REGIsfERED CHARrrY NUMBEIL" 1203056
REPORT OF THE TRiisfEES AND
FINANCIAL STATEMENTS
FOR ThE YEAR ENDED 31 DECEMBER 2024
FOR
SAINf JOHN'S TRU￿ CHICHESTER
Lewis Brownke Ichichester) LimÉed
Chartered Accountants
Appledrnm Barns
Btrdham Road
Chiche%ter
West Sussex
P020 7EQ

SAENTJOHN'S TRusf CHICHEStER
CONTEKfs OF THE FINANC￿ ￿ATEmE￿[[S
FOR THE YEAR ENDED 3X DECEMBHi 2024
Page
Report of the Trustees
I to 3
Independent Examiner's Report
Statemert of Finanaal PLtivtb'É%
Balance SE*et
Notes to the Finantial Ststements
7 to 11
Detsiled Statement of Yinanaal ActNities
L2

SAIP￿ JOHWS TRUST CHICHEsfER
REPORT OF THE TRusfEES
FOR THE YEAR ENDED 31 DECEMBER 2024
The trustees present thdr rq)ort with the finanoal 5tatemerts of the charity for the year er￿¢￿ 31 December 2024. The
tru5tee5 have adcoted prowsor6 of Accwnting and Rq)orbThJ ty Char￿e5. Stat¥nent of Recommended kncbce
applicable tr) charities prq)aring their accourts in aCt0rdan￿ with the ￿nana￿ Reporting Stsndard ap￿Icable in the UK
and Repthlic of IreL3nd (F￿ 1021 (effective l January 2019).
OBJEcfivES AND Acnvm
objecti￿ and aims
The objwts of the charity are ts further the rdigiow and other charitsble work of the Church of England in the
ecdesiastical parishes of St Paul's Chichesier, St pancr￿ and St John Chichestr. St Wilftid Chichester and the parish of
Whyke St (*orge wf(h Rumboldswyke St Mary and Portfielij All ￿Ints.
In addibon the charity seekg to furth￿ the rel￿￿￿5 and oth& charitBble work of the Catheilnl Church of the Holy Trinty
Chicho*er.
Significant xtivities
Following the 5etbng up of the Saint John's Trust thichester {CtO) Charity No 1203056 on 12 May 2023 811 finartial
activiiTes have I￿en trantsred from the pfftvious St Johns Trust Chichester ￿arity ￿ 29SIII. Trnnsfer of the
propety assets has Thjt yet been completed but continLES to be progressed by the Chariti￿ legal represertstiv-
Alexander Anderson of Winkworth Sherwood LLP.
Public benefft
The Trustees confirn that have paid due r￿rd the rdewdnt s￿￿Or￿ of the Charities Art 201L and The Charity
Commiwon's gubja￿e on PLI)IK trEnefit and the limitati(KL5 imp)5ed by (thariws own constitLrtion in deLiding what
ctiiqties the Charity should und8tske. Whil# the èctimties are constrained to a lirnited ge(xJraphKal ar￿ and prowding
supwrt to aciwties re￿vant to the defined Chutth of England Parishes and the Cathedral this gants to be nkde
which on benefft a wde sethn ofthe public.
Grartlmakin9
The followiThJ Gr4nts were transferred from the charity..
l) Confide CoufselliThJ - £10.800 payaNe quarterly over 3 years- last paym￿L. 01 April 20
2) Chichester HEART proiett-£22,000 paYa￿e quartthy over 3 years- last ￿yMent.. 01 August 2026
3) Pregwncy Options- £15,000 payable quarterfy over 3 years - last payment: DI Novembcr 2026
4) Chichester &thedral Trust- £18,000 r￿Yable quarterly over 3 years - last payment.. 01 JU￿ 2027
Grants approved in 2024
l) Chithester Cty Centre Drop-In- £5,000 ptyab]e immediately
2} St George's Youth Worker- £15,000 p￿￿e q￿rterlY OV￿ 3 years- last ￿Vrnent 01 <ktober 2027
Property
The Charity has tsvo woperty interests for which ownership sbll lies wth the charty No 298111.
62 S7•vanfield Drive.. jointly owned wth the PCC of the parish of St Pancras and St John. and in the I￿$tO￿lan
Trusteeship of the Chichester DSocesan Fund and Board of ￿na￿Tr. The property remains under quinquennial insffjion
and is in broadty Satisfactory condtbon. The propeity is Curre￿#Y to a private t￿[￿nt whose citumsLance5 align with
the objecrwes of the charity. After expenses I￿ rertsl income is shared t34ually by the Trust and tF)e PCQ
St John's Church Hall.. The hall and surroundiTrJ grounds, oWn￿j by the Trust is attached to tfr.e St John's Chapel, a
Grade i listed building tswned by the Church Conservation Trust The Chithester Fcthl Bank was the tenant of the Hall
until 20 November 2024. The Hall iq now unoccupied TrL￿ is compiling a schedule of work which 15 required to
mairtain the building an £xpettati￿ that (t will be relet for an extended period of time from the fourth quarter of
2025.
FINANCIAL REVIEW
FinancÈal posttion
The listed invesbnents made an unreali*d gain of £53,381 in the periLxI frorn l Janury 2024 and 31 DecemLer 2024.
Income arisin9 in the paiod arnounted to £33.510 bein9 inva%tment iTuime and expendI￿re arnoun￿ to £40,268.
rotsl at 31 Decen*Jer 2024 were £1,075,563.
Page I

SAAKfJoHN'S TRusf CHICHEsfER
REPORT OF ThE IRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2024
FiNANCL4L REVIEW
Investment policy and obiertÈv&
The TUFKIO 6fe invested irb a vdl spread wrtfDlio wich obj&*ve of achieviny a th18￿￿ between (Xpitsl growth and
income. The Trustees require their Invesbm￿t Adv￿￿5 JM Ann & Co Ltd to maintain the portfolio thrO￿h investment in
sound leading stocts, which ère capaiAe of ￿th￿ing a dnTrult pericKJ in VE financial makets. Ethiol inveso
considerations are tsken into account when determining investment strategy.
Resetves policy
As at 31 December 2024 the had f￿e reserv￿ totslliro £43,035. TtrEse r￿erVeS a￿ suffiuent to en￿re that t
arily could continue to meet all its approved grants in event of a sijnifithnt drop in irKome froffi the invesknent
portfolio.
FUTURE PLANS
Plans for include:
C(Hnpleting the thr￿fer of the propty assets from the old St John's Trust Charfty to ttrt new Cto and finalty mLYging
the two Chart￿&.
COm￿e￿"ng renovation and repair worfts to the St John'5 Hall and then rdetting the btslkllng so trot il can o)nty'nue to
used for in line with the Charty Objectiv
Consdering requ*LS for, 2nd maknng further gmnts which are within the fir￿ncl?1 capaoty of the tr￿￿ and ThEet the
defined objtttros of the Charty.
STRUCnJRE, GOVERNANCE AND MANAGEMEP
Govérnlng documettt
The charity was regi5ter8J on 12 Nay 2023 as a Charitsble InC￿pOration Or￿nisatiOn (ao) under Foundadon
model. The charity ss cOntrol￿d by ts governing docurnenL
REFBiENCE AND ADMINISTrAITVE DETAILS
Registewed Charity number
12D3056
Prindpal address
thedTrl Ofice
The Royal Chanry
CathedRI a01st￿$
ChicF*e*er
West Sussex
P019 IPX
Trustees
R Ashby
M Heald
C J￿neS
R Kidd
V Leslie
A Sciclur
Wainwright (appointed 1511012024)
Independent Ex3EEbiner
Sarah Me%and* FCCA FCA
Lewis Brownlee {￿ICheSter) ￿'MIted
Chartwed Accountants
AppledTam Barr6
irdham Ro6d
Chjvhester
West Su￿eX
P020 7EQ
Page 2

SAINT JOHN'S TRUST CHICHEsfER
REPORT OF TrIE TRUSTEE5
FOR THE YEAR ENDED 31 DECEMBER 2024
REFERENCE AM) ADmINI￿lIvE DEfAILS
Clerk
S Holloway (resigned 2311012024)
D Forl (appointed 2311012024)
Administration Address
65 w¢￿Ster Road
Chiche*er
West Su￿eX
P019 SEB
Bankers
CAF Bank Ltd
25 ￿rn95 Hill Avenue
West Malling
ME19 4iQ
InvestmentAdvisors
JMfinn&Co
25 Q)pthall Avenue
London
EC2R 7AH
All correSponde￿e reg¥ding the adrninistration of the tha '
should be sent to the Admini*ratlon S￿re&*
Approved by order of the b)ard of trustees on ........... ....... ......................... arnl signed on fts behalf by:
R Kidd- Twstee
Page 3

