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2025-12-31-accounts

BADINGHAM PAROCHIAL CHURCH COUNCIL Registered Charity Nr : 1201198 2025 FISCAL YEAR

2022
2023
2024
Income & Expenditure Account to 31st December
2025
INCOME
2,009.11
2,047.83
1,338.00
Gif Aided Collectons & Donatons
14,234.00
5193.86
4708.74
2124.62
Other Collectons
19,333.22
869.3
824.2
1854.20
Fees
928.00
8,072.27
7,580.77
5,316.82
34,495.22
EXPENDITURES
-3564.00
-3539.00
-3539.00
Diocesan Quota
-3,539.00
-725.00
-559.32
-660.00
Light & Heat
-660.00
0.00
-157.2
-793.20
Repair & Maintenance
-2,916.32
-149.85
-175.01
-81.76
Clergy
-299.44
-651.88
-4019.91
3182.18
Other Expenses
2,834.64
-1781.5
-1955.03
-2089.25
Insurance
-2,590.79
-704
4112.79
0.00
Transfers
-5,507.01
-7576.23 -6292.68
-3981.03
-12,677.92
496.04
1,288.09
1,335.79
SURPLUS (DEFICIT)
21,817.30
BALANCE SHEET AS AT 31st DECEMBER 2025 (excludes Fabric Fund)
Cash at bank
5,302.19
COMMUNITY ACCOUNT
27,119.49
3173.52
DEPOSIT ACCOUNT
3,215.04
8,475.71
30,334.53
Represented By:
3026.99
Balance brought forward
8,475.71
1,923.11
Add: Community Acct Surplus for the year
21,817.30
Less: Community Acct Defcit for the year
2,172.52
Net Infow/Outlow Savings Acc
41.52
7122.62
30334.53
2022
2023
2024
Income & Expenditure Account to 31st December
2025
INCOME
2,009.11
2,047.83
1,338.00
Gif Aided Collectons & Donatons
14,234.00
5193.86
4708.74
2124.62
Other Collectons
19,333.22
869.3
824.2
1854.20
Fees
928.00
8,072.27
7,580.77
5,316.82
34,495.22
EXPENDITURES
-3564.00
-3539.00
-3539.00
Diocesan Quota
-3,539.00
-725.00
-559.32
-660.00
Light & Heat
-660.00
0.00
-157.2
-793.20
Repair & Maintenance
-2,916.32
-149.85
-175.01
-81.76
Clergy
-299.44
-651.88
-4019.91
3182.18
Other Expenses
2,834.64
-1781.5
-1955.03
-2089.25
Insurance
-2,590.79
-704
4112.79
0.00
Transfers
-5,507.01
-7576.23 -6292.68
-3981.03
-12,677.92
496.04
1,288.09
1,335.79
SURPLUS (DEFICIT)
21,817.30
BALANCE SHEET AS AT 31st DECEMBER 2025 (excludes Fabric Fund)
Cash at bank
5,302.19
COMMUNITY ACCOUNT
27,119.49
3173.52
DEPOSIT ACCOUNT
3,215.04
8,475.71
30,334.53
Represented By:
3026.99
Balance brought forward
8,475.71
1,923.11
Add: Community Acct Surplus for the year
21,817.30
Less: Community Acct Defcit for the year
2,172.52
Net Infow/Outlow Savings Acc
41.52
7122.62
30334.53
2022
2023
2024
Income & Expenditure Account to 31st December
2025
INCOME
2,009.11
2,047.83
1,338.00
Gif Aided Collectons & Donatons
14,234.00
5193.86
4708.74
2124.62
Other Collectons
19,333.22
869.3
824.2
1854.20
Fees
928.00
8,072.27
7,580.77
5,316.82
34,495.22
EXPENDITURES
-3564.00
-3539.00
-3539.00
Diocesan Quota
-3,539.00
-725.00
-559.32
-660.00
Light & Heat
-660.00
0.00
-157.2
-793.20
Repair & Maintenance
-2,916.32
-149.85
-175.01
-81.76
Clergy
-299.44
-651.88
-4019.91
3182.18
Other Expenses
2,834.64
-1781.5
-1955.03
-2089.25
Insurance
