removing the old fence and gate.

We have a new noticeboard waiting to go up along with some cycle racks supplied by a cycling charity to encourage people to cycle to church. They are soon to be erected at the front of the church where the current notice board is placed.

Church Warden

We have done much work this year looking at ways we can plan for caring for the heritage of our churches but trying to make them accessible to all for the future. It is important that we move with what is required for the future to help the congregation continue to attend and grow for centuries to come.

I am particularly glad we found the services of Jason Worrell. A fine young builder who has done much work for us this year and will I hope continue to do so this next year. God bless him and his young family.

As church warden I would like to give an enormous thank you to all those who help by doing the jobs around the churches and grounds you currently undertake. Even if it’s just telling me something needs refilling. These all make my life as church warden so much easier and help keep me on track. You all know who you are but a particular thanks to Geoff and Keith at St Andrews and Mary, Karen and Alan at St Peters. And of course to Sandra and Louise who have incredible patience with me.

Denise Askew - Churchwarden

SOUTHEND DEANERY SYNOD MEETINGS

These are held 3 times a year at different churches within the deanery.

The June meeting was held at St Peter’s, Westcliff and included a video presentation about the work of ‘Lifestreams’, the ongoing mission at St Peter’s, St Cedd’s and St Stephen’s. This was followed by an informative presentation by John Tipping on the new Parish Share. In the November meeting, held at St Mary’s North Shoebury, the focus was on Children, Family and Youth work. Lois Blakey, the Children and Family worker from St Mary’s Prittlewell, spoke about her work, and parishes shared their varying experiences. The January meeting was held at St Mary’s Prittlewell and included a sharing of the variety of Bible study, home groups, prayer, reflection, etc. available at different churches in the Deanery.

We also held a joint Deanery service and picnic at St Augustine’s on 12[th] June to celebrate the Queen’s Diamond Jubilee.

Sandra Baines

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ST ANDREW’S AND ST PETER’S CHOIR

This group is open to anyone with a joy of singing.

We were delighted to meet together in November and December to prepare songs for both the Service of Light and Carols by Candlelight (A pleasure we had been denied for the previous two years, due to Covid restrictions).

At the time of writing, we are meeting on a Monday evening to prepare songs for services over the Easter weekend.

Sandra Baines

CHURCH FUN CLUB

We continue to meet 3.30-4.30pm on Tuesdays in term-time. It’s a happy group with approximately 8 children who are accompanied by a parent or carer. We have energetic games for about 10-15 minutes. These are often led by our Duke of Edinburgh award volunteer, Deanna. She is a great asset and does a wonderful job. We are grateful to her. We are also delighted that Kyla has recently started coming along to help.

We have circle time and think about the things that are important two us. We often have a time of singing and we always have some prayers. Worksheets, colouring, craft and discussion help us to learn Bible stories and to understand more about our faith.

Twice each term we have a service of Holy Communion in St Andrew’s at 6pm. This is always a very special time. The children help to choose the songs and the things we pray for. Over the past few months, they have read the Bible readings and acted out the story. Other members of the congregation are most welcome

We currently have 3 children preparing to receive Holy Communion (before Confirmation). This will happen on July 2[nd] at our 9.30am service. Instead of Family Service, it will be Family Communion. I hope we will have a really good attendance that day to support the children in this new step in their journey with Jesus.

Louise Williams

YOUTH GROUP

During the past year we have restarted the provision we offer for our young people. Our youth group meet weekly for young people aged 11 and over.

Activities available include table tennis, hockey and board games. We offer milkshakes and snacks. We end each week with a quiet, more reflective time.

Feedback from parents has been positive as they appreciate having a safe space for their children. The group is led by Sandra and Debs. Kyla and Maggie, our young leaders, also support.

Debbie Oakley

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BIBLE STUDY GROUP

Our evening Bible Study groups on both zoom and in person were not well-attended so we thought it was worth seeing if a daytime meeting was more popular. This has proved to be a good decision.

We meet most Monday afternoons at 2pm in the back room of St Andrew’s Hall. Before Lent we were watching some DVDs about the life of St Peter and then looking at various Bible passages associated with him. During Lent we discussed Failure, Sin and Forgiveness…which was more enjoyable than it sounds!

This group is open to all. It isn’t an academic study but an opportunity to be encouraged in our Christian life.

We have also held a Pilgrim Group during which we learnt more about the Lord’s Prayer. We hope to offer another evening study group later in the year.

LICENCED LAY MINISTRY (LLM)

Having completed three years of study, I was licensed as a lay minister on 25[th] June, in a moving service at Chelmsford Cathedral. This has enabled me to continue to serve in our parish by leading services and preaching, as well as supporting or facilitating various activities during the week.

I have also been able to help out at Holy Trinity during their interregnum, by leading their evensong on a few occasions.

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Sandra Baines

ECO CHURCH

As a PCC, we have been conscious of the need to reduce our carbon footprint. Recycling and compost bins are now provided in both of the halls; we use eco-friendly cleaning products, Fair Trade beverages and recycled toilet paper; and cycle racks are being erected at both venues.

I am pleased to report that we have achieved the Bronze Eco Church Award in both churches.

Details of this award, provided by A Rocha can be found at ecochurch.arocha.org.uk/

Sandra Baines

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COURSE IN CHRISTIAN STUDIES

We’re nearing the end of our Course in Christian Studies (CCS). In the last year we have looked at topics ranging from what ‘We Believe’ (looking at the Trinity) and ‘Baptism & Eucharist’, via ’The Church, the World, and Essex’ (an overview of Church history around the world, with some extra focus closer to home) to ‘Living Spirituality’ and ‘Christian Decision Making’ (reflecting on how our faith affects our lives, and how we can make ‘good’ decisions).

During Lent, rather than meeting in our usual groups, the diocese offers various courses. I chose the ‘Development of Holy Communion’. Starting with a Latin mass from the preReformation era, via three versions of the ‘Book of Common Prayer’ and wrapping up with the ‘Common Worship’, each week we learnt a little about each service, then celebrated communion in that style (yes, the first service was entirely in Latin!), and then as a group we reflected a little on what we’d experienced.

I’m looking forward to reuniting with our online group for the final module ‘Mission and Vocation’, which I’m sure will see more laughter and learning, as well as giving up more food for thought.

Peter Robinson

MISSIONARY REPORT – LATIN LINK

Since last year both our ministries have developed in different ways.

Cesia's work with Connected Hearts has continued to grow. There are a couple of new members in the team (Deborah and Maggie) and they have started using the "Crossroads" discipleship and Bible Study course. A big reason to be thankful is that all the visits for 2023 have been pre-approved. Additionally, Connected Hearts has been working more in supporting ex-prisoners' reintegration into society. They currently work with around 90 current prisoners and a few ex-prisoners.

Since last year Geoff has been working in developing his role in Latin Link as Team Leader for Guatemala and Mexico, and has gained leadership of the team in Costa Rica and Nicaragua as well. He continues to teach classes in Old Testament at the Seminary and this year will teach on different history books (Judges, Ruth and Joshua) as well as an in depth course on Isaiah.

