St Bartholomew's Church Hyde
Charlty No. 1207015
Trustees. Report and Unaudited Accounts
31 December 2024

St BarthOloMe￿SchurCh Hyde
Contents
Page
Trustees. Annual Report
Independent Examinerfs Report
Statement of Financial Activlties
Balance Sheet
Notes to the Accounts
io
Detsiled Statement of Financial Artivities
17
Page I

StBartholomevls Churth Hyde
Trustees Anntsal Repiwt
The trustees present their report with the unaudited finanaal statements of the thority forthe year ended
31 December 2024.
REFERENCE AND ADMINisfRAnVE DEfAILS
CharltyNo. 1207015
Trustees
The following trustees served during the year.
A. Blakeway IAppointed Churchwarden 30106120241
M. Brnce Ichurthwarden untll 30IW2024, Subseq￿ ex officlo asAsststant Curate)
R. Bums
A. Gordon
K. Kousseff (Chalr & Rector)
L Talks
A. Walnewrf8ht
R. Walker (Deanery Synod Representatlve. aponted 24rn120241
Case Accountln8 Ltd
20 Goodwood Way
Cepen Park South
Chippenham
Wlltshl
SN14 OSY
Page 2

StBarth0lo￿s chu￿ Hyd•
Introductlon
ThSs Is the annual report of the charity wts)se full name is The Parochlal Church Council of the Ecdesh?stical
Partsh of Hyde,. re8tstered wlth Charity Commtswn. numLw 1207015. The parish calb 5tself.st
Bartholomev/< ft>r short. and the charitys Worki￿ name b Tr PCC of Hydd.
The parish of St Barthoknmew, Hyde. Wlnchester, Isjolned In a unfted bener￿e with the parlsh of St Lawrence
wlth St Swithur)wupon*Kln8$8ate: hov4*ver. the two ParfSh￿ PCC5 are sewr•te tharltles.
Alm and Purpoms
The general fvnttSons ofelery Churth of Er*Thl p•rochlal thurch coundl IPCCI are Pfescrlbed by law..
i.lt shall be the duty of the min15ter and the parothl•l church coundl to consult together on matters of
8eneral concern and imFOrtan¢e to the parish.
2.The fvnctbons of parochlal church touncits shall ind￿1•-
•. cwperntlon with mlnlller In promot1￿ In the prlsh the whole mlsslon ofthe thurch,
p•stornl. evan8elisti4 soclal and ecumenlcal:
b. Ihe consIderat￿n and d15CU551ons of matters concernlng the Church of Efi8land or any other
motters of rellglous or publlc InteresL txrt not the detlarniion of fv doc1r1￿ of the Church on
any questk)n-
c makln8 known and putt1￿ Into elTert any wovlslon made by the dk)cesan synod or the deanery
synod, but W￿hoUt prejLMlice to the powers of the cour*dl on any particular matter,.
d. gMn8 advke to the dSoces•n synod and the deanery synod on any matter rèferred to the touncll:
rnlsln8 such matters as ihe councll conslder approprfate wbth the dlocesan $y￿d or deanery
f. appolntlry sklesmen ItAho •re •lx) krrf)wn ￿ s*wards1.
3. In the exerdse of its functions the parochlal church councll shall take Into conskleratlon •ny expresslon
of oplnlon by any parochlal thurch meetlng,
4. The PCC of Hyde Is responslble for the maintena￿• of St B•rtlW)lO￿$chUrth {• Gr•de 11 Ilsted
bulld1￿1. It sobj Hyde Parish Hall on 12 January 2024.
The Church's purpose and prlnclpal actlvlty Is to serrfe the people of the parlsh of Hyde. ta*lrvd Into account th•
Charlty Commission's Buldance on public benefft. in particular ihe specffjK guidartt for charities on the
advancement of religion. Our parish's setwices and worship put fath into prartke thrO￿h prayer and Scripture,
muslc and sKTament. We try to enabbe peop* to encounter iht trdn5formatl(>￿l love of God thro￿dh..
Provlsion of Christb•n worship and prnyer In and the churth bulldln& I￿l￿dI￿ Jt the loc•1 care
home.
Provlslort of p•stor•l
Mlsslonary arrfl outreach worl ￿11¥ and ob*rseas.
SupportiNd educational aryl 0￿r comunity arti¥ities. Ind￿11￿ runnlry • toddler group •nd workin8
wllh St Bede Churth of En8land Primary ScPthl.
C¢ntrlbuting to the cultural life of the cmy arml carin8 for its hertta8e, Includln8 workln8 wfth ltyde9O) to
tell the storyof Hyde Abbty and to commemorate the le8aLV of Kir¥J Alfred the Great.
Page 3

St BartholomÈWs Chutth Hyde
T￿￿tee$ Annual Report
The commrtment and contribtrtions. both voluntary and financlal. of the members of our congregation of St
Bartholome￿s Church continue to underpin all we do. This includes supportine missKJn across the Diocese
through the Common Misgon Fund. maintaining our churth buildi￿ and funding our own mission and
ministry Ilncluding Little Wri88ler4 a weekly tOdd￿r8r0uPl.
We have continued to support the Ministry Team in thelr work across the benefice's parishes and communlty,
its nursing home and churth school (St Bede'sl. and other social and voluntary8roup&
Thanks to our benefte team of Pasti)rdl Visitors we malntsin the pastoral care of our pari5hioneT5.
Deanery Synod
A parishloner was eknted by ihe 2024 annual parothial thurth meetln8 to be a lay representative of the PCC
on the Winchester Deanery Sy￿d, for a three-year temb. As a member of the Deanery Synod they are an ex-
offlclo member of the PCCI provldlng an important link between the parlsh and the wider structures of the
Church of England.
Hnanclal re¥lew
O¥ervl•w:
Th15 WJ5 another eventhjl and challen8ln8 year. Parfsh Hall was sold at the be8lnnlng of the year, wlth the
majorSty of the proceeds allocated to The Glving for Lpiing
St Barfs AP￿al lThè Givlng for Llvln8 Appeal).
Thls allowed the PCC to be8ln the excitln8 project of refurtjlshlng the church. The fjfvln8 for Livln8 Appeal at St
Bartholome￿s Church, Winchester is an ambitious programme of repair and refurbishment to ensure a vibrant
futurè for St 8artholomew's as a thr￿Ing local venue for the arts, herlta8e, and communlty 8roups, as well as
beln8 a centre of Chrlstlan worshlp and prayer.
Thè Church runs a wÈèkty ioddler8roup called Little Wrig8lers. and there Is a monthly coffee mornln8. The
chufch Is available as a venue for COr￿rts, plays, lectures and other communtty events. Our lovely churchyard
offers a place of beauty for many w￿5 come to Sit ond pray or just find a few moments. peace.
The sale of the Parish Hall did mean a fall in income with no contribution from the Parish Hall. The Common
Mlsslon Fund contribLrtlon remalned at £27.88812023'. £27,888) which was pald In full, thanks to the 8enerous
support of our slster parlsh of St. LaW￿￿te with St swithun-upon-Kin￿ate. The PCC1s commrtied to paying
the full request In 2025.
The￿ We￿ many well attende(I fundralslng events held throughout the year Includlng the return of the
popular Art @ 5t 8arVs 5prin8 lerture 5erle8 enjoyable concerts arKI plays, monthty Coffee mornbn8s and the
Chrlstmas Falr.
Unr¢strf¢t•d IG¢n¢r41) Fund:
The General Fund ended In defidt for 2024 of £12.19912023: £4.436 surplus). which included the balance
included a payment ofthe CMF £27.888 {2023: £27WI and £10533 PrO￿d5 allocated from the Sale ofthe
Parish Hall.
The total income ￿Ce1￿￿ in 2024 wa5 £47,07712023: E64.768). which represented a 30% decrease. This was
mainly due to sale of the Parish Hall in January 2025, and the drop in income from it.
Expenditure wa5 Similar of £59.39312023: E593321.
Pa8e 4

