The Parochial Church Council of the Ecclesiastical Parish of Wadsley
Accounts and reports
for the year ended 31 December 2024
Iilhewitts
charte￿d certified accountants

The Parochial Church Council of the Ecclesiastical Parish of Wadsley
Report of the trustees for the year ended 31 December 2024
The trustees present their report and the financial ststements for the year ended 31 December 2024. The trustees
who served during the year and up lo the date of this report are Rev Daniel Brown, Dr Jeremy Henry James
Bates, Brian John Vivian, Christopher Heron, Jenifer Jackson, Joan Sargison, Katie Grindrod, Hannah Hully,
Rev Rebecca Ruth Otieno, Emily Rebekah Kittle, Gillian Snook and Donna Merry.
Structure, governance and management
Gonslitulion
The charity is governed by Parochial Church Council powers measure 119561 as amended and Church
representation rules that came into for￿ on 02 January 1957.
Organizational Structure
The trustees oversee the operation of the Charity with management being devolved lo the Wadsley Church
leadership team, led by the Chair who are responsible for the day-l04ay running of the Charity.
Results
The results for the year are set out in the re￿Ipts and payments account.
Related Parties
None
Objectives and aGtivities
Principal activities
The principal activity of the charity is to promote in the ecclesiastical parish the whole mission of the Wadsley
Church.
Review of activities
Major activities perfomed in 2024 include:
Several weekly services of worship, including Thursday communion and three Sunday services.
Active Children's and Youth Ministry.
Major worship events during Advent, Christmas & Easter periods.
Managing Wadsley Church Hall, enabling space for different church ministries to meet and to provide
ommunity spaTr for groups lo use regularfy or for one-off events.
Running a variety of community gmups, including a Board Game Café, a community Lunch Club, and a
Men's fellowship group.
Maintenance of the Wadsley Church graveyard.
Public benefit
The trustees confirm that they have complied with the duty in Section 4 of the Charities Act 2011 to have due
regard to the Charity Commission's general guidan￿ on public benefit.
They have referred to this guidance when reviewing the aims, objectives and in planning aclivilies. The trustees
ensure that activities are carried out for public benefit by delivering seryices valued by the people we support and
promoting an efficiently managed charity that engenders public confidence.
Pagell

The Parochial Church Council of the Ecclesiastical Parish of Wadsley
Report of the trustees for the year ended 31 December 2024
Achievements and perfomance
Financial review
Risks
The trustees have reviewed and identified major risks lo the Charity and have established systems lo mitigate
their impact.
The position of the Charity is regulady reviewed by the trustees and steps are taken as required lo react
to changes in the circumstances.
Reserves
As at the Balance Sheet dale, the Charity had unreslricled cash reserves of £82,391 12023 - £79,035).
They consider the period passed as meeting the charitable requirements. The Net Operating surplus amounted
to £3,35612023 - £7,128).
Statement of trustees. responsibilities
The trustees are responsible for preparing the Trustees, Annual Report and the financial statements in
accordance with applicable law and United Kingdom Accounting Standards Iuniled Kingdom Generally Accepted
Accounting Practi￿1.
Law applicable to charities in England and Wales requires the trustees to prepare financial statements for each
financial yearwhich give a true and fair view of charity and of the incoming resources and application of resources
of the charity for that year. In preparing these financial slalements the trustees are required to..
select suitable accounting policies and then apply them consistently.,
observe the methods and principles in the Charities SORP.,
m8ke judgements and estimates that are reasonable and prudent",
stale whether applicable UK Accounting Standards have been followed, subject to any material departures
disclosed and explained in the financial slatemenls., and
prepare the financial statements on the going concern basis unless il is Inappropriate to presume that the
charity will continue in operation.
The trustees are responsible for keeping proper a￿OUntIng records which disclose with reasonable accuracy at
any time the financial position of the charity and enable them lo ensure that the financial slalemenls comply with
the Charities Act 2011 and the Charity (Accounts and Reports) Regulations 2008. They are also responsible for
safeguarding the assets of the charity and hen￿ for taking reasonable steps for the prevention and detection of
fraud and other irregularities.
On behalf of the trustees
Chris Heron
Trustee
13 February 2025
Page12


## **The Parochial Church Council of the Ecclesiastical Parish of Wadsley** 

31st December 2024 **period** 

1201233 

period **31/12/2024** 

**Signed: Date: 13/02/25** IAN C BOOT Address: Ground Floor Office Suite, Canklow House, Bawtry Road, Brinsworth, Rotherham, S60 5DN 




Give here brief details of
any items that the
examinerwishes to
disclose.
IER
October 2018


