Marshall's Charlty
Chariiy No 306780
Consolidated Flnancial Statements
for the year ended 31st December 2022

Marshall's Charity
Iiidex
Re￿rt oflhe Tn￿8S...........................................................................................................................
ConsdbJabJ aTrJ Charity Balan￿ Sheets...................................................................................................
Consc4idat&J StalThnt of Finwl Pthl*s......................................................................... ....
10
Charity Slatenwl ofFinw* Acap*itss.................................................................................................... 11
ConsdKlat•d Ststem?nt ol Cath Flows........................................................ ..... ............................. ...... 12
Nots8 totheAcLounts......................................................................................................................... 13- 27
Independent Authtorfs Report.... .
..28-

Marshall's Charity
Ttustees, OlThcets 8ndAo￿lS0￿ts
TRUSTEES (are aFoointed by Of￿ I￿ain1￿j Tr￿lee$ tem) of 5 y•aTS)
MrA p i>Jthrie TD DL 8Sc FRICS
+ W # l MrJANFkav*DodMScMRICS
Mr S Clwk TD Bsc FCIB FCSIIHON)
Mrs A Nicholson kiA Mphil MRTPI
# i MrWDEasonMAFC
# k Ms S Ma1hrAT&T￿kel
Rewj J Rust Bsc Wi
# A L Bosman BSCACA
Mr A Moss MA FRSA
l Mr C E R Ledsam FCIS
A Miss E Lang BA ACIS
Mr A SmaltWC•)d LLB LLM MRICS
A Ms R SlillirrfJ
Mr l MaX￿1￿￿cK1t
Mr C Kwrvje
{Ch81m￿)
(reli￿ I￿￿ c¢1£￿2022)
(mtMEd ?￿h May 2022)
(app￿¢$d 271h W 2023)
+ Member ofthe Prorwty Committ88
# Member ofthe Audrt Ccfflmittee
z Member ofthe T￿￿tee C￿M￿le8
Member ofthe Rernuner8tiw Ccxnmitt88
k Member ol the Grnnts Commthg
anber olthe In%wtment Commrtkne
Membw offv Christthurth CeAnmthe
OFFICERS
Ms C M de CAntra BA ACA
Mr J Keagan DipBS MCIAT C.BUILO.E NWE.
Ch￿fExe￿&Vè and Ckrt( to Ihe Twste*$
PRINCIPAL OFFICE
M8rsh811 House, 66 NVArcrfD￿ StreeL
London SE1 1
Td:
020 7407 2979
cknrk￿arSh4Is.Qrg.uk
.matshalts.org.uk
8-mail.'
BANKERS
Barclays Bank
192 High Street
Crthyky, Wgst s￿￿X RH10 1YX
Lg•ts LS1 9
SOLICITORS
CTIPPS LLP
Wa119d& Hou8e, 12 Mount Ephr8pm RoAt1
Tunbridgé Wèlls, Kent TN1 1EG
STATUTORY AUDITOR
Price Bailey
8th Fbor. Da51w￿[￿l Hous•
69 Cld Broad Street
Lonth)n. EC2M IQS
INVESTMENT ￿GER
Rathbones
8 Finsbury CKCAJS.
London EC2M 7AZ

Marshall's Charity
Trusrees Report for 2022
1. OB￿cTIVEs AND ACTi￿riEs
Purpo¥￿ ofthe Ch•rfty
The Charity was Iotmed wi 1￿1 on Ihe (IBalh of Jom Marshall. a bakar in SoJtlThvarf(. In his IMII, after rnaking
provision for hi% 18rnily and fn"•nds. hè ￿ftth8 balancè ot his mtthst eslate to trLL8ta•s to be Ltsed for various charrtab
purposes. AItt￿)ugh these have evow ￿•jhty wthe ￿t￿ries, they are $bll ￿lMarity gn continuw7Cg
and maytenance olthe preacknng of Gorfs ht*y UN"s Lande fC￿V8rf. Today, these purposes arg."
to support as Patrtr￿ the paffjh ¢hurth of Chrtstthurt*, S￿￿Wa￿..