St BarthoIorn¢￿5 Church Hyde
Trustees Annual Report
Unrestrlrted (Designated) Fund:
Proceeds of £664.c￿ from the sale of the Parish Hall were allocated to a Designated Fund for use on The
Glvin8 for LSviw Appeal for the refurbishment of the Church projecL The funds are invested with CCLA In The
CBF Church of En8land Deposit Fund. The fund aims to provide a high level of tapital security and a competitive
Inte￿51 rate and on demand withdrawaLs. The fund received Inte￿$t of £19.129 durin8 the year. There was no
expenditure during the year.
Rertrfrted Funds:
These comprise funds raised for special appealslprojects available solely to meet expendlture on the speclf
purpose for which they were donated. The Restricted Funds surplus was £32.41712023: £59,188).
The total amount of Income recew was £9.32812023' £23.4691, thls was all related to The Giving for L￿fjng
Appeal.
Total expendSture amounted to £36.09912023: £4.8[￿). of Twhich £35.749 was expendfture relating to The
Glvln8 for Livin8 Appeal. This Included architerfs fees, buildlrv8 surveys and con5ultsncy fees and dlsplay of
excltin8 desl8n5. £350 was related to expendlture on the monastK herb garden fvnd. The individual appeals,
prolects and remainlng year-end balances are Ilsted In the Note5 to the Flnanclal Statements.
Endowment Fund:
The endowment fvrKI15 Invested wlth the CCLA and the market value of the Investment Increased to £38,083
12023.. £37,231). Durfry the year the endowment fund genefated Income of £1.03312023: £1,018).
2025 O￿lOok.
This will be another excltln8 year for the Church wlth The Gfvln8 for Llvln8 Appeal returblshment work 8ettln8
underway Indudin8 Improvln8 accesslblllty for wheelchalrs and buB8bes.' creatin8 a herlta8e area about Hyde
Abbey and Kln8 Alfred; developln8 a more versatile space for communlty events; installlnB a more efflclent
heatlng system a￿1 ren(Natlng the plasterwork and Internal décor.
The 2025 budget anticipates a decrease in Ir￿oMe to 2024 and a decrease In expenditure. Overall, It Is forecast
a near b￿ak-evern position. The church is in need of various maintenance work5 in 2025. as recommended In
the Quinquennial inspection.
Our pollcy Is to malntaln reserves that are equlvalent to a r4ry of three months of unrestrkted expendlture.
plu5 additional money eamiarked for specffic proiects and purposes.
Volunteers
We would Ilke to thank the following peopk: all many volunteers arrtl oryanists wlw support the church in
thelr varlous roles; and our churchwardens, Malcolm Bruce and Alys Blakewayi who have worked tlrele55fy on
our behalfr, Andrew Wa5newri8ht for his great efforts In apptyin8 for obtainirs donations and grants,
supervlsln8 the church refurblshment work and actln8 as the Gift-Aid Offi￿￿, tis Wicks as Secretary to the PCC
and Duncan Boyd as Treasurer.
Page 5

StBartholomew's Chur(h Hyde
Trustee5 Annual Report
The method of appointment of PCC members is Set out in the Church Representation Rules 2020, which
prowde that the PCC consists of ex-officio members (the ordained cler8y and lay workers licensed to the parish,
the churchwardens, and parishloners who are members of the Deanery Synod. Diocesan Synod or General
Synod) and members elerted by those members of the congregation are on the Electoral Roll of the
parish. All those who atteNI our servKes are encouraged to re8iSter on the Ebectoral Roll and in due tourse
conslder standing for elertion to the PCC.
The PCC Is responsible for maklng dedslons on all matter5 of general concern and Importance to the par15h
including deciding on how the funds of the PCC are to be spent.
The PCC has complled with its duty under sectlon 5 of the Safeguarding and Clergy Discipline Measure 2016
Iduiy to have due regard to House of Bishops. guldance on safeguarding children and vulnerable adults).
Statem•nt oltruste•s' respO￿lbIlItIeS In rtl•tloTr to the finarKlal statsrn•nts
The charity tru51ees are responsible for preparln8 a trustees, annual report and flnaneial statements in
accordance with applicable13w and United Kingdom Accountln8 Stsndards Iunlted Klngdom Generally
Accepted Accountin8 Practkel.
The trustees are resp)nsible for keeping proper accounting records that disclose wbth reasonable accuracy at
any tlme the financial p05itlon of the charity and to enable them to en51Jre that the financ5al statements
comply with the Charltles Acl 2011, the applicable Charities IAc¢ounts and Reports) Re8ulatK*ns, and the
provlslons of the Trust deed. The Trustees are a150 responsible for safeguardini the assets of the charlty and
hence takln8 reasonable steps for the pre¥entiorn and detectlon of fraud and other Irregularltles.
Sl8ned on behalf of the charlty's trustees
K. Kousseff (Chalr & Rector)
Trustee
18 Marth 2025
Page 6