INDEPENDENT EXAMINER'S REPORT TO THE TRUS￿ OF
SAINT JOHN'S TRUST CHICHEsfER
Independent examlner's repfAt tts truste&s of Saint John's Trust Chichester
I ",eport to the charity trL£k&s on my exarnination of the accounts of &irTt John's Trust Chichestw (the Trust) for the
year etNJed 31 December 2024.
Responsibilities and basis of ￿PL￿t
the charity tfustees of the TnJst you are re4)on£ible for the preparation of the ￿coUnts in accordance with the
-, eqLrirements of tIR Char￿￿ Art 2011 {'the ACV).
I report in ￿pert of my eyamination of the Trust's accounts out under SectKJn 145 of the Art in ￿rying out
rny exarninat￿n I héve followed all ap￿ICat￿e Directions gniw) by the tharity Cornmi55un under S*ion 14515)Ib) of the
Indepe&￿ent exariiiner'5 statement
I have comieted my examination. I confim that no m*&ial matters have come to my attention in conn¥b(n ¥vith the
examination giving me cause to believe that in any material respect:
tcounting records were rx)t kept in resM of the Trust as required by Section 130 of Att. or
the accounts do not 6ccord wth those r*ords' or
the accourkts do ￿￿t comply v￿th the applcable wuirements 0)n￿rnIng the form and content of accounts set
out in the Charitie5 (Accounts and Rep)rLs} Regulations 2008 other than any requirement that the ￿CoUnts give
a true ar￿ ftir view which is not a matter cortydered as part Df an independert examination.
I have no concems and have come acro￿ no other Triatters in ¢onnecDon wrfh the oxamlnation to which attention
should be drawn in this report in ordw to enaye a proper under*anthng of the accDunts to be ￿the￿.
Sarah Aleknder FCCA FCA
Lewis Brownlee {CThiche*er) knmited
Chartered AccoiJntants
Appledram BarrLS
Birdham Road
Chiche*er
West Sussex
P020 7EQ
Page 4

SAINf JOHN'S TRusf CHICHESTER
srATEMENT OF FINANCTAL AcrIvrrEES
FOR THE YEAR ENDED 31 DECEMBER 2024
Period
1215123
Year Ended
31112124
Unrestricted
fund Total funds
31112123
Not
INCOME AND END0WmEK￿ FROM
DO￿tiOnS and legaaes
Investrnent ￿COrne
Totsl
EXPENDMIRE ON
Raisitw fund5
4,814
697
Charitsble aciivilies
Religiou5 and Charitable Work of the Church Df
England
165
Totsl
40.268
862
Net gains on investments
30.240
61,841
INCOME
Other reco9nised gain51(losses)
Transfers from St John's Trust, Chichester
23882
62,633
41.816
Net movement in funds
65,298
1,010,265
RECONCILIATION OF FUNE)S
Totrdl ftjnds brought forward
1,010,265
TOTAL FufiDS CARRIED FORWARD
1,075,563
1,010 265
The notes form part of these financial State￿nts
Page 5

SAI￿ JOHN'S TRusf CHICHEsfER
BALANCE SHEEr
31 DECEMBER 2024
2024
Unrestricteql
fund Total funds
2023
Notss
FIXED ASSErs
Investsnents
1,031528
1,005,804
CURRENT ASSErs
Cash in hand
45,435
4,461
CRED￿oR$
Amounts falling due within one year
LO
(2 400)
NFf CURREWT ASSETS
43,035
4,461
TOTAL ASSEfs LESS CURRENT LIABILITIES
¥075,563
1,010,265
NET ASSErs
075 563
1010 265
FUNDS
Unrthcted funds
li
1075,563
1.010,265
TOTAL FUNDS
1,075 $63
1 010 265
The finaKi¥ statunents were approvèd by the PA)ard of Trustets and auth0ri58J for issue on
. and were signed on betrk31f ty..
R Kidd- Trustee
The nDtes forrn part of financ￿1 statements
Page 6