-2,590.79
-704
4112.79
0.00
Transfers
-5,507.01
-7576.23 -6292.68
-3981.03
-12,677.92
496.04
1,288.09
1,335.79
SURPLUS (DEFICIT)
21,817.30
BALANCE SHEET AS AT 31st DECEMBER 2025 (excludes Fabric Fund)
Cash at bank
5,302.19
COMMUNITY ACCOUNT
27,119.49
3173.52
DEPOSIT ACCOUNT
3,215.04
8,475.71
30,334.53
Represented By:
3026.99
Balance brought forward
8,475.71
1,923.11
Add: Community Acct Surplus for the year
21,817.30
Less: Community Acct Defcit for the year
2,172.52
Net Infow/Outlow Savings Acc
41.52
7122.62
30334.53
-12,677.92
27,119.49
3,215.04
30,334.53
8,475.71
21,817.30
41.52
30334.53
Jan
Feb
BADINGHAM PAROCHIAL CHURCH COUNCIL
Registered Charity Nr : 1201198
TRANSACTIONS AT BANK
Dec-25
Total
STO/Gif Aid
Fees
Quota
Oil/Elec
Reps/mtce
Clergy Exes
Hofman/Clarke
50.00
50.00
Quota
-297.00
-297.00
Sum-Up
9.89
9.89
Daisy Comms
-54.36
Sum-Up
61.32
61.32
EDF
-55.00
-55.00
Kindlewood (Trees)
-510.00
-510.00
Eccl
-177.55
Sum-Up
1.48
1.48
Sum-Up
0.99
0.99
Book sale
25.00
25.00
Cofee & Bacon
58.75
58.75
Donaton re Trees
100.00
100.00
Hofman
25.00
25.00
Sum-Up
118.68
118.68
Sum-Up
39.56
39.56
Deposit re Childrens Society
45.00
45.00
Deposit re Gold Box
72.00
72.00
Deposit re Books
95.00
95.00
Sum-Up
9.89
9.89
Clare Kiddy Nov Dec Jan
-72.36
-72.36
Deposit David Davies Memorial
172.00
172.00
Quota
-297.00
-297.00
Sum-Up
14.83
14.83
Sum-Up
4.94
4.94
Deposit re Gold Box
26.00
26.00
Deposit Jan Feb Collectons
39.00
39.00
Deposit re Bacon Rolls
129.00
129.00
Eccles
-177.55
Donatons/
Collectons
EDF -55.00 -55.00
Sum-Up 4.94 4.94
Mar Transfer to Fabric Fund / Cofee morning -64.50
Hofman 25.00 25.00
Sum Up 34.60 34.60
Collectons 85.00 85.00
Fund Raising Hoppit 585.90 585.90
Sum Up 39.56 39.56
Cole S/O 250.00 250.00
Cash collectons 130.00 130.00
Kiddy Expenses March 2025 -30.00 -30.00
Sum Up 9.89 9.89
Quota -297.00 -297.00
EDF - tr to Fabric -55.00 -55.00
Cofee & Bacon 103.00 103.00
Sum Up 24.67 24.67
Eccl -177.55
Cheque The Childrens Society (Bike Ride) -45.00
Apr Kelk 25.00 25.00
Hofman 25.00 25.00
Kelk S94 25.00 25.00
Deposit 34.00 34.00
Deposit 77.50 77.50
Sum-Up Collecton 148.28 148.28
F Master Direct Credit 92.00 92.00
Kiddy Expenses -24.40 -24.40
Deposit 115.00 115.00
TFR to FF (Cofee & Bacon) -51.50 -51.50
Quota -297.00 -297.00
Sum-Up Collecton 9.86 9.86
EA Graham Direct Credit 56.00 56.00
EDF - TFR to FF -55.00 -55.00
Eccl -177.55
Sum-Up Collectons 29.67 29.67
Sum-Up Collectons 19.76 19.76
Benjamin Steer Direct Credit 10.00 10.00
May Hofman 25.00 25.00
Sum-Up Collecton 29.67 29.67
Deposit (Book Sales) 110.00 110.00
Deposit(March/April Collectons) 117.00 117.00
Deposit (Book Sales) 240.00 240.00
Quota -297.00 -297.00
Deposit Enterprise Badingham 100.00 100.00
Kiddy Expenses May -25.28 -25.28
Wetheringset Garden Machinery -840.00 -840.00
Sum-Up Collecton 4.94 4.94
Sum-Up Collecton 49.45 49.45