to m*e grants for the Swport of pwsonages to di(Kew ofthe Church of Erylarkj aTra thè Church in Walas,.
to mthe restOrath"C￿ aThJ repaw grants to A￿kan c*urc*es in the three counlies of Kert Surrey and
Lincolnshirè as thos& counbes w*r8 defined in 1855,. and
4% 01 net iwKoffle ￿ m•Je availatye lo Marshall'¥ EduC41K￿* F(wnd8bon *thi¢h makos for
educati￿al purposes in Stanford sou1t￿.
bl
The Charity ts furthd solely from thk8 endtr*m&
Public B•nof
The oty'ects and pu￿ of ￿ Charity A￿ set ¢yJt paragr4Jh olthB (B￿rt. Th tstees cryifirm that tsy
haw r8ferr8d to thè charity ccmmissi<)n's gene￿ guwJart6 on wt4ic whon revw•••WJ Ihe Charty s aims 8ThY
obl￿tiv&S in fvluto oGb"vilws gwt-rnakis¥J (Dr th& y&ar.
Acdvltles
Th• affaits ofth8 Chafity ar& $8paratsd into pmcipal arnas aThJ Itis is in the Staternentof FinÈnci
Actiwlies I'SOFA'I on paje 10. The wncapa areas are ww85tr￿nt mwwment 9rant making. These are
explained in mc*e ijetsil telw.
For many yaars. thè cfwrity has sh*•J ts offitss and ¢L￿ts with Nthvcyrn Colètt FouThJatK)n, arthergrant makiro
¢harity. The i￿orr* receNed from I￿rn and b)e costs incurred are sinilar arKI shown 8gpar*ly ill Notes 15 and
17 of the actourts.
Al
In¥Mkn•nt MAnag•m•nt
As an Endth¥ed Charity oro ol the prirnary tas%s ol Ihe thtstees o to manag? th? in¥pstrngrt as591> trugtees
have adopted a wlry of di￿r$￿Cab"on in relab.C￿ to 85 suth hc4d thtr lfftsthlonts In t
speciaist direcl property and Mu1￿1$SeL I￿u¥j, managwj assets.
Prop•rty
Approximately eo% of 15 ¢Jwrentty inbEsbJ directy in wor•. The p0rtfvJ1￿ t¥ by sw.
location and class. Thè Chanty at#xrt20% of ts kyxifclio in res*J8nW WOF¢rty. 21% in comrywcial, 24% li
retail and 35% in iTrJustiial.
In thè Tegp)n d£1.47m ¢ wwestthl in • m8nW proF*tty fuThJ. Tlis tr* Charfjty to galn expc6ure to
diff8rent class of asset. inuewng the divers1ficatK￿ of p(thtio and ts perfonnance of thg fvnd. How•vèr,
lund has Th)t perfomied as as ￿ ChW'S hehj F¥cwty, so th8 Irus* are conslljerirg ￿qiNd81￿￿ the
fijnd a￿1 purchasiffj fijrther pmpety.
The Charity8 pfoFwty p¢yttoko 15 O¥W5ew by ttE Prowrty and manopl by &Jrffjor.
> S•¢￿111
AFvToximatety 40% clthe erbaowment is imEgbJ m MU￿58$L Iw4uK1, managwj assats. In J￿uary 2022 tho
Trustees •stab1s￿d a V+Dthing gro￿ to seek cOffje￿US to have these a&89ts managed by orts or mor• discr8tionary
asset managats. Thè y￿￿ing g￿￿p identifigj a IL8t often thJThJ managws and after fiJrt￿ reviw this was redu¢od to
a short list ol three. Fc4lcMiro presentaticffjs aThJ these three fimis the trustees agreed to aFf)oinl
Rathbo￿$ In￿￿￿ent Managwnw)t LYnrt¢d to managa pthlio. By the end of21Y22 Marshau's s￿Ur￿e5 had
teen transferred to RathbO￿ to man•¥.
Grnntwmakl
Tham ar• f(NJr current m4orcatsgori8s ofternfft as setoth in ts werirs paragraph ol ￿r Rep)rt. Thtr MaTsh$ll'$
Charty Aet 1855 also intrtsaueed lor grants for churches. These made particuTarfy in the
1W Cgntury and again in 1930$. Hoffivet, ￿ grants have teen made Sin￿ 1993 and the twstees now tr*I￿ve
thal any 9rant made i) thk% a￿8 WOU￿ Trjt ￿ rnalena ￿ Ihe obtr81 cost ota rEw (thrth aThJ that their grants are
more effectivety direded to 1h8 Oth* areas of ￿n•fiL

Marshall's Charlty
Triislèes Peport for 2021
Each yw. when aFvrovwwJ thè buslo8s ffirst ¢J8c•Jo IKYAT mLth ts make available forthe Assouated
wth Christchurch, Southwark. Then. after makiry ad4uate provSic￿ ts the grant lo Marshall's Ed(￿atioNal
Foundation, b* trwtees deryde how to ¥Art thè avalable btfv4*èn grants for Ihe Supp￿ ol parsonages aTrJ
those for restoration of churcts5.
Marnhall's is only ab￿ to grants for clxJrdEs Ihal Tr41 within hi8tr)riC COLtht*s sèt in John Matshall's
11. Anglit>n churc*es within the rdèvant dic£eses may aFTJty fora Churc* Restcfation Grant arKJ Part￿ularwaIght is
given to thcee WIcatic￿$ that have ts bx*J"rvJ of th8irtli(rese. In thè tr￿le•S also off8r ryants to all
dietssès in England aThJ Waks for the wrtha5e lx Thprobemerrt ofparsona9e houses. S￿UrrtY gr￿ts are abo
availat4e to those dirry¥es, grants we awarded to sukwt tha purchase aTrY ir6tallatson of burglar alaryns
and CCTVS in pa[sc￿ages.
Chii•trhwch
As stste(l in Ihe PU￿OSe$ ol the Chanty. Ilp Chwity hc4ds ts patron&Je ol Chri5tchuTch &JJthwark. Christchurch is
thè first itan in John Marshall's Ml aTrY a5 suth ts trustees regard gJpwbrvJ Christthurth as lhelrp￿ary
responsitylty. Tlpy gxercise this duty by prwJiThJ &lminstrab"vè aThJ finarti* swjport tr& d)urch. The fir$8nry•l
Jpport indudes paying fr)r buildirrfJ utsts. rneeb.ng the sb"pernJ and FéNon ts)sts of Ihe Recaor and helping towards
the &nployThent costs of Ihe thurth ¥lmirHstrator and fadrfi'es mafttyèr. In &Jdthn. tre Cth and Surveyor prov
8dmintstrab¥è Énd proF* swort aTrJ gu￿lan￿ as
> Marshalhb Educational F¢wndallon
John Marshall'¥ Wll provKJod for the unNeW &Jwation ofcre yourg man from the Parish G￿rnar School in
Southwark (now St UaNt'5 & St S8vv)ufs Grammar SchcKA in OrrAwnl orfrom Stamford Sch(d in knncolnshiro.
The 1870 Educalion Act required the Charity lo fcffli a s•parate FouTrJab'cm for adrnintstaring these grants, and il was
settl8d that 4% olthe dispc6at48 inc(￿re of Marshall'$ Charty w0￿d te paxl to IhB FoLmdab"on annually.
Ofthe eleven govèmtsrs of M8rsh*l's E¢j¢￿atronaI FourKlation. up to nine are by Marshalvs Charty and the
trustees are thus ab￿ to sats'5fy them58Ws that the affairs ofthe Foundation aw8 effic￿vY adM￿lStered. The Clark of
Marshall's Charity 4s0 **ninthr3 thg aff*"rs ol thè F￿r￿latiOn. Curwuy fwr tsfthè are also tru$t8•s of
Marsh811'$ Charity.
> Parnonaqe•
As ewrai￿j 8bwe, the trttstees thr grants to all ditxeses In ENJland Wa￿$ tr)r the wr£*￿ or inyo¥prnenl of
parsonage houses. Dicthsts Ihat have that they ￿ul[? a 9rant a￿ fijnds. cal¢)Jlatsd on the
numter ofparsonages wthin ￿K)L￿. Th FKoFwty x grant is daimthj must be a c18rgy hoLLse whth is
subjectto The Repair ol Berefice BuiklrMJ¥ Measlxe 1972 *th'n the C￿r¢h of Er¥JLqnd or ts Church in Wal95, and
be 0¢￿pIed by a RFLts. Vicar, T&an Re(lor. Tearn Vic2r or Priest4n-charge. This Ind￿ prr￿rt￿$ prOV￿e￿ on a
'House for Duty, basis. The worft mLLSt be lor t*JikJing. pwrlK3siNJ. altanng, diwthng w mc¥YwnistrwJ p3r50nages
lgxdudng repairs or ncTh¢onsequÈntid docorabonsl aTrJ ￿dudeS th8 instsllaiitin d e*ctn"cal car charg￿g pjints.
The Surveyor ¥isrts a nwntw of par50Trage departments sath yearto understaThJ l*)w tw arp oper8ts"rvJ, to di$￿sS
strategy and to of kn)w prevK)us grants have been wd.
Funth we also avalat4e to dK(8ses 05 ¥ewrty wants SI￿ the tntst88s have been aware ofthe
inueasng d8nger to dugy and thwr families are sutggLt in ther hcrfnes. FdlwirwJ d￿J￿10n5 with the
dith￿san pars¢Thage deparbnents. rt was cl8ar that inslaN8ton of burglar a• entrY•￿e sy3tems and, in rnore
dangerous situations. CCTV ¥eoJrty systems. VAS a iqrge nurnb8r of FY0p&I￿s. For the1851 twenty
or morv the Chanty has earrnarkèd SUFPOrt to t* aValab￿ tssuth 5chemÈs. Grants are availab￿ through an online
applicatitirn and 8rè 8wardgJ under the Cws di5ry9ll￿.
The Charity also wovbJe¥ a small anountoffvnthrg to run a Mpbyte arml ￿ryèarf0r the Diocesan
Surveyors, (>oup. The rJJnlerenc4s allow Ihe (fttesan surw kn axcharoe aThJ ¥rforrnation on 1•thn￿l
Yssues. Marnhall's ￿r￿PyC￿. Jrn Ke8g￿, is their Con￿Or.
Chu￿h68
Psrothi85 Chwth CoLm¢ls (P￿) wthin ¢thoce5es ofC8niththry. Gufrtffi)rd, LiDrnln. Roth¢$tsr and
Soulhwark Can f￿ churth rg¥loration wants. Th Sutveyorvisits the clurts5 that¥pty tef￿ the appli¢81ions
a￿ d￿CU￿￿ by the grants 0￿rnittee. A Sho￿1# ofapplicabons i% lakgn to a IntstEe me6bro. in April, Juty or
Octobor, where 9rantawar¢Js are agreed.

Marshall's Charity
TrLislees Report for 2022
2. ACTrIEVEIW8 AND PERFOR114NCE
AchI￿•M*n￿
Duriry 2022 tho ch• retU￿d to normal P￿*¢￿, fcknry ts ccrdid aThJ haj a busy and
succ£ssknl wr.
The vwious are set
A)
Inv•slrn•nt Manag•m•nt
> Spg¢1olbt dlTrct prowty
Tho Tn*t88s aro pleased that ihe prwrty pryrfofp) pr(4LwI a hb3lw irtcth• in 2022 than it thd in 2021 AI
the start oftr* year the p)rtfdio was fully kt except ljr tw retail t￿L9eS. on8 re$KIenti￿ fi8t and ts¥o surta$.
Two residenb'4 Ilots thè prct959 ofb&'rrfJ crèai*d. By the eThJ ofthe year one retam F¥ernise. ￿ industhal urt*t
aThJ offy￿ suites v8¢ant Severnl prcperbes ￿neