PARISH OF ST MARY THE VIRGIN STANWELLAND
ST MATTHE4 W"S CHURCH, ASHFORD, MIDDLESEX
Charity No: 1203323
Parish No: 1313
FINANCIAL STATEMENTS
OR I'HL YLAR LNDLD 31" DECEMBLR 2024

PAIUSH OF ST MARY THE VIRGIN STANWELLAND
ST MATTHEI W"S CHURCH, ASHFORD, MIDDLESEX
ANNUAL REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31" DECEMBER 2024
CONTENTS
PAGE
Administrative Information
Independent Examiner's Report
General (Unrestricted) Fund Receipts and Payments Account
Statement of Assets and Liabilities
Sllmmary of Designated Funds

PCC Members
Parish Priest..
Parish Curate
The Rev'd Canon Father Stuart King SSC
The Rev'd Father john Hillman SSC
Licensed Lay Ministers..
Alanjoel
Melanie Cooper
Sarah Pain
Church Wardens..
Julie Bell
Luis Elias
Pauline Mtjldowney
lan Spencer
Tre35urer'.
Secretary:
Julie Bell
Robina Malik
Rep￿sentatIveS on
DeanerySynod-
Julie Bell
Helen Potter
Ex-officio Members..
Head Teachers of Parochial Schools
Elected Members..
2024
Amber Cawte
Janet Errington
Jane King
Robino Malik
2023
Linda Charman
Peterjeffery
Kathleen Marshall
lan Maycock
2022
MrAlun Joel
Maria Quail
Mrs Jayne Williams
02 202451Mary+5tMart PCCAccounts- PCC Member5

Independent examiner's report to the PCC ofparish of St MAry tbe Virgin
Stanwell and St MAtthews Church, Ashford, Middlesex.
This r¢port on the financial statements of the PCC for the year evjded 31 December
2024. which are set out on pages 3 to 5, is in iespect of an examination carried out in
accordance with the Church Accounting Regulatkons 2006 ('the Regulations,) and
s.43 of the Charities Act 1993 ('the Act,)
Resp¢¢tive responsibilities of the PCC and the examiner
. As mcmbers of the PCC, you are responsible for the preparation of the fmancial
statements. you consider that the audit requirement of the Regulations and s. 43{2) of
the Act does not apply. It is my responsibility to issue this report on those financial
statemellts in accordance with the tellns of the Regulations.
Basis of this report
My examination was carried out in accordance with the General Directions given by
the Charity Commission under s. 43(7)(b) of the Act and to be found in the Church
guidance, 2006 edition. That cxamillation includcs a review of the accounting records
kept by the PCC and a comparixon of the accounts with those records. It also includes
considering any unusual items or di8Llosures in the financial statements and seeking
explanations from you at trustees concerning any such matters. The proceduTes
undertaken do not provÉde all the evidence that would be required in an audit, and
consequently I do not express an audit opinion on the view given by the accounts.
Independent examiner's statement
In accordance with my e￿MInatiOn, no matter has come to my attention:
(i)
wbicb gives me reasonable cause to believe that in any material respect the
requirements
to keep accounting records in accordance with section 41 of the
Act. and
to prepare financial statements, which accord with the accounting
records and eomply with the rquirements of the Act, and the
-Regulations have not been met. or-
(2)
to whi
un
, in my opinion, attention should be drawn to enable a proper
tandixjg of the accoull
e reached.
rdF
Hunt Ford & Co
Osbourne House . . -...
143-145 Stanwell Road
Ashford
Middlesex TWI 5 3QN