Sofía is growing up way too fast! She loves being out in nature and getting dirty and is taking her first steps. Her favourite words at the moment are "cat", "water" and "no". We are truly blessed to have such an amazing child.

As always we love hearing from you, please feel free to email either of us with any questions you may have.

God bless,

Geoff Baines

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Minutes of the Annual Parochial Church Meeting held on Sunday 24[th] April 2022 in St Andrew’s Hall

26 members of the Electoral Roll were present

VESTRY MEETING:

1. Prayer and Welcome

Louise welcomed everyone to the meeting, opened with a prayer at 11.20am and outlined the programme for the APCM.

2. Thanks to Churchwardens

Louise thanked Denise Askew for her work as Churchwarden over the last 12 months since her election at last year’s APCM when Bob Hemmings was also elected to serve with her. Unfortunately, Bob was able to serve for only 1 month before he had to retire due to ill health and Denise had stepped-up and looked after the parish in her capacity as solo warden for the remaining 11 months and for which we are very grateful to her.

Denise Askew would now stand for re-election as Churchwarden and it had been hoped that Paul Thomas would also stand for election. Paul has a medical problem and is currently awaiting test results, the outcome of which will determine his ability to stand for election. We wish him well in the hope that he will be able to join us as Churchwarden for which we will call an extraordinary Vestry Meeting to elect him.

Following this, Denise Askew was unanimously re-elected as Churchwarden and will serve, ex officio, on the PCC.

This concluded the Vestry Meeting and the Annual Parochial Church Meeting then took place.

ANNUAL PAROCHIAL CHURCH MEETING:

The meeting commenced at 11.25am with apologies from Gareth Abbott, Julie, Jon and Chris Hardy, Libby Barnes, Susan and Keith Phipps, Mike and Caroline Dedman, Heather Bush, Brian and Jennifer Whymark, Pat Campling, Bette Latter and Brian Theedom

The minutes from last year’s APCM were then presented and comments were invited. There being no comments or corrections requested, the 2021 APCM minutes were duly signed by Louise.

1. Questions and comments on the 2022 reports submitted

The reports had been available for approx. 2 weeks before the meeting date both via e-mail and in hard copy. There were no specific questions on any of the reports submitted, hence all were accepted and Louise thanked all contributors. Keith Barham added “congratulations to all on what you have achieved over the year”.

2. Elections

a Election of PCC Members

Nominations for PCC members were received as follows:

Gareth Abbott, Max Barnes, Dean Dollman, Patrick Dromgoole, Geraldine Hansford, Julie Hardy, Susan Phipps, Geoffrey Price and Lisa Thomas.

Since we have more vacancies than nominations, all were duly elected.

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Ex-officio Members are Louise Williams and Andy Clipsham, together with Sandra Baines and Keith Barham (Deanery Synod Representatives), Denise Askew (Churchwarden). Also, Exofficio is Hannah Robinson our curate.

Louise thanked retiring member Maureen Pottinger for her service over the past 20 years.

b. Deanery Synod Representatives

Sandra Baines and Keith Barham were elected 2 years ago and stand for a 3 year term. As already stated, they are ex-officio members of the PCC.

2. Treasurer’s Address

Patrick addressed the meeting and presented the accounts. He started by advising the meeting that we are now registered as a charity with the Charity Commission and PCC members are trustees of that charity. With reference to the accounts, he stated that overall, we are “doing really well”. Although income from hall hire was down due to Covid our income of £95,975 for the year was very good. Legacies in 2021 were lower than for 2020 but legacies in the current year will exceed £100,000 (the point at which we are required to declare charity status). Patrick said that this year we will:

i) Inform the Charity Commission of our activities.

ii) Set an investment strategy (£227,000 assets are available).

iii) Claim back Tax and VAT from government where possible.

Keith Barham proposed, seconded by Max Barnes, that the meeting accept the accounts and the motion was carried unanimously.

Louise thanked Patrick for all his hard work on the finances.

3. Appointment of Independent Examiner for the next APCM

Joanne Tsang was re-appointed as the Independent Examiner. Louise had sent her some flowers to acknowledge her hard work in going through our accounts and Jo had contacted Louise to thank her.

4. Electoral Roll Report

Our Electoral Roll Officer Libby Barnes was not able to attend the meeting but her husband and PCC member Max reported that the total on the roll is now 131 and 7 names had been removed.

5. Rector’s Address

Louise gave thanks for all that is done in the parish and brought the following to our attention:

i) Safeguarding is very high on our priorities and is addressed throughout all our parish activities.

ii) Plans are well in place for the Jubilee with a Fair at St Andrew’s on the Saturday and an event at St Peter’s on the Sunday which is being organised in conjunction with Hinguar Street residents.

Page 17 of 18

iii) Heating at St Andrew’s “is to be tackled” and floor levelling looked at.

iv) If you cannot physically do things – Pray!

v) Louise would like to appoint a secretary / administrator to assist her. This would be for just a few hours a week and £30 - £40 per month payment would be available. The funding is provided by the Diocese to enable her to carry out her responsibilities as Area Dean.

6. Any Other Business

Ted Lester asked about the possibility of installing solar panels on St Andrew’s hall roof. Sandra Baines responded that she will be addressing this as part of her ECO survey.

7. Closing Prayer

There being no other business, the meeting ended with prayers at 12.15pm.

Compiled: Geoffrey Price 25[th] April 2022

Page 18 of 18

The Parish of St Andrew & St Peter, South Shoebury

ANNUAL REPORT AND FINANCIAL STATEMENTS

For the year ended 31[st] December 2022

Incumbent:

Revd. Canon Louise Williams

The Rectory 42 Church Road Shoebury Essex SS3 9EU

Bankers:

Barclays Bank 127 High Street Southend-on-Sea Essex SS1 1LT

Independent Examiner:

Joanne Tsang 31 Hornbeam Close, Norwich, Norfolk NR7 8LN

Independent Examlnevs Report To the Parochlal Church Councll of St Andrew & St Peter South Shoebury I r8POrt kn Ihe trustees rny examlnat¥)n of tho al￿)Unts of thè p￿Chial Church Counul of St Andrew & St Petér. SO￿ Str￿ ts th8 y8w 31•t D￿eMt 2022. R••pecllvo rosponslblllllos of th• Tru•té•s and th• •xamln•r As T￿￿te•S of Iho Charity. the Tr￿MberS cl the PCC are responsiblo tr th8 preparakn of the financlal sla1￿8nts. You consider Ihat an alKI￿ 1$ not rewired kn this year under section 144 of tho Charit Pd 2011 (Ihe 2011 Ad) that an iThlependent examlnallon Is needed. 11 is my resportsibility to: • examlno th8 aCyx￿nIs WKl8r secl¥￿ 145 crfthe 2011 follow the procedures laid d(Mm Ganèral DireCtKx￿ given by tr Charlty Commissioners seclion 145(5Xb) of the 2011 Act and . state whether particular matters have ccrn lo my atten11￿. 8a•ls of Ind•p•ndMrt Examln•f$ Statsm•nt I report in reS￿t of my examlnakn of tho TnJsfs a0￿Un￿ ￿rriod out under ￿ ac￿rdan¢> with the General Directrons gNen by the Charity Commlsslon. That examination includes a revl8w of a¢￿￿ting records Wt by the PCC 8r•d a comparison of the accounts wilh those records. 11 also indLKles considering any Ilans ￿ dlscloswes in the finandal stalam8nls and soeking 8xpFanations from a$ Ifu5kes conceming any such matters. The procoduT8S undertaken do rKJt Km4id8 all ￿ evidence that would be requlred in an audi( and c4)n5equently I do not express an awlit opinicm the viw glven by thé accounts. IndepMd•nt •xamln•rf• stat•m• I have c(Knpleted my examlnatkn. l u#ffimi that no material matt￿$ have c<¥n8 to rny attention in ojnnection the examinati￿ grryry mg caus8 kn boliw8 that in any material respect: 1. wthich glv6 reas￿aL4? ca￿e to bell￿ that In ￿ matsiial reS￿ct the requlrements lo kè8P ac(xxmtiw re(x)rds in awdance with s.130 ofthe 2011 A¢ or to prepare aCcO￿ts acuKd with these acammtlng r8cths have not been m8t' or 2. to which. in my opinion. attenllon b8 drawn in ttxs ryort In c*dw lo e a proper understandiTrJ of the a¢oxmts to bo reached. ble Joanno Tsang 31 Hombaam dose, Norwlch, Norfol( NR7 8LN gi kFil aD ErtED hetoMTArfI

The Parish of St Andrew & St Peter, South Shoebury

Year ended 31[st] December 2022

Overview and Notes to the Accounts

2022 Highlights

2022 has been an important year for us as we move through the COVID challenge and look to the future. The impact on our hall income in particular and some of our other revenue was significant through the COVID-19 period but it has been immensely encouraging to see that our voluntary giving has largely been unaffected throughout this time. We are very fortunate to have committed and loyal givers who have supported us throughout and enabled us to maintain a healthy financial position.

Hall income has recovered quite well with over £16,000 of hall income in 2022 compared to £8,000 in 2021. We should be aiming to secure at least £20,000 of annual revenue from the halls in the coming year or two.

We have benefited from some very significant legacies this year totalling £236,288. This creates opportunities for us, which the PCC are currently assessing. Whilst these legacies clearly entail a sad loss, they are nonetheless extremely important to us and we remain most grateful to all who have remembered us in their wills and to those of you who have made provision to do the same.

This legacy income has allowed us to have lengthy conversations about a number of capital expenditure projects that will make a difference to us. This includes looking at the heating at St Andrew’s, making St Andrew’s in particular more accessible to all and looking at a general refurbishment of St Peter’s church. We are also mindful of our desire to be an eco church and what that may entail.

We have continued to invest in the repair and maintenance of our various buildings, including the Parish house, which is a welcome development as it is preserving the fabric of our buildings but also making them more attractive and usable for all concerned.

As agreed with the PCC, we are now registered with the Charity Commission as our income is over the £100,000 requirement threshold. This is an important step. There are no material implications or extra onerous responsibilities but it is something we are legally required to do. Members of the PCC are Trustees of the Charity.

Overall our financial position remains strong and we continue to ‘pay our way’ and make a financial difference to the wider community through our missionary fund.

1) Financial Statements Overview

The financial statements have been prepared in accordance with the Church Accounting Regulations 2006 together with the applicable accounting standards and the “Statement of Recommended Practice” (SORP) 2015 issued by the Charity Commissioners.

Accounting Basis

In 2020 the PCC made the decision to move from the accruals basis of accounting to the receipts and payments basis. This is a simpler basis of accounting which makes it easier to manage the accounts. The key difference is that the receipts and payments basis covers only income and expenditure that has actually gone through the bank accounts whereas the accruals basis requires provisions to be made for income and expenditure that has been incurred even though it may not have passed through the bank accounts. The Charity Commission allows us to do this where our gross income is below £250,000 (section 133 of the 2011 Act).

However in 2022 our gross income was above the £250,000 threshold due to the generous legacies we have received. As a result the 2022 accounts are presented on an accruals basis. The PCC will make a decision during the course of 2023 whether to revert back to a receipts and payments basis for 2023 if the revenue drops back below the threshold (which we anticipate it will).

Accounting Software

As a reminder we are now using church accounting software for our accounts provided by Data Developments who are one of the leading providers in this field. The software makes it easier to manage the accounts and can produce any required reports automatically. This is the third full year of accounts for which we have used this software.

Funds

The accounts are split into separate funds. The main funds of the Council are described in terms of their purpose and restrictions at the end of this report. Funds can be Unrestricted, Designated, Restricted or Endowment in nature.

Bank Accounts

Our main bank account is with Barclays Bank. In addition we have two smaller accounts with RBS (the Royal Bank of Scotland). We are still in the process of moving or closing these accounts (at the request of RBS) although this has proved difficult to do so to date.

We also have an account with the CBF (Central Board Of Finance – Church of England). In addition we have two ‘cash in hand’ tins – one at each church. These are represented separately in our accounts.

Investment Strategy

The PCC are reviewing our investment strategy to ensure that we are managing our money appropriately and in line with the Charity Commission’s expectations. Having received some significant legacies in to our accounts in 2022 we are looking to invest some of this with additional financial institutions to spread our risk and ensure that our assets are protected by the Financial Services Compensation Scheme which fully protects assets of up to £85,000 in each financial institution.

We are considering investing some money with the Chelmsford Diocesan Board of Finance in one of their managed funds. This will give us a greater spread of our financial assets and will give us better medium to long term growth. We will document this fully once it is agreed. However we are first assessing what our spend will be on the various projects that the PCC have been reviewing.

Reserves Policy

It is important that we have an established reserves policy to ensure that we can meet our future commitments, for example repairs to the buildings. We will be documenting our reserves policy in 2023 and will include anticipated future significant expenditure in relation to the various buildings that we are responsible for. We are currently working on these numbers in conjunction with our investment strategy.

Income

We collect a meaningful amount of fees for funerals and weddings during the course of the year. Most of this is collected on behalf of the diocese and remitted to them. A small amount is clergy expenses often at the discretion of the funeral director. We now put both of these elements into an agency fund rather than in the incoming resources as we are collecting on behalf of a third party.

Expenditure

We show the full Parish Share in our accounts. We have an arrangement with the Diocese where they reduce our Parish Share monthly contribution by £765 a month as their contribution for the parish house rent. We show the rent as investment income and show the Parish Share in full.

For the last couple of years we have broken down quite a bit of the expenditure to a more granular level than we historically have done. This enables the PCC to see exactly where our expenditure goes and to consider any adjustments that they might feel appropriate.