SAIKfJoHN'S TRusf CHICHESTER
NOTES TO THE FINANCIAL STATEMEPlfS
FOR THE YEAR ENDED 31 DECEMBER 2024
ACCOUNtING PWCIES
Basis of preparing the t7Aancial st*ements
The finantral grtemefits of the charty, which is a puilic bd)èfit ￿tity Und￿ FRS 102, have been prepared i
accordance wrth Ihe Charrtyes SORP IFRS 102) 'Accounting and Repoffjng by Ci)aritses: *temeRt of
Recommended l*ctice ap￿1￿ble to charities preparTng ￿1[ acc()urts in acc¢ydarKe with the financial
ReporbrYJ StaTht3rd appI￿able in the UK ar¥J Rewblic of Treland {FRS 102) leffettive l January 20L9)', Financial
Reporting Standard 102 Tr ￿nanCIal Reportfng Standard appI￿le in the UK and Republic of Tr￿ard, and the
cha￿￿e5 Act 2011. The finanoal statements have been wepèred under the historical ¢ost convenb"on, wth the
ex￿ption of investments which are included at market value, as Modifi￿ by the revaI￿tion of Ctstsin assets.
Financial reporting Stra￿ard 102 - reduced disdosurè exempttons
The charity tsken advantsge of folbwing dsdosure exemption in preparfjng these financial ststements,
as perntttred by FRS 102 The Financial Reporbng Stsndard applioble in the UK and Republic of Irda￿,.
the requirwnents of Sedon 7 Statsment of Qsh How5.
Income
AJI income is recognsed in the Statement of Finanaal Artimties once the hès entiueMt￿t to the knds, it
probable that the Incor￿ will be r￿e￿ and amount can Ik Me￿Ur￿l reliably.
Expenditure
Bbilities 3re r￿Mised as e¥penditure as scon as there is a legd or constnxtive otsigation committing the
charity to that expen(tiLure, it is probable that a transf￿ of economic bpJeffts will be required in settlement and
the amount of the obligation be measureil r￿￿bly. ExpeTrliture is ￿￿urted for on an èccruals basi5 and has
been classrfied under headings that ag9fygate all cost rdated to category. w￿re costs cannot be directty
attributed to parbcular heading5 they F*ve been allocated to actimties on a ￿51$ wnsistent with the use of
rea)u￿￿5.
Grnr)ts offe￿d subiett ts condthon5 thch have not been met at the year end Lyate are noted a5 a commtlment
but not aC(TLted 35 expenditure.
Raisir#J funds
Costs of geneTrting funds comprise ttrKJse costs dirw attributable to pvblrigng the Charty.
Charitable acllvltiÈ*
Resour￿5 expended on the charitsble activitles of the Trust indude the dirert ¢05ts of grants made.
Taxatlon
The tharity LS exempt from tsx on its charitrble activities.
Fund accoul￿Tr9
Genwal funds are unrestrictsd fiinds which are available fDf use at dixretion or the trustees for Pa￿"CUlar
purposes.
DONATIONS AND LE&4CIES
1215123
to
31112123
Year Ended
31112124
Giftg
40
Page 7
continued...

SAI￿ JOHN'S TRUST CHICHEsfER
NOTES ro THE FINANCIAL sfATEMENTS- continuod
FOR THE YEAR ENDED 310ECEMBER 2024
INVESTME1￿ INCOME
Perfod
1215123
to
31112123
Year Ended
31112124
Investment inttime
Dewsfc account interest
31771
699
1,583
71
33A470
1,654
RAISING FIFNDS
Raisiry donations and legaae5
Pericrfl
1215123
to
31112123
Year Ended
31112124
Inve5trnert managemert
697
CHAR￿ABLE ACTIVMES cosrs
Grart
funding of
artivities
Support
(see note costs (see
6)
note 7)
Direct
Totals
Religious and CINirita)le Work of the
Church of England
25.100
35.454
GRANTS PAYABLE
Period
1215123
Year Ended
31112124
31112123
Rdigious aThd Charitable Workof the Church of ErvJland
The totsl grants paid to irk*itutsoNs the wa5 as follows..
Period
1215123
to
31112123
Year Ended
31112124
Confide Counselling
Pregnancy Opti￿5
Chich* Cir¥ Centre Drop-ln
Chichest¥ HEART for Homdess
Chich&tstsr Cathedrdl Restoration and Devthpment Trust ao
3,600
5,000
5,01)0
10,000
Page 8
coMb"nud...

SArMrJoHN'S TRusf CHICHEsfER
NOTES TO ThE FINANCIAL sfATEMENfs- continued
FOR THE YEAR ENDED 31 DECEMBER 2024
SUPPORT cosrs
Governance
Management
Totals
Rdigious Charitable Work of the Church
of England
2,847
TRusfEES' REMUNBiATZON AND BENEFtrs
No trustee or rerson rdated or conrEcted to them recaved any rernUnerat￿rn from the Charty durirHJ the
current or pr&&ing yeAr.
The outgoing c1￿k to the trustees r￿v& an hornrarium of £2,250.
T￿SteeS, experse5
There were no trUst￿S, expen￿ paid for the yw erKJed 31 December2024 nor for the period ended
31 D<anber 2023.
FIXED ASSEf INVESfMENrs
Cash and
investments
pendiwry
Totals
mARI￿r VALUE
At L January 2024
Additions
Di¥osals
Revaluations
1,003,357
2.447
1,005,804
250,529
272,390
522,919
(294,233) (255,343) {549,576)
53.381
53,381
At 31 D￿ernber 2024
19
1013 034 ￿94
1,03
NEf BOOK VALUE
At 31 (krernb￿ 2024
¥013,034
19,494
1.031528
At 31 D￿nber 2023
1003.3
There were no investment assets outside the UK.
Investments that are indiifjdualty mateifal within the investment wrtfolio are detailed as follows:
2024
2Q23
North Amwcan Income Trust
JP Morgan Glthl Growth & lrtome Ac
Artemis Investrnent Funds ICVC CO￿rate FA)nd
Edinburgh Investment Trust
Blackrock Fund Managers Ltd
scotb.sth ArrErican InvethgJ
69,275
E8,268
50.770
74AQQ
S6￿60
61,625
55,325
53.500
Page g
CDntinued...

SAINT JOHN'S TRusf CHICHEsfER
Nffts TO THE FINANaAL STATr1ENTS- eorttinued
FOR THE YEAR ENDH) 31 DECEMBER 2024
FLXED ASSET INVEStMEritS- continued
Cost or y￿uatiOn at 31 D￿ber 2024 i5 ￿￿sented by..
Cash and
Listed settlements
pending
Totals
Valuation in 2024
1 013 034
19
CREDITORS: Amour￿ FALLING DUE WITHIN ONE YEAR
2024
2023
Accruals and defe￿￿ ir￿rne
11. MOVEME￿ IN FUNDS
Net
movement
in fund5
At
31112124
At 111124
Unrtstricted funds
General fund
1,010,265
65.298
1,075,563
TOTAL FUNDS
1010 265
1.075 563
Net movement in fvnds, induded in the atM)ve are a5 follows:
Incoming
resour
Resou￿ Gains and Movemert
expended
in funds
VnrestriLted funds
Genera fuTh
33,510
(40,268)
72,056
65,298
TOTAL FUNDS
72
411268) ￿50
65.298
Comparativesfoy movement in furKIs
Net
movement
nfvrnts
At
31112123
Unrestrirted funds
General fund
1,010,265
1,010,265
TOTAL FUNDS
1,010,265
1,010,265
Page 10
continued...

SAINTXIHN'S Trusr CHICHEfftR
NOTES TO THE FINANCIAL sfATEMENTS- contsnued
FOR ThE YEAR ENDED 31 DECÈNBER 2024
li.
MOVEMENT IN FUNDS- continued
C(Thwrative net movement in fund5. included in the above are as follo￿".
Incoming Resources
resour￿ expended
Gains and
Ms)vement
in funds
Unre5tticted funds
General fund
1862)
1,009,473
I,CTIO,265
TOTAL FUNDS
8621
1009,473
1010.265
12. RELATED PARTY DISCLOSJRES
There were r¥) related party trar￿8Ct￿nS for the y&r e￿ed 31 o￿anber 2024.
CHARTfABLE COMMm￿Er1rS
13.
2025
2026
2027
Ccfflfide Counselling
Chichester HWT for Homeless
Fyegnarry Options
Chichester cath￿ra1 R*orafion & Development TrLSt ao
St G￿)rge,5 Youth Worker
3,000
7,000
5,000
6,000
5,000
2,4Q)
5.000
5,000
6,000
5,000
2,400
4,500
5,0
Page 11

KrJoHN'S TRU￿ CHICHESTER
DETAILED sfATEMENT OF FIPIAMCIAL ACTEVMES
FOR THE YEAR ENDED 31 DECEMBER 2024
Period
2023
to
31112123
Year Ended
31112124
INCONE AND EP4DCWMEKts
Donations and Itga¢Yes
Gifts
Investment income
Inv￿Ment incorrte
Deposft account interest
1,583
71
32,771
699
33
Totsl Incomi￿ ￿50￿r
33,510
1,654
EXP£NDrnIRE
Raising donatiorÈs and le9èoes
Investsnent management ts5
697
4,814
Charitable activiti
Insurance
Repairs arKI mainEnan
Potssional [￿S
Grants to Insti￿￿OIS
1,668
1,347
1,360
25,100
29N75
Support costs
Management
Oiher costs
Clth's h¢norarium
Bank charge5
537
2.250
60
150
15
4847
165
Independent ￿Miner'S fee
3.132
Totsl resources werQed
40,268
862
Nef (expenditure)lin¢ome IRfore gains and
(6,758)
792
Realised reco9trMse(I gain5 and Ir6ses
k￿lI￿d gains/(losses) on fixed asset investrna
(23 141)
Net (expenditsre}lincome
(29 899
792
This p3ge (h)es not fomi part of the statutrry financial stat￿nts
Page 12