Kindlewood (Tree Surgery) -1,062.00 -1,062.00
Sum-Up Collectons 98.84 98.84
Sum-Up Collectons 9.89 9.89
EDF -55.00 -55.00
Eccles -177.55
Jun Pro-Flat Specialists -120.00 -120.00
SO Hofman 25.00 25.00
Sum-Up Collecton 4.93 4.93
Sum-Up Collectons 9.89 9.89
Deposit 30.00 30.00
Deposit 109.00 109.00
Deposit 172.00 172.00
Badingham Village Hall -66.00
Sum Up 29.67 29.67
Quota -297.00 -297.00
Eccles -177.55
Sum-Up 54.33 54.33
EDF -55.00 -55.00
Jul Sum-Up 4.93 4.93
Hofman 25.00 25.00
Quota -297.00 -297.00
Sum-Up 19.78 19.78
Deposit 235.00 235.00
Deposit 337.15 337.15
Collectons for Fabric Fund (Midsummer event) -391.48
Kiddy June 2025 -23.00 -23.00
Avon Ropes Lrd -280.22 -280.22
Eccl -177.55
Transfer re EDF -55.00 -55.00
Sum-Up 69.23 69.23
Sum-Up 11.85 11.85
Sum-Up 4.94 4.94
Sum-Up 19.78 19.78
Sum-Up 4.94 4.94
Sum-Up 9.88 9.88
Sum-Uo 4.93 4.93
EDS&I re Warwick Favelle 357.00 357.00
EDS&I Jane Jay 464.00 464.00
August Hofman 25.00 25.00
Sum-Up 93.87 93.87
Deposit June Booksale 90.00 90.00
Sum-Up 24.70 24.70
Quota -297.00 -297.00
Sum Up 9.87 9.87
Sum Up 34.55 34.55
JAV ROSE 5,000.00 5,000.00
Sum Up 14.80 14.80
Transfer re EDF -55.00 -55.00
Eccl -177.55
Deposit July Book sale 69.60 69.60
Deposit August Book sale 614.00 614.00
Sum Up 4.94 4.94
Sum Up 24.72 24.72
Emb Ltd Credit VAT reclaim 2,387.30 2,387.30
September Hofman 25.00 25.00
Sum-Up payments 34.61 34.61
Deposit 35.00 35.00
Deposit Gold Box 114.47 114.47
Kiddy Expenses Jul/Aug -24.40 -24.40
Sum-Up 4.94 4.94
Deposit Fete 36.00 36.00
Deposit Wooden Church 37.00 37.00
Deposit Fete Fruit Rafe 90.20 90.20
Deposit August Book Sale 103.60 103.60
Credit Jane Lockwood 20.00 20.00
Sum Up 44.50 44.50
Credit Janet Hunt 50.00 50.00
Sum-Up 19.78 19.78
Quota -297.00 -297.00
Eccl -177.55
EDF -55.00 -55.00
Sum-Up 4.94 4.94
Deposit 77.34 77.34
Deposit Russell/Kelk 126.00 126.00
Deposit John 8,000.00 8,000.00
October Hofman 25.00 25.00
Credit G JOB 200.00 200.00
Sum Up 9.89 9.89
TFR to FF / Donatons -4,168.90
Sum Up 39.54 39.54
EDS&I re Gwendoline Pearl 107.00 107.00
Sum Up 19.78 19.78
Sum Up 29.67 29.67
Sum Up 19.78 19.78
Quota -297.00 -297.00
Transfer re EDF -55.00 -55.00
Sum Up 9.88 9.88
Sum Up 34.61 34.61
Credit grant AWCT 3,000.00
Deposit 10.00 10.00
Deposit Gold Box 37.00 37.00
Deposit September Book Sale 144.00 144.00
Eccl -177.55
Sum Up 1.98 1.98
Deposit 30.00 30.00
Sum Up 4.93 4.93
Deposit Cofee Morning 61.32 61.32
November Hofman 25.00 25.00
SO Kiddy Expenses -25.00
Sum-Up 29.67 29.67
Warne VEB 25.00 25.00
Deposit Mem Gwen Warne 472.09 472.09
Quota -297.00 -297.00
Sum Up 4.93 4.93
Deposit Jane Jay 20.00 20.00
Deposit Badingham Quiz 72.00 72.00
Deposit Book Sale 250.00 250.00
Deposit Cafe Hammerbeams Week * 310.10 310.10
EDSI&I David Clarke 357.00 357.00
EDF -55.00 -55.00
Deposit Cofee Morning 48.00 48.00
Eccl -177.55
Deposit re Dan Meek 172.00 172.00

-25.00

Sum-Up
December Hofman
SO Kiddy
Green SO
Sum-Up
Deposit
Deposit
Deposit
Sum-Up
Stansfeld AM
Sum-Up
Kiddy
Quota
TFR TO FABRIC FUND OCT/NOV
RF+AJ Foster re Fire Service
Sum-Up
Sum-Up
Sum-Up
Eccl
SO Kiddy
Transfer re EDF
EMB Ltd
Deposit
TOTAL
Op Bal 01/01/25
12/31/2025
19.78
19.78
25.00
25.00
-25.00
-25.00
100.00
100.00
49.45
49.45
72.00
72.00
94.00
94.00
150.00
150.00
19.78
19.78
5,000.00
5,000.00
59.27
59.27
-25.00
-25.00
-297.00
-297.00
-1,338.11
-104.10
-104.10
49.39
49.39
9.88
9.88
4.94
4.94
-181.76
-25.00
-25.00
-55.00
-55.00
3,167.85
3,167.85
117.50
117.50
21,817.30
14,234.00
19,333.22
928.00
-3,539.00
-660.00
-2,916.32
-299.44
5,302.19
27,119.49
plus deposit a/c
3,215.04 Total Funds
64,885.30
Fabric Fund
34,550.77

Other

Insurance

Transfers

-54.36

-177.55

-177.55

-64.50 -177.55 -45.00 -177.55

-177.55 -66.00 -177.55 -391.48 -177.55

-177.55 -177.55

-4,168.90 3,000.00 -177.55 -177.55

-1,338.11

-181.76

2,834.64 -2,590.79 -5,507.01

X Check 21,817.30

BADINGHAM PAROCHIAL CHURCH COUNCIL

Registered Charity Nr : 1201198 2025 FISCAL YEAR FABRIC FUND

Net transfers from Community Account
INCOME & EXPENDITURE
January
February
March
April
May
June
July
August
September
Net transfers from Community Account
INCOME & EXPENDITURE
January
February
March
April
May
June
July
August
September
2023
2024
50.00
218.85
-2213.47
48.00
278.51
954.86
4914.50
-8152.00
-866.00
234.69
204.04
249.75
2287.91
304.71
59.50
1885.87
-409.67
310.86
2023
2024
50.00
218.85
-2213.47
48.00
278.51
954.86
4914.50
-8152.00
-866.00
234.69
204.04
249.75
2287.91
304.71
59.50
1885.87
-409.67
310.86
October 359.50
571.00
November
December
SURPLUS (DEFICIT)
BALANCE SHEET AS AT 31st DECEMBER
Balance brought forward
Add: Net transfers from Community, Savings and Investment Accounts
Net balance at Dec 31st
-176.00
22090.50
312.63
259.77
4,801.45
18,976.86
10772.46
4,801.45
15573.91
15573.91
18,976.86
34550.77