Page 2

PAR5SM OFST MARY THE VIRGIN STANWELL AND Sf MAITHEW ASHFORD. PARISH NO 1313
FINANCIAL STATEMENTS FOR THE YEAR I JANUARY- 31 DECEMBER 2024
Ge￿e￿al lU￿restrIcted> Fund Recelpts & Payments Account
2024
ZOZ3 Apr-De£
Recelpts
VDluntaryavlng
19,072
3,63Q
3S,894
14,595
2,986
5.486
Collectionsat servlces
GWI ald recovered
ol¢121
59.595
23,067
Fundrai4NgaEtivitie5
2,737
1,375
2,737
1,375
Incornefrom inveStmEnts
10,023
12,0
6,69S
Income f<om pr4pe<ry
21023
15.6
Church 3¢tlvMes
Fees reialned byPCC
T￿dIng3[tIVhIde$, NOT fundralslng
6,792
58,151
7,875
30,981
64,943
38,￿7
Otherlncomlng iesDuYces
Otherrecelyts
4.366
4,915
4.366
4,915
Yotal kncelpis
15
83.9D9
Payme￿t5
Co5tsof 8Eneratinglunds
Costsof fwdraT51rng art1Yltle5
293
293
85
M155longlvlngand donations
Di(￿San p8r15h5harE Luntrlbution
Salarfes, wages and h￿OrarIa
- ¢IEr8yand staff expenses
59.21MI
16,018
3,183
11,2
18,856
1,1
78,401
31.237
Church expenses
M1S510r¢and wgetlsm costs
Church runnlnEexpen5e5
393
2S,238
li
16,328
14,987
12,622
C051s of trddln
20,8S9
66,370
43.948
Malorcapitsl expendlture
I,S50
9.298
LSSO
9,298
other expendlture
2,75X
3,369
3.369
fotal Payments
149.4Q4
87.937
Exckssof recelpts Lsverpayrnents
General Funds atOlJamuary 2024
GenBral Funds at31December ZOZ4
4.261
54.Z7Z
33.￿7
-4.D28
54.150
54,272
Nofelll Includesa grant trf £24.928. n¢tspeniin thlsyear.
Ilole121 fjift3￿ had ￿1 been c131rned bythe o120Z4. Aclaim lorAprtl 2023 Ihrough to December 2024has been prepared.
021024Sthliry+5lmvltPCCArivi￿ts-RC￿¥*I￿*F•w￿p￿tl

PAR15H OF ST MARY THE VIRGIN STANWELL AND ST MAThHEW A5HFORD. PARISH NO 1313
FINANCIAL STATEMENTS FOR THE YEAR I JANUARY- 31 DECEMBER 2024
Summary of Bank actount balances at 31 December 2D24
2024
2023 Apr-Dec
Designated Actounts with CBF Church of England Deposit Fund
General Deposlt IAKA Reservel Accr>unt
Recelpts
Payrnent5
Balance at 01 J4nuary
Balance at 31 December
Parish Worker's House
Receipts
Payments
B8lan£e at 01 April
e4lance ?t 31 December
Bell Fund
Receipts
Payrnents
Balance at QI January
8alance at 31 Detember
Church Mgnagert*nt Ae¢ovnt Ichurch Halll
Recelpt5
Payments
Balance at 01 January
Balallce at 31 Decefflber
St Mary's Euildlng Fund
Receipts
Payments
Balance at 01 ￿anUary
Ba14nte ot 31 December
1,288
580
1,853
25,537
24,263
24,263
25,551
37
1,720
1,712
29
29
30
291
122
5,487
5,779
5,365
5,487
25,234
276
3,371
5,698
30,932
5.698
7,924
5,524
11,268
30,410
24,667
24,667
32,590
Summary of aank account balances
Current kcounts
Bank & CBF deposit Ide518natedl
8,316
104,614
112,931
30,Q09
69,445
99,454
TOTAL
Other Assets
Deposit Prutection Service re 9 Meadw4y
St Matthew's Parish woike¢5 house
PÈrmanent Endowment- St Mary's Buildin8 Fund. 10.430.14 shares
.5
400,(X)O
241,173
825
250,QOO
235,776
Liabilities
Unpresented cheques
Other
Total
OZ2024StMory+Strtht¢ PCCktounts-A¢¢ovnt Babn¢e5

PARISH OF ST MARY THE VIRGIN STANWELL AND ST MAThHEW ASHFORD. PARISH NO 1313
Summary of Designated Funds
Within Co-op Instant Deposit Account ot 31 December2024
2024
2023 Q2-Q4
Designated Funds
Cholr
Receipts
Payment5
Balance at 01 Aprll
Balance at 31 December
Sacri5tv
ReceipES
Payments
Balance at 01 April
Balance at 31 December
OLW St Anne'5 Onllne Cell
Re￿iptS
Payments
Balance at 01 April
Balance ai 31 December
4,686 Note Ill
5,462
5A62
776
5,462
172
172
172
172
279
825
913
1.192
913
Restoration (St Matthew'5 Bullding Fundl
Recelpts
Payments
Balance at 01 April
Balance at 31 December
2,720
2,720
2,720
2.720
Interest
Receipt5
Balance at 01 AprÉl
Balance at 310ec8mber
152
35
187
24
li
35
Summary of Designated Funds with Lloyds
9,732
9,301
Ndte (l) Parish Choir Fund transferred from Lloyds into Co-op