Fixed Assets

Consecrated property is not included in the accounts in accordance with Section 10(2)(a) and (c) of the Charities Act 2011.

The Rectory will appear as an asset of the Chelmsford Diocesan Board of Finance in their financial statements and therefore are not be in the accounts of the PCC.

We have included the church house in our assets based on a valuation of £40,000 which was the purchase price in 1985.

Moveable church furnishings

Movable church furnishings held by the Vicar and Churchwardens on special trust for the PCC and which require a faculty for disposal are inalienable property and are not included in the Balance Sheet

Other movable church furnishings are capitalised at cost and depreciated over their useful economic life as per the list in the following section.

For anything acquired prior to 2013 there is insufficient cost information available and therefore such assets are not valued in the financial statements. Since 2013 no individual item has cost more than £1,000.

Tangible fixed assets for use by charity

Assets are capitalised if they can be used for more than one year, and cost at least £1,000. They are valued at cost. Any items below £1,000 are included as an expenditure item not an asset on the balance sheet.

Depreciation

Depreciation is calculated to write off the capitalized cost of fixed assets less their currently anticipated residual fair value over their estimated useful lives. Assets over £1,000 are depreciated on a straight line basis as follows:

Investments

Investments are valued at market value as at 31st December 2022.

2) Income

3) Expenditure

4) Transfers between funds

5) Transfers between accounts

6) Funds

7) Balance Sheet

8) Statement of Assets and Liabilities

9) Other notes

Patrick Dromgoole

Treasurer

St Andrew & St Peter, South Shoebury

Definition of Funds

Name Name Purpose Purpose Restrictions Designation
Building Fund – St
Andrew’s
To
fund
significant
maintenance
and
future
developments concerning the
Church and Hall buildings
Only for the purposes of church
and
hall
significant
maintenance and development
projects at St Andrew’s
Designated
and
some is Restricted
Building Fund – St
Peter’s
To
fund
significant
maintenance
and
future
developments concerning the
Church and Hall buildings
Only for the purposes of church
and
hall
significant
maintenance and development
projects at St Peter’s
Designated
Churchyard Fund To
provide
for
the
maintenance and upkeep of
the St Andrew’s Churchyard
Only
for
the
upkeep
and
maintenance of the churchyard
Restricted
General Fund The main fund we have for
the general activities of the
Parish
None Unrestricted
Magazine Fund To hold funds for magazine
related
activity
including
production costs
Only
for
magazine
related
activities and expenditure
Designated
Missionary Grant
Fund
To hold funds for distribution
to Christian charities and
other organisations &/or to
respond to disaster appeals
calculated on 10% of our
voluntary income.
For distribution to charities /
organisations as directed by the
PCC during the financial year
or in the first quarter of the
following year
Designated
Parish
House
Fund
To
provide
for
the
maintenance and upkeep of
the Parish House
Only
for
the
upkeep
and
maintenance
of
the
Parish
House
Designated
Youth Fund To hold funds given for youth
work
To be used for youth work only Designated
Agency
Collections
To hold monies collected for
third parties e.g. CDBF Fees,
Charity collections etc.
Amounts to be paid over only to
the parties for whom they have
been collected
Restricted
Definition
these monies can be used for any purpose
these monies have been set aside by the PCC for a specific purpose
these monies have been given for a specific purpose and can only be used for
thatpurpose
Type Definition
Unrestricted these monies can be used for any purpose
Designated these monies have been set aside by the PCC for a specific purpose
Restricted these monies have been given for a specific purpose and can only be used for
thatpurpose

Parish of St Andrew & St Peter South Shoebury

Statement of Financial Activities

For the period from 01 January 2022 to 31 December 2022

Unrestricted Restricted Endowment Total Prior year
funds funds funds funds total funds
Income and endowments from:
Donations and legacies 282,034 420 282,454 69,469
Income from charitable activities 6,652 160 6,812 7,001
Other trading activities 19,910 19,910 10,338
Investments 12,091 12,091 9,070
Other income 9,380 9,380 95
Total income 330,069 580 330,649 95,975
Expenditure on:
Raising funds 23,689 23,689 8,236
Expenditure on charitable activities 99,248 16,616 115,864 98,722
Other expenditure 4,651 4,651 2,061
Total expenditure 127,589 16,616 144,205 109,020
Net income / (expenditure) resources before transfer 202,479 (16,036) 186,443 (13,045)
Transfers
Gross transfers between funds - in 7,170 7,170 12,509
Gross transfers between funds - out (7,170) (7,170) (12,509)
Other recognised gains / losses
Gains / losses on investment assets
Gains on revaluation, fixed assets, charity's own use
Net movement in funds 195,309 (8,865) 186,443 (13,045)
Reconciliation of funds
Total funds brought forward 157,061 20,267 177,328 190,373
Total funds carried forward 352,370 11,401 363,772 177,328

There may be minor discrepancies in the totals if the pence are not being shown

12

Parish of St Andrew & St Peter South Shoebury

Analysis of income and expenditure

Selected period: 01 January 2022 to 31 December 2022

Total
Unrestricted Designated Restricted Endowment This year Last year
Income and endowments
Donations and legacies
0101 - Gift Aid - Bank 1,461 1,461 5,000
0110 - Gift Aid - PGS 17,060 17,060 17,734
0160 - Non-Gift Aid 3,713 3,713 2,220
0201 - Other collections 459 459
0301 - Loose plate collections St A 12,014 12,014 7,453
0302 - Loose plate collections St P 3,045 3,045 2,363
0420 - Flowers 376 376 330
0430 - Churchyard 420 420 390
0501 - One-off Gift Aid gifts 730 730
0510 - Gift Day
0550 - Donations appeals etc 2,192 2,192 1,682
0601 - Tax recoverable on Gift Aid 4,566 4,566 4,213
0701 - Legacies 236,288 236,288 27,750
0901 - Other funds generated 127 127 331
Donations and legacies Totals 282,034 420 282,454 69,469
Income from charitable activities
1101 - Fees for weddings 732 732 1,318
1111 - Fees for funerals 5,920 5,920 4,280
1121 - Fees for baptisms 20
1131 - Fees for churchyard 160 160 1,383
1245 - Hire of the church
Income from charitable activities 6,652 160 6,812 7,001
Totals
Other trading activities
0910 - Fundraising events 2,861 2,861 2,239
1230 - Church hall lettings - St Andrew 8,808 8,808 4,337
1240 - Church hall lettings - St Peter 7,777 7,777 3,328
1250 - Magazine income - advertising 315 315 230
1260 - Parish magazine sales 97 97 183
1270 - Sundry 51 51 20
Other trading activities Totals 19,910 19,910 10,338
Investments
1020 - Bank and building society 2,911 2,911 70
interest
1030 - Rent from parish house 9,180 9,180 9,000
Investments Totals 2,911 9,180 12,091 9,070
Other income
1310 - Insurance claims 6,300 6,300
1315 - Other 3,080 3,080 95
Other income Totals 9,380 9,380 95
Income and endowments 320,889 9,180 580 330,649 95,975
Grand totals

There may be minor discrepancies in the totals if the pence are not being shown

13

Total
Unrestricted Designated Restricted Endowment This year Last year
Expenditure
Raising funds
1730 - Costs of fundraising events 10 10
1740 - Investment management costs
2466 - St Andrew hall waste collection 1,805 1,805 1,539
2486 - St Peter Hall waste collection 1,805 1,805 1,612
2600 - Parish house maintenance 19,720 19,720 4,431
2610 - Parish house insurance 255
2620 - Parish house utilities 347 347 398
2650 - Parish house council tax
Raising funds Totals 3,969 19,720 23,689 8,236
Expenditure on charitable activities
1801 - Missionary grants 8,986 8,986 10,015
1901 - Parish share 51,133 51,133 48,340
2101 - Working expenses of incumbent 368 368 324
2120 - Rectory council tax
2130 - Rectory expenses 115 115 177
2301 - Insurance St Andrew 2,584 2,584 2,169
2302 - Insurance St Peter 1,156 1,156 1,088
2330 - Church maintenance St Andrew 757 757 335
2331 - Church maintenance St Peter 7,009 7,009 1,360
2333 - Major repairs St Andrew Church 765 765 11,193
2335 - Major repairs St Peter Church 6,550 6,550 6,324
2401 - St Andrew Church electric 4,411 4,411 (301)
2411 - St Peter Church electric 63 63
2461 - St Andrew Hall electricity 1,002 1,002 (28)
2463 - St Andrew Hall gas 884 884 25
2465 - St Andrew Hall water 232 232 105
2481 - St Peter Hall electricity 930 930 326
2483 - St Peter Hall gas 2,809 2,809 476
2485 - St Peter Hall water 36 36 114
2560 - St Andrew Hall maintenance 4,940 4,940 8,199
2561 - St Peter Hall maintenance 2,720 2,720 352
2563 - St Andrew Hall cleaning 1,155 1,155 80
2565 - St Peter Hall cleaning 995 995 80
2590 - Upkeep of churchyard 7,630 7,630 5,121
2700 - Magazine expenses
2710 - Postage, printing, stationery 1,134 1,134 768
2720 - Website
2765 - Church activities 6,825 6,825 1,585
2767 - Music 502 502 433
2780 - Governance costs 164 164 53
Expenditure on charitable 99,248 16,616 115,864 98,722
activities Totals
Other expenditure
2750 - Equipment 3,596 3,596 1,113
2760 - Flowers 635 635 469
2790 - Fees 136 136 72
2800 - Sundries 282 282 406
Other expenditure Totals 4,651 4,651 2,061
Expenditure Grand totals 107,869 19,720 16,616 144,205 109,020

There may be minor discrepancies in the totals if the pence are not being shown

14

Parish of St Andrew & St Peter South Shoebury

Balance Sheet detailed

31/12/2022
31/12/2021
As at
As at
Fixed assets
40,000.00
6630: Parish House
40,000.00
40,000.00
Total Fixed assets
40,000.00
Current assets
62,317.89
6501: Barclays current account
69,446.03
519.33
6505: Royal Bank of Scotland Current Account
519.33
2,531.89
6506: Royal Bank of Scotland High Interest Acc
2,531.89
267,922.39
6510: CCLA (CBF) deposit account
65,011.21
17.46
6590: Cash in hand St A
3.32
22.16
6591: Cash in hand St P
40.75
333,331.12
Total Current assets
137,552.53
Liabilities
448.44
6699: Agency collections
224.00
9,110.40
Z04: Accounts Payable

9,558.84
Total Liabilities
224.00
363,772.28
Net Asset surplus (deficit)
177,328.53
Reserves
186,443.75
Excess / (deficit) to date
18,225.63
177,328.53
Z01: Starting balances
159,102.90
363,772.28
Total Reserves
177,328.53
292,526.79
Unrestricted
86,677.19
59,844.08
Designated
70,384.08
11,401.41
Restricted
20,267.26

Endowment

Represented by Funds
363,772.28
177,328.53
Total

15

Parish of St Andrew & St Peter South Shoebury

Statement of Assets and Liabilities (by fund) As at: 31 December 2022

Balance Previous
balance
Tangible assets
6630: Parish House - Asset
Parish House
Designated
Tangible assets
Cash at bank and in hand
6501: Barclays current account - Asset
Youth fund
Designated
General fund
Unrestricted
Churchyard Fund
Restricted
Missionary Grant Fund
Restricted
Building Fund St
Andrew
Designated
Building Fund St
Andrew
Restricted
Building Fund St Peter
Designated
Parish House
Designated
Magazine
Designated
Agency collection
Restricted
6505: Royal Bank of Scotland Current Account - Asset
General fund
Unrestricted
Churchyard Fund
Restricted
6506: Royal Bank of Scotland High Interest Acc - Asset
General fund
Unrestricted
6510: CCLA (CBF) deposit account - Asset
General fund
Unrestricted
6590: Cash in hand St A - Asset
General fund
Unrestricted
6591: Cash in hand St P - Asset
General fund
Unrestricted
Cash at bank and in hand
40,000.00
40,000.00
40,000.00
50.00
30,763.96
10,357.83
960.77
30.00
1,516.81
482.57
17,026.98
2,254.53
(1,125.56)
62,317.89
379.33
140.00
519.33
2,531.89
2,531.89
267,922.39
267,922.39
17.46
17.46
22.16
22.16
333,331.12
40,000.00
40,000.00
40,000.00
50.00
18,710.69
16,861.68
3,322.77
30.00
1,516.81
482.57
27,566.98
2,254.53
(1,350.00)
69,446.03
379.33
140.00
519.33
2,531.89
2,531.89
65,011.21
65,011.21
3.32
3.32
40.75
40.75
137,552.53

16

Previous Balance balance

Agency accounts
6699: Agency collections - Liability
Agency collection
Restricted
Agency accounts
Creditors: Amounts falling due in one year
Z04: Accounts Payable - Liability
General fund
Unrestricted
Creditors: Amounts falling due in one year
Grand Total
448.44
448.44
448.44
9,110.40
9,110.40
9,110.40
363,772.28
224.00
224.00
224.00



177,328.53

17

The Parish of St Andrew & St Peter, South Shoebury

ANNUAL REPORT AND FINANCIAL STATEMENTS

For the year ended 31[st] December 2022

Incumbent:

Revd. Canon Louise Williams

The Rectory 42 Church Road Shoebury Essex SS3 9EU

Bankers:

Barclays Bank 127 High Street Southend-on-Sea Essex SS1 1LT

Independent Examiner:

Joanne Tsang 31 Hornbeam Close, Norwich, Norfolk NR7 8LN

Independent Examlnevs Report To the Parochlal Church Councll of St Andrew & St Peter South Shoebury I r8POrt kn Ihe trustees rny examlnat¥)n of tho al￿)Unts of thè p￿Chial Church Counul of St Andrew & St Petér. SO￿ Str￿ ts th8 y8w 31•t D￿eMt 2022. R••pecllvo rosponslblllllos of th• Tru•té•s and th• •xamln•r As T￿￿te•S of Iho Charity. the Tr￿MberS cl the PCC are responsiblo tr th8 preparakn of the financlal sla1￿8nts. You consider Ihat an alKI￿ 1$ not rewired kn this year under section 144 of tho Charit Pd 2011 (Ihe 2011 Ad) that an iThlependent examlnallon Is needed. 11 is my resportsibility to: • examlno th8 aCyx￿nIs WKl8r secl¥￿ 145 crfthe 2011 follow the procedures laid d(Mm Ganèral DireCtKx￿ given by tr Charlty Commissioners seclion 145(5Xb) of the 2011 Act and . state whether particular matters have ccrn lo my atten11￿. 8a•ls of Ind•p•ndMrt Examln•f$ Statsm•nt I report in reS￿t of my examlnakn of tho TnJsfs a0￿Un￿ ￿rriod out under ￿ ac￿rdan¢> with the General Directrons gNen by the Charity Commlsslon. That examination includes a revl8w of a¢￿￿ting records Wt by the PCC 8r•d a comparison of the accounts wilh those records. 11 also indLKles considering any Ilans ￿ dlscloswes in the finandal stalam8nls and soeking 8xpFanations from a$ Ifu5kes conceming any such matters. The procoduT8S undertaken do rKJt Km4id8 all ￿ evidence that would be requlred in an audi( and c4)n5equently I do not express an awlit opinicm the viw glven by thé accounts. IndepMd•nt •xamln•rf• stat•m• I have c(Knpleted my examlnatkn. l u#ffimi that no material matt￿$ have c<¥n8 to rny attention in ojnnection the examinati￿ grryry mg caus8 kn boliw8 that in any material respect: 1. wthich glv6 reas￿aL4? ca￿e to bell￿ that In ￿ matsiial reS￿ct the requlrements lo kè8P ac(xxmtiw re(x)rds in awdance with s.130 ofthe 2011 A¢ or to prepare aCcO￿ts acuKd with these acammtlng r8cths have not been m8t' or 2. to which. in my opinion. attenllon b8 drawn in ttxs ryort In c*dw lo e a proper understandiTrJ of the a¢oxmts to bo reached. ble Joanno Tsang 31 Hombaam dose, Norwlch, Norfol( NR7 8LN gi kFil aD ErtED hetoMTArfI

The Parish of St Andrew & St Peter, South Shoebury

Year ended 31[st] December 2022

Overview and Notes to the Accounts

2022 Highlights

2022 has been an important year for us as we move through the COVID challenge and look to the future. The impact on our hall income in particular and some of our other revenue was significant through the COVID-19 period but it has been immensely encouraging to see that our voluntary giving has largely been unaffected throughout this time. We are very fortunate to have committed and loyal givers who have supported us throughout and enabled us to maintain a healthy financial position.

Hall income has recovered quite well with over £16,000 of hall income in 2022 compared to £8,000 in 2021. We should be aiming to secure at least £20,000 of annual revenue from the halls in the coming year or two.

We have benefited from some very significant legacies this year totalling £236,288. This creates opportunities for us, which the PCC are currently assessing. Whilst these legacies clearly entail a sad loss, they are nonetheless extremely important to us and we remain most grateful to all who have remembered us in their wills and to those of you who have made provision to do the same.

This legacy income has allowed us to have lengthy conversations about a number of capital expenditure projects that will make a difference to us. This includes looking at the heating at St Andrew’s, making St Andrew’s in particular more accessible to all and looking at a general refurbishment of St Peter’s church. We are also mindful of our desire to be an eco church and what that may entail.

We have continued to invest in the repair and maintenance of our various buildings, including the Parish house, which is a welcome development as it is preserving the fabric of our buildings but also making them more attractive and usable for all concerned.

As agreed with the PCC, we are now registered with the Charity Commission as our income is over the £100,000 requirement threshold. This is an important step. There are no material implications or extra onerous responsibilities but it is something we are legally required to do. Members of the PCC are Trustees of the Charity.

Overall our financial position remains strong and we continue to ‘pay our way’ and make a financial difference to the wider community through our missionary fund.

1) Financial Statements Overview

The financial statements have been prepared in accordance with the Church Accounting Regulations 2006 together with the applicable accounting standards and the “Statement of Recommended Practice” (SORP) 2015 issued by the Charity Commissioners.

Accounting Basis

In 2020 the PCC made the decision to move from the accruals basis of accounting to the receipts and payments basis. This is a simpler basis of accounting which makes it easier to manage the accounts. The key difference is that the receipts and payments basis covers only income and expenditure that has actually gone through the bank accounts whereas the accruals basis requires provisions to be made for income and expenditure that has been incurred even though it may not have passed through the bank accounts. The Charity Commission allows us to do this where our gross income is below £250,000 (section 133 of the 2011 Act).

However in 2022 our gross income was above the £250,000 threshold due to the generous legacies we have received. As a result the 2022 accounts are presented on an accruals basis. The PCC will make a decision during the course of 2023 whether to revert back to a receipts and payments basis for 2023 if the revenue drops back below the threshold (which we anticipate it will).

Accounting Software

As a reminder we are now using church accounting software for our accounts provided by Data Developments who are one of the leading providers in this field. The software makes it easier to manage the accounts and can produce any required reports automatically. This is the third full year of accounts for which we have used this software.

Funds

The accounts are split into separate funds. The main funds of the Council are described in terms of their purpose and restrictions at the end of this report. Funds can be Unrestricted, Designated, Restricted or Endowment in nature.

Bank Accounts

Our main bank account is with Barclays Bank. In addition we have two smaller accounts with RBS (the Royal Bank of Scotland). We are still in the process of moving or closing these accounts (at the request of RBS) although this has proved difficult to do so to date.

We also have an account with the CBF (Central Board Of Finance – Church of England). In addition we have two ‘cash in hand’ tins – one at each church. These are represented separately in our accounts.

Investment Strategy

The PCC are reviewing our investment strategy to ensure that we are managing our money appropriately and in line with the Charity Commission’s expectations. Having received some significant legacies in to our accounts in 2022 we are looking to invest some of this with additional financial institutions to spread our risk and ensure that our assets are protected by the Financial Services Compensation Scheme which fully protects assets of up to £85,000 in each financial institution.

We are considering investing some money with the Chelmsford Diocesan Board of Finance in one of their managed funds. This will give us a greater spread of our financial assets and will give us better medium to long term growth. We will document this fully once it is agreed. However we are first assessing what our spend will be on the various projects that the PCC have been reviewing.

Reserves Policy

It is important that we have an established reserves policy to ensure that we can meet our future commitments, for example repairs to the buildings. We will be documenting our reserves policy in 2023 and will include anticipated future significant expenditure in relation to the various buildings that we are responsible for. We are currently working on these numbers in conjunction with our investment strategy.

Income

We collect a meaningful amount of fees for funerals and weddings during the course of the year. Most of this is collected on behalf of the diocese and remitted to them. A small amount is clergy expenses often at the discretion of the funeral director. We now put both of these elements into an agency fund rather than in the incoming resources as we are collecting on behalf of a third party.

Expenditure

We show the full Parish Share in our accounts. We have an arrangement with the Diocese where they reduce our Parish Share monthly contribution by £765 a month as their contribution for the parish house rent. We show the rent as investment income and show the Parish Share in full.

For the last couple of years we have broken down quite a bit of the expenditure to a more granular level than we historically have done. This enables the PCC to see exactly where our expenditure goes and to consider any adjustments that they might feel appropriate.

Fixed Assets

Consecrated property is not included in the accounts in accordance with Section 10(2)(a) and (c) of the Charities Act 2011.

The Rectory will appear as an asset of the Chelmsford Diocesan Board of Finance in their financial statements and therefore are not be in the accounts of the PCC.

We have included the church house in our assets based on a valuation of £40,000 which was the purchase price in 1985.

Moveable church furnishings

Movable church furnishings held by the Vicar and Churchwardens on special trust for the PCC and which require a faculty for disposal are inalienable property and are not included in the Balance Sheet

Other movable church furnishings are capitalised at cost and depreciated over their useful economic life as per the list in the following section.

For anything acquired prior to 2013 there is insufficient cost information available and therefore such assets are not valued in the financial statements. Since 2013 no individual item has cost more than £1,000.

Tangible fixed assets for use by charity

Assets are capitalised if they can be used for more than one year, and cost at least £1,000. They are valued at cost. Any items below £1,000 are included as an expenditure item not an asset on the balance sheet.

Depreciation

Depreciation is calculated to write off the capitalized cost of fixed assets less their currently anticipated residual fair value over their estimated useful lives. Assets over £1,000 are depreciated on a straight line basis as follows:

Investments

Investments are valued at market value as at 31st December 2022.

2) Income

3) Expenditure

4) Transfers between funds

5) Transfers between accounts

6) Funds

7) Balance Sheet

8) Statement of Assets and Liabilities

9) Other notes

Patrick Dromgoole

Treasurer

St Andrew & St Peter, South Shoebury

Definition of Funds

Name Name Purpose Purpose Restrictions Designation
Building Fund – St
Andrew’s
To
fund
significant
maintenance
and
future
developments concerning the
Church and Hall buildings
Only for the purposes of church
and
hall
significant
maintenance and development
projects at St Andrew’s
Designated
and
some is Restricted
Building Fund – St
Peter’s
To
fund
significant
maintenance
and
future
developments concerning the
Church and Hall buildings
Only for the purposes of church
and
hall
significant
maintenance and development
projects at St Peter’s
Designated
Churchyard Fund To
provide
for
the
maintenance and upkeep of
the St Andrew’s Churchyard
Only
for
the
upkeep
and
maintenance of the churchyard
Restricted
General Fund The main fund we have for
the general activities of the
Parish
None Unrestricted
Magazine Fund To hold funds for magazine
related
activity
including
production costs
Only
for
magazine
related
activities and expenditure
Designated
Missionary Grant
Fund
To hold funds for distribution
to Christian charities and
other organisations &/or to
respond to disaster appeals
calculated on 10% of our
voluntary income.
For distribution to charities /
organisations as directed by the
PCC during the financial year
or in the first quarter of the
following year
Designated
Parish
House
Fund
To
provide
for
the
maintenance and upkeep of
the Parish House
Only
for
the
upkeep
and
maintenance
of
the
Parish
House
Designated
Youth Fund To hold funds given for youth
work
To be used for youth work only Designated
Agency
Collections
To hold monies collected for
third parties e.g. CDBF Fees,
Charity collections etc.
Amounts to be paid over only to
the parties for whom they have
been collected
Restricted
Definition
these monies can be used for any purpose
these monies have been set aside by the PCC for a specific purpose
these monies have been given for a specific purpose and can only be used for
thatpurpose
Type Definition
Unrestricted these monies can be used for any purpose
Designated these monies have been set aside by the PCC for a specific purpose
Restricted these monies have been given for a specific purpose and can only be used for
thatpurpose

Parish of St Andrew & St Peter South Shoebury

Statement of Financial Activities

For the period from 01 January 2022 to 31 December 2022

Unrestricted Restricted Endowment Total Prior year
funds funds funds funds total funds
Income and endowments from:
Donations and legacies 282,034 420 282,454 69,469
Income from charitable activities 6,652 160 6,812 7,001
Other trading activities 19,910 19,910 10,338
Investments 12,091 12,091 9,070
Other income 9,380 9,380 95
Total income 330,069 580 330,649 95,975
Expenditure on:
Raising funds 23,689 23,689 8,236
Expenditure on charitable activities 99,248 16,616 115,864 98,722
Other expenditure 4,651 4,651 2,061
Total expenditure 127,589 16,616 144,205 109,020
Net income / (expenditure) resources before transfer 202,479 (16,036) 186,443 (13,045)
Transfers
Gross transfers between funds - in 7,170 7,170 12,509
Gross transfers between funds - out (7,170) (7,170) (12,509)
Other recognised gains / losses
Gains / losses on investment assets
Gains on revaluation, fixed assets, charity's own use
Net movement in funds 195,309 (8,865) 186,443 (13,045)
Reconciliation of funds
Total funds brought forward 157,061 20,267 177,328 190,373
Total funds carried forward 352,370 11,401 363,772 177,328

There may be minor discrepancies in the totals if the pence are not being shown

12

Parish of St Andrew & St Peter South Shoebury

Analysis of income and expenditure

Selected period: 01 January 2022 to 31 December 2022

Total
Unrestricted Designated Restricted Endowment This year Last year
Income and endowments
Donations and legacies
0101 - Gift Aid - Bank 1,461 1,461 5,000
0110 - Gift Aid - PGS 17,060 17,060 17,734
0160 - Non-Gift Aid 3,713 3,713 2,220
0201 - Other collections 459 459
0301 - Loose plate collections St A 12,014 12,014 7,453
0302 - Loose plate collections St P 3,045 3,045 2,363
0420 - Flowers 376 376 330
0430 - Churchyard 420 420 390
0501 - One-off Gift Aid gifts 730 730
0510 - Gift Day
0550 - Donations appeals etc 2,192 2,192 1,682
0601 - Tax recoverable on Gift Aid 4,566 4,566 4,213
0701 - Legacies 236,288 236,288 27,750
0901 - Other funds generated 127 127 331
Donations and legacies Totals 282,034 420 282,454 69,469
Income from charitable activities
1101 - Fees for weddings 732 732 1,318
1111 - Fees for funerals 5,920 5,920 4,280
1121 - Fees for baptisms 20
1131 - Fees for churchyard 160 160 1,383
1245 - Hire of the church
Income from charitable activities 6,652 160 6,812 7,001
Totals
Other trading activities
0910 - Fundraising events 2,861 2,861 2,239
1230 - Church hall lettings - St Andrew 8,808 8,808 4,337
1240 - Church hall lettings - St Peter 7,777 7,777 3,328
1250 - Magazine income - advertising 315 315 230
1260 - Parish magazine sales 97 97 183
1270 - Sundry 51 51 20
Other trading activities Totals 19,910 19,910 10,338
Investments
1020 - Bank and building society 2,911 2,911 70
interest
1030 - Rent from parish house 9,180 9,180 9,000
Investments Totals 2,911 9,180 12,091 9,070
Other income
1310 - Insurance claims 6,300 6,300
1315 - Other 3,080 3,080 95
Other income Totals 9,380 9,380 95
Income and endowments 320,889 9,180 580 330,649 95,975
Grand totals

There may be minor discrepancies in the totals if the pence are not being shown

13

Total
Unrestricted Designated Restricted Endowment This year Last year
Expenditure
Raising funds
1730 - Costs of fundraising events 10 10
1740 - Investment management costs
2466 - St Andrew hall waste collection 1,805 1,805 1,539
2486 - St Peter Hall waste collection 1,805 1,805 1,612
2600 - Parish house maintenance 19,720 19,720 4,431
2610 - Parish house insurance 255
2620 - Parish house utilities 347 347 398
2650 - Parish house council tax
Raising funds Totals 3,969 19,720 23,689 8,236
Expenditure on charitable activities
1801 - Missionary grants 8,986 8,986 10,015
1901 - Parish share 51,133 51,133 48,340
2101 - Working expenses of incumbent 368 368 324
2120 - Rectory council tax
2130 - Rectory expenses 115 115 177
2301 - Insurance St Andrew 2,584 2,584 2,169
2302 - Insurance St Peter 1,156 1,156 1,088
2330 - Church maintenance St Andrew 757 757 335
2331 - Church maintenance St Peter 7,009 7,009 1,360
2333 - Major repairs St Andrew Church 765 765 11,193
2335 - Major repairs St Peter Church 6,550 6,550 6,324
2401 - St Andrew Church electric 4,411 4,411 (301)
2411 - St Peter Church electric 63 63
2461 - St Andrew Hall electricity 1,002 1,002 (28)
2463 - St Andrew Hall gas 884 884 25
2465 - St Andrew Hall water 232 232 105
2481 - St Peter Hall electricity 930 930 326
2483 - St Peter Hall gas 2,809 2,809 476
2485 - St Peter Hall water 36 36 114
2560 - St Andrew Hall maintenance 4,940 4,940 8,199
2561 - St Peter Hall maintenance 2,720 2,720 352
2563 - St Andrew Hall cleaning 1,155 1,155 80
2565 - St Peter Hall cleaning 995 995 80
2590 - Upkeep of churchyard 7,630 7,630 5,121
2700 - Magazine expenses
2710 - Postage, printing, stationery 1,134 1,134 768
2720 - Website
2765 - Church activities 6,825 6,825 1,585
2767 - Music 502 502 433
2780 - Governance costs 164 164 53
Expenditure on charitable 99,248 16,616 115,864 98,722
activities Totals
Other expenditure
2750 - Equipment 3,596 3,596 1,113
2760 - Flowers 635 635 469
2790 - Fees 136 136 72
2800 - Sundries 282 282 406
Other expenditure Totals 4,651 4,651 2,061
Expenditure Grand totals 107,869 19,720 16,616 144,205 109,020

There may be minor discrepancies in the totals if the pence are not being shown

14

Parish of St Andrew & St Peter South Shoebury

Balance Sheet detailed

31/12/2022
31/12/2021
As at
As at
Fixed assets
40,000.00
6630: Parish House
40,000.00
40,000.00
Total Fixed assets
40,000.00
Current assets
62,317.89
6501: Barclays current account
69,446.03
519.33
6505: Royal Bank of Scotland Current Account
519.33
2,531.89
6506: Royal Bank of Scotland High Interest Acc
2,531.89
267,922.39
6510: CCLA (CBF) deposit account
65,011.21
17.46
6590: Cash in hand St A
3.32
22.16
6591: Cash in hand St P
40.75
333,331.12
Total Current assets
137,552.53
Liabilities
448.44
6699: Agency collections
224.00
9,110.40
Z04: Accounts Payable

9,558.84
Total Liabilities
224.00
363,772.28
Net Asset surplus (deficit)
177,328.53
Reserves
186,443.75
Excess / (deficit) to date
18,225.63
177,328.53
Z01: Starting balances
159,102.90
363,772.28
Total Reserves
177,328.53
292,526.79
Unrestricted
86,677.19
59,844.08
Designated
70,384.08
11,401.41
Restricted
20,267.26

Endowment

Represented by Funds
363,772.28
177,328.53
Total

15

Parish of St Andrew & St Peter South Shoebury

Statement of Assets and Liabilities (by fund) As at: 31 December 2022

Balance Previous
balance
Tangible assets
6630: Parish House - Asset
Parish House
Designated
Tangible assets
Cash at bank and in hand
6501: Barclays current account - Asset
Youth fund
Designated
General fund
Unrestricted
Churchyard Fund
Restricted
Missionary Grant Fund
Restricted
Building Fund St
Andrew
Designated
Building Fund St
Andrew
Restricted
Building Fund St Peter
Designated
Parish House
Designated
Magazine
Designated
Agency collection
Restricted
6505: Royal Bank of Scotland Current Account - Asset
General fund
Unrestricted
Churchyard Fund
Restricted
6506: Royal Bank of Scotland High Interest Acc - Asset
General fund
Unrestricted
6510: CCLA (CBF) deposit account - Asset
General fund
Unrestricted
6590: Cash in hand St A - Asset
General fund
Unrestricted
6591: Cash in hand St P - Asset
General fund
Unrestricted
Cash at bank and in hand
40,000.00
40,000.00
40,000.00
50.00
30,763.96
10,357.83
960.77
30.00
1,516.81
482.57
17,026.98
2,254.53
(1,125.56)
62,317.89
379.33
140.00
519.33
2,531.89
2,531.89
267,922.39
267,922.39
17.46
17.46
22.16
22.16
333,331.12
40,000.00
40,000.00
40,000.00
50.00
18,710.69
16,861.68
3,322.77
30.00
1,516.81
482.57
27,566.98
2,254.53
(1,350.00)
69,446.03
379.33
140.00
519.33
2,531.89
2,531.89
65,011.21
65,011.21
3.32
3.32
40.75
40.75
137,552.53

16

Previous Balance balance

Agency accounts
6699: Agency collections - Liability
Agency collection
Restricted
Agency accounts
Creditors: Amounts falling due in one year
Z04: Accounts Payable - Liability
General fund
Unrestricted
Creditors: Amounts falling due in one year
Grand Total
448.44
448.44
448.44
9,110.40
9,110.40
9,110.40
363,772.28
224.00
224.00
224.00



177,328.53

17