BADINGHAM PAROCHIAL CHURCH COUNCIL Registered Charity Nr : 1201198 2025 BUSINESS PREMIUM ACCOUNT SUMMARY

Net transfers from Community Account 2024
INCOME & EXPENDITURE
January 62.75
February 0.00
March 9.39
April 0.00
May 34.50
June 9.90
July 0.00
August 0.00
September 10.04
October 100.00
November 0.00
December 377.60
`
SURPLUS/DEFICIT 604.18
BALANCE SHEET AS AT 31st DECEMBER 2022
Balance brought forward 2569.34
Add: Net transfers from Community, Savings and Invest 604.18
Net balance at Dec 31st 3173.52

Badingham Parochial Church Council Charites Nr: 1201198

Annual Report for the period January 1[st] 20253 to December 31[st] 2025

Compiled by: Alex Tedder, Treasurer BPCC

COMMUNITY ACCOUNT

A surplus of £21870.30 was recorded for the full year . A significant portion of overall income in 2025 has arisen from the fund-raising initiative for the repair of the Hammerbeam roof.

Income from donations & collections potentially eligible for Gift Aid and GASDS tax credits was £14234. The full extent of eligibility in a Gift Aid context has yet to be clarified: a claim for 2024 & 2025 has been prepared and will be submitted to HMRC following receipt of all relevant completed Gift Aid forms.

Non-eligible donations totalled £19333.22 in the review period . These were primarily derived from collections and donations in the context of fund raising activities as above, including first-stage grants from the Heritage Fund. Regular sources such as coffee morning events and other initiatives again raised a meaningful amount. Fee income amounted to £928.

Total expenditures booked to the Community account were £12677.92.

Transfers to the Fabric Fund on instruction totalled £5507.01 : these were all related to the renovation project. Other expenses totalled £7170.82 as shown in the summary expenses section. There were notable increases in costs across the board.

The balance of the Community account at 31/12 was £27119.49 . This includes pending transfers to the Fabric Fund, yet to be confirmed.

DEPOSIT ACCOUNT

The Church Council maintains a deposit account in order to efficiently manage surplus working capital. The balance of the account at December 31[st] was £3215.04 .

FABRIC FUND

The Church Council maintains Fabric Fund dedicated to the maintenance and repair of the Church building. The account is normally funded from the Community account and from the Church’s investment account. Following the launch of the Roof Repair programme, some funding and some expenditure is paid direct via the Fabric Fund. In 2025, there was a significant increase in expenditures linked to consultancy (Flying Geese Consultants) and architect work (Thomas Ford Partners). As a result, the Fabric Fund recorded a deficit of £15535.92 for the full-year. These expenditures were partially offset by Donations and Collections as outlined above.

At December 31[st] , the Fabric Fund had a balance of £ 19014.85.

INVESTMENT ACCOUNT

Restricted Funds are held via the Church’s Investment Account, managed within the CBE COE Investment Fund. Interest and Dividends are retained in the Investment account. An annual transfer

is made to the Fabric Fund. Please refer to the 2025 Detail in the attached spreadsheet for the overall contribution.

EXTERNAL EXAMINER

Richard Pawle, Treasurer of St.Michael’s Church Rendham has again kindly agreed to examine these accounts again this year. His report is attached.

INDEPENDENT EXAMINERS REPORT

Badingham Parochial Church Council

Accounts for the period January 1st 2025 to December 31 st 2025

In connection with my examination, no matter has come to my attention

1. which gives me reasonable cause to believe that in any material respect the requirements to keep accounting records in accordance with section 41 of the Charities Act 1993 and;

to prepare accounts which accord with the accounting records and comply with the requirements of the act and Regulation have not been met or;

2. to which, in my opinion , attention should be drawn in order to enable a proper understanding of the accounts to be reached.

Signed: _____________

Name: __RICHARD PAWLE_________

Date: _______________