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St Bartholomew'5 Church Hyde
Statement of Finandal Acii¥i
for the year ended 31 Ilecember 2024
nds
funds
funds Totsl funds Total funds
2023
Income and endowments
Donations and legades
Charitable acthfltle5
Other trading artlvides
Inveslments
Other
40,013
4,852
4,463
44,476
4,852
5,719
20,528
1411
54,825
6,037
8,918
1,320
16,523
4.865
20,528
1411
Totsl
66.21
9.328
75.534
87,623
Expendlture on:
Charltable actfvltks
Other
39.515
19.761
39,515
55,860
38,789
25,349
Tot•1
59.276
36.099
95,375
64,138
Net gains on Investments
Net {eX￿nd￿rQuInCQMe
Transfers between funds
6.930
126.7711
119.8411
23,485
N•t l•Mp•ndlturnVlncom•
before other p1nslllosf￿>
Other 8alns and losses
Crther Galr
6.930
126,7711
119,8411
23.485
171.519
172,371
152530
3,227
26,712
Net m¢)vem•nt In funds
178,449
126.7711
852
R•con¢lllatlon otfunth:
Total funds brought lov￿rd
585.1
59,188
37,231
681.532
654,820
Total funds carrfed forw*d
763562
32,417
38,083 834A
681,532
Page 8

St Bartholomthrfsthurch Hyde
Balance Sheet
at 31 December 2024
2023
Fixed assets
Tangible a55ets
Investments
li
503.014
37,231
540,245
721.212
721.212
Current assets
Debtor5
Cash at bank and Sn hakyj
1,233
141,782
143.015
11,7281
141.287
681,532
114.178
115.166
12,3161
112,850
Credltors: Amount fallirvd due wlthln one ￿r
Net ¢urr•nt ass•ts
14
Totsl assets less curv•nt Ilablllths
N•t •M•ts •xcludlry p•nslon •ss•t or IlalAIIiv
834,062
681,532
Total n•t ass•ts
834,
681,532
Th• funds of th• ¢harlty
Restrlcted lund$
Endowment funds
Restrirted income funds
38,083
32,417
70,5(
37.231
59,188
96,419
Unrestrlcted funds
General funds
15
80,433
683,129
585.113
Designated furnts
763.562
585,113
Total fur
834,￿2
681,532
Approved by the trustees on 18 March 2025
Ands
ned on thelr be
Ifty.
K. Kou55eff {Chair
Trustee
18 March 2025
Page 9

St Bartholomewschurch Hyde
Notss tothe Accounts
for the year ended 31 December 2024
l ACC￿￿1[vI pollcles
BasFs of prep3rntlon
The financlal statements have been p￿pared in accordance wlth Ststement of Recommended Prdctlce:
Accounting and Reporting by Charities preparlng their accounts in accordance wrth the Financial
Reporting Standard applicable In the UK and Republic rf Ireland IFRS 1021 issued on 16 Juty 2014 and the
Financial ReportinB Standard applicable In the United knn8dom and Republic of Ireland IFRS 1021 and the
Charities Act 2011.
Change In basts of accounllng or to pvevlous ar(wrts
There has been no change to the accounting policies (valuation rules and method of accountin81 slnce
last year and no changes have been made to accounts for prevlous years.
Fund a¢¢￿nI1
Unrestricted fvnds These a￿ available for use at the dlKretion of the trustees in furtherance of the
general objects of the charity.
These are unrestricted funds earn)arked ￿ the trustees for particular purposes.
These are unrestrkted fvnd5 whkh include a revaluation ￿SerVe representin8 the
slatement of investment assets at thelr market values.
These a￿ a¥allable for use sub5e¢t to restrlttlon5 imwsed by the donor or through
terms of an appeal.
DeS￿nated funds
Revaluatlon funds
Restrfcted fvnds
Reco8nitlon of
income
In¢ome1s Included In the Ststement of Artandal Actlvftles {SoFAI when thè charlty
becomes entltled to. and virtualty certaln to recefve, the Income and the amount of
the Income can be measured wlth sufAclent relbablllty.
Income w5th related Where Income has related expendlture the Income and related expendlture Is
expend￿ule
reported gr055 in the SOFA.
DonatSonsand
le8acles
Voluntary Ineome rece5ved by way of grants. donations and 81ft5 is included In the
SOFA when reeebvable and only when the Charity has unconditional entitlement to
the Income.
Tax reclaim5 on
Income from tax recla5ms 5$ Included In the SOFA at the same tlme as the
donatSonsand gifts glftldonatk)n to which rt ￿lates.
Donated services
These are only included in income {with an equNalent amount In expendlturel
and facllftles
where the be￿fil to the Charrty is ￿3$Onabty quantifiab￿, measurable and
material.
Volunteer help
The value of any ¥olunteer help received is not induded In the accounts.
Investment income This is included in the accounts when receNable.
Gainslllossesl on
This includes anygain or105s resulting from revaluiw in¥estmentsto ma￿etvalUe
revaluationof fixed ot the end of the year.
Gain5lllossesl on
investment a55ets
This includes any gain or k)ss on the sale of investsnents.
Page 10