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The Parochial Church Council of the  Charity No<br>Ecclesiastical Parish of Wadsley 1201233<br>Receipts and payments accounts CC16a<br>For the period  01/01/2024 31/12/2024<br>To<br>from<br>Section A Receipts and payments<br>Unrestricted  Endowment<br>Restricted funds Total funds Last year<br>funds funds<br>to the nearest<br>to the nearest £ to the nearest £ to the nearest £ to the nearest £<br>£<br>A1 Receipts<br>Donations               150,179                         -                           -                  150,179              135,045<br>Church income                 11,931                         -                           -                    11,931                15,608<br>Hall income                 14,697                         -                           -                    14,697                26,126<br>Bank interest receivable                   1,657                         -                           -                      1,657                  1,034<br>                         -                         -                           -                           -                               -<br>                         -                         -                           -                           -                               -<br>                         -                         -                           -                           -                               -<br>                         -                         -                           -                           -                               -<br>Sub total  (Gross income for<br>                        -                            -                   178,464                  177,813<br>AR)  [               178,464 ]<br>A2 Asset and investment sales,<br>(see table).<br>                          -                            -                            -                          -<br>                         -                           -                           -                         -                                -<br>Sub total                            -                            -                            -                          -                                -<br>Total receipts                178,464                            -                            -                 178,464              177,813<br>A3 Payments<br>Church - Worship & ministry expenditure                 27,645                         -                           -                    27,645                27,921<br>Church - Salaries & wages                 46,310                         -                           -                    46,310                41,188<br>Church - Pension costs                   1,960                         -                           -                      1,960                  1,426<br>Church - Staff expenses                   5,366                         -                           -                      5,366                  5,231<br>Church - Rates & water                   1,025                         -                           -                      1,025                     388<br>Church - Light & heat                   8,294                         -                           -                      8,294                  6,348<br>Church - Repairs & maintenance                 13,380                         -                           -                    13,380                  9,293<br>Church - Insurance                   7,469                         -                           -                      7,469                  7,340<br>Church - Bank charges                      288                         -                           -                         288                     294<br>Church - Parish share                 35,100                         -                           -                    35,100                29,550<br>Church - Telephone                   1,026                         -                           -                      1,026                     941<br>Church - Office supplies                      727                         -                           -                         727                     676<br>Church - Charitable donations                   4,325                         -                           -                      4,325                     875<br>Hall - Expenditure                   3,389                         -                           -                      3,389                  4,741<br>Hall - Rates & water                   1,149                         -                           -                      1,149                  1,143<br>Hall - Light & heat                      754                         -                           -                         754                  5,885<br>Hall - Repairs & maintenance                   3,564                         -                           -                      3,564                  6,960<br>Hall - Bank charges                        32                         -                           -                           32                     152<br>FF & equipment at cost                 13,305                         -                           -                    13,305                20,333<br>                         -                         -                           -                           -                               -<br>                         -                         -                           -                           -                               -<br>Sub total [               175,107 ]                         -                            -                   175,107                  170,685<br>A4 Asset and investment<br>purchases, (see table)<br>                         -                           -                           -                         -<br>                         -                           -                           -                         -<br>Sub total [                          - ]                           -                            -                          -                                -<br>Total payments                175,107                            -                            -                 175,107              170,685<br>Net of receipts/(payments)                    3,356                          -                            -                      3,356                  7,128<br>A5 Transfers between funds                          -                         -                          -                           -                          -<br>A6 Cash funds last year end                   79,035                          -                           -                     79,035                71,907<br>Cash funds this year end                  82,391                          -                            -                    82,391                79,035<br>**----- End of picture text -----**<br>


CCXX R1 accounts (SS) 

06/02/2025 

1 



## **Section B Statement of assets and liabilities at the end of the period** 


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Unrestricted  Restricted funds  Endowment<br>Categories  Details   funds  funds<br>to nearest £ to nearest £ to nearest £<br>B1 Cash funds Church - Main fund (HSBC)                  25,503                          -                               -<br>Church - Fabric account (HSBC)                         -                            -                               -<br>Church - Mission account (HSBC)                       974                          -                               -<br>Hall - Business account (Virgin Money)                  23,748                          -                               -<br>Church - CCLA main                       653                          -                               -<br>Church - CCLA fabric                    1,654                          -                               -<br>Hall - Church hall fund (CCLA)                  29,819                          -                               -<br>Petty cash                         40                          -                               -<br>Total cash funds                    82,391                          -                          -<br>(agree balances with receipts and<br>payments account(s)) OK OK OK<br>Unrestricted  Restricted funds  Endowment<br>funds  funds<br>Details to nearest £ to nearest £ to nearest £<br>B2 Other monetary assets                         -                            -                               -<br>                        -                            -                               -<br>                        -                            -                               -<br>                        -                            -                               -<br>                        -                            -                               -<br>                        -                            -                               -<br>Fund to which  Current value<br>Details asset belongs Cost (optional) (optional)<br>B3 Investment assets                         -                               -<br>                        -                               -<br>                        -                               -<br>                        -                               -<br>                        -                               -<br>Fund to which  Current value<br>Details asset belongs Cost (optional) (optional)<br>B4 Assets retained for the   FF & equipment at cost                   33,638                             -<br>                        -                               -<br>                        -                               -<br>                        -                               -<br>                        -                               -<br>                        -                               -<br>                        -                               -<br>                        -                               -<br>                        -                               -<br>Fund to which  Amount due  When due<br>Details liability relates (optional) (optional)<br>B5 Liabilities                         -<br>                        -<br>                        -<br>                        -<br>                        -<br>Signed by one or two trustees on  Date of<br>behalf of all the trustees  Signature Print Name approval<br>Chris Heron  13/02/25<br>**----- End of picture text -----**<br>


CCXX R2 accounts (SS) 

06/02/2025 

2 