St BarthOloMe￿SChurch Hyde
Note5 to the Accounts
Expenditure
Recognition of
expenditure
EXpe￿Ilture is recognised on an accruals basis. Expenditure indudes any VAT whlch
cannot be fully recovered. and is reported as part of the expenditure to which it
felate5.
These comprise the costs associated with attrartiryd T￿lUntary Income. fundraising
trading costs and irwestment management costs.
These comprise the c05t5 incurred by the Charity in the delpiery of its actrvities and
services in the furtherance of Its objects, Includin8 the maklng of grants and
governance costs.
Expenditure on
raisin8 funds
Expenditure on
charitsble attfr41ties
Grants payab
All grant expendlture Is accounted for on an actual paid basls plus an accrual for
grants that have been approb*d bythe t￿￿ee$ at the end ofthe year but not yet
paid.
Governarbce costs These Includè those costs a$50Ciated with meetlll8 the constitutlonal and ststutory
requlrements of the Charity. includln8 any audltllndependent examlnation fees,
costs Ilnked to the #rate8k mana8ement of the Chartty. together with a share of
other administrdtion costs.
Other expenditure These are support costs not allocated to a partlcular activlty.
Taxatlon
The charityls exempt from tax on Its charttable aL11vltle&
T•nilbl• ass•ts and (kndadon
Depreclatlon15 provlded at the followlng annual rates Sn order to write Off each asset over Its estlmated
useful life: Owlryd to the hlgh residual value and upkeep, the parlsh hall and flat are not depreclated.
Trade and other debtoys
Trade and other debtors are recognised at the settkmeni amount due afterany trade d5scount offered.
Prepayments are valued at the amount prepakl net of any trade dlscounts due.
Cash #nd cash equlvalents
Cash and cash equlvalents comprlse cash at bank and on hand, demand deposits wlth banks and other
short.temi hlghly Ilquld IrNestments woth original maturities of three months or less and bank overdrafts.
In the statement of financial ￿SItion, bank overdrafts are shown wlthln borrowings or current liabilitie5.
In the Ststement of Cash Flows, cash and cash equivalents are shown net of bank oveT(Irafts that are
repayable on demand and fomi an integral part ofthe company's cash mana8emenL
Trade and other uedltors
Short terni creditors are measured at t￿ transactkjn price. Other creditors and provlsions are recognlsed
Whe￿ the charity has a present obli8ation resuhin8 from a past event that will Pro￿bty result in the
transfer of furKls to a third party and the amount due to settle the obligat￿n can be measurÈd or
estimated relIab￿. Creditor5 and provisions a￿ Th)mialty recognised at their settlement amount after
allowln8 for arytrade discounts due.
Page 11

StBarthok>me￿S Chuth Hyd•
Notss to the Accounts
2 Statrment of Fina￿la1 ktS¥ldtt. prior
lunds Totrl fvnds
Income and ¢ndowm¢nts from:
Donations and legacles
Charitable activities
Other trading actfvltles
Imiestments
Other
39,5CI)
6.037
15.325
54,825
6,037
8.918
1,320
16,523
8530
1.320
16.523
Totsl
63,768
23,855
87,623
Expendlturn (￿.
Charltable artlvltie5
38,789
20.543
38.789
25,349
Other
Totsl
59.332
64,138
N•t Incom•
4,436
19.049
23,485
Net Incom• b•for• oth•r
alnslllosses)
othr 8alns and10$￿.
Other Gains
4.436
19,049
23,485
3.227
3,227
3,227
26,712
Net movement In funds
4.436
19,049
Reconclllatlon of furth:
Total funds brought forward
Tot•1 fvnds c•rrSed
.677
40.139
654,820
585.113
59,188
37,231
681,532
3 In¢om• fyom do•￿tIonS ¥nd l•ead•s
Total
Total
2023
Planned
25.111
25,111
24,631
6,093
8,426
15,675
54,825
Servlce collectlons
Tax recoverable on gift aid
Donatlons and legacie5
1,250
40,0
4.463
4A63
5.713
44,476
Total
Totsl
Fee5 for weddin85 & fvneTals
4￿52
4.852
4,852
4.852
6,037
6,037
Page 12

St8artholome￿s Church Hyde
Notes to the Accwnts
5 Income from other tradlry artiviknes
Totsl
Totsl
2023
Coffee sale5 eta
Parish magazine sales
Fundraisin8
271
4.865
4.865
5,719
8,918
Totsl
Total
Dividends
1.033
19,495
20.528
1,033
19,495
20,528
1,018
302
Interest
1,320
7 Other Income
Total
Total
2023
Church hall rents
241
241
7.763
Flat rents
{282)
1411
1282}
1411
8,760
16.523
8 Exp•ndltyrn on th•rtt*bl• *ctlvltt
Tatsl
Totsl
2023
Expendlture on chorltable
ortivttks
Fees for weddin8s & fu￿ra15
Mlnlstry parlsh share etr.
Church runnin8- Insurance &
licences
1.718
27.888
1.718
27.888
2,272
27,888
3,674
3,674
3,618
Church runnlng- ￿lIttles
Governonce costs
Accountancy& independent
examination
5,581
5,581
4,333
654
678
39515
39,515
38.789
Pa8e 13

StBartholomew's Church Hyde
Notss tothe Acc<wnts
9 Other ewndltur•
Total
Totsl
Givirvd Imissionary. agencles
& secular charities)
Cler8y expenses
Employee costs
Premises costs
25
25
25
1.036
1.939
1,036
1,939
9,063
43,797
55.860
4,335
15,654
4.535
25,349
General adminlstrative cosrs
7.698
19,761
36.tYJ9
36.(V39
10 Staff costs
2023
4,335
4.335
Salarles and wages
1,939
1,939
No employee recetved emoluments In excess Of£fffj,l￿.
The average number of empbyees durin8 the year was less than one full time equ6valenL
11 Tanslble Ilxed x*¢ts
Cost or revaluatlon
At l January 2024
D15posals
At 31 December 2024
3,014
503,014
1503,0141 1503,0141
Net book Values
At 31 December 2024
At 31 December 2023
503,014
503,014
The Parlsh Hall was dlsp¢)sed of durln8 the year. The proceeds were £674,533 8lvlng rlse to a surplus on
(Jlsposal in the sum of £171,519.
Totsl
At l January 2024
Addttk)ns
Revaluation
At 31 De￿mber 2024
r4et book ¥alu¢s
At 31 December 2024
At 31 December 2023
37,231
683,129
852
37,231
683,129
852
721,212
721,212
721,212
37.231
721,212
37.231
The funds invested are held with the CBF Church of EwryLaThJ Investment Fund and the CBF Church of
England Deposit Fund.
Page 14

St BartholomeWsChur¢h Hyde
Notes to the At(ounts
13 Debtors
Prepayments and accrued income
1,233
14 Credltors:
amounts falling due within one )Ear
2023
Accruals
2.316
1,728
15 Movement In fund5
At31
D¢￿rnber
At l J•nu•ry
Imxnl
Restrkted fvnds:
Endowmert fvrnts:
Endowment
37.231
38,083
rotol
37,231
38,¢)83
Restrlcted Income fvnds:
Memorial garden
Messy church
Glvlng forlfvln8lprevkiusty
Church tower)
Monastic herb garden
1,361
257
1,361
257
57.020
{35.7491
13501
30,599
2LKJ
Totol
59,188
9.328
136,C891
32,417
Gen•ral funds
585.113
218596
159,2761
I664,th￿l
80,433
D•slinated fvnd&'
Givin8for INing Ipreviousty
Church tower)
Totol
19.129
683,129
664.cl
683,129
Totsl funds
681.532
247.9)5
195.3751
834,￿2
Page 15

St Bartho10￿5(h￿rchHYde
Notes to the ￿￿OUnts
Purposes and restrictions in relation to the fijnds:
The Endowmentfund provides an investment retum which is available for
the general runni￿ of the Church.
Restrfcted fiJrKIs:
Memorial garden
Messy church
For the care and Maifttenan￿ of the Memorial Garden.
Receivesdonatk)ns from those support or attend Messy Church, to cover
the purchase of food. materials and other expenses.
Glvlngfor livin8 Iprevk)u51y Having completed phase l. the Church Tower, the fund has been renamed
Church tower)
Gfvlng for thir6. An appeal with eight obRttNes including,. ¢￿atIng a
heritage area, improvlng acce55 to the thurch and a number of intemal
and extemal refurbishments.
LaurKhed to ra5se morw frjr the purchase of a setof congregational books
ot AnglKan Hymns Old and New Inow in usel.
The proceeds from the sale of the Church Hall have been deslBnaled to the
Givir8 for livin8 fvnd. the purpose is described wlthln Restrlcted Funds.
Hymn book appeal
Desl8nated fijnds
Page 16

St Bartholomews Church Hwle
Detsiled Statsment of Financial ActS¥th
for the y•ar ended 31 December 21
nd5
funds
fvnd5 Total funds Totsl funds
2023
Inconx and endowments frtyn:
Donations and legacies
Planned 8ivin8
Sernice collectK)ns
Tax recoverable on glft akl
Donations and lewies
25.111
25,111
24,631
6.093
8,426
15.675
54,825
7,643
5,713
44,476
1,250
40.013
4.463
4.463
Charltable aciivltles
Fees for weddln8s & funerats
4,852
4.852
4.852
4￿52
6,037
6,037
Othertradlng aCt￿ltIeS
Coffee sales etc.
Parlsh ma8azlne sales
Fundra151n8
271
4.865
4,865
5.719
8.918
Investments
Dlvldends
Interest
1,033
19.495
20,528
1,033
19.495
20,528
1.018
1,320
Other
Church hall rents
Flat rents
241
241
12821
1411
75,534
7,763
8,760
16,523
87,623
1282)
1411
66,206
Totsl In￿rne •nd •ndowm
9.328
Expendllurn on:
Charitable activlties
Fees for weddln8s & fvnerals
Ministry partsh share etc.
Church runnSn8- Insurartt &
Ilcences
Church runnlr*- utllities
1,718
27W8
1,718
27.888
2,272
27.888
3.674
3,674
3,618
5.581
5.581
4,333
38,861
38.861
38,111
Govemance costs
Accountsncy & independent
examination
654
678
654
678
Total of expendltureontharltable
a¢tl¥ltles
39.515
39,515
38,789
Page 17

St Bartholomew's Church H￿e
D¢talled Ststement of Flnartial kti¥ld
Other expenditure
Giving Imissionary. agencies &
secular charities)
Clergy expenses
25
1,036
i.(￿1
1,036
1,061
825
Employee costs
Salaries/wages
1.939
1,939
1,939
1,939
4.335
4.335
Premlses costs
Other premlses costs
9,063
9.063
9,063
9,063
15,654
15,654
General admlnistratfve costs.
Including deprrfiation and
amortisation
Sundry expen
7,698
7,698
19,761
36,099
36,099
36.099
43.797
43,797
55.860
4,535
4,535
25,349
Total ofexpendltur• oloth•r costs
Totsi •xpendltur•
Net galns on Investments
59,276
95,375
64,138
Net lexwNllture)Ilnc¢
6.930
{26.7711
119,8411
23,485
N•t l•¥PendltureMI￿oMt before
other ialnslllossesl
Other Galns
6,930
(26,7711
119,8411
23,485
171.519
172,371
3.227
Net mo¥em•nt In fvnds
178.449
126.771)
152.530
26,712
Reeonclllatk>n of lunds:
Totsl funds brou8ht forward
Total fvnds carrled forward
585,113
59,188
37231
681,532
654,820
763,562
32,417
38,083
834,(1S2
681,532
Pa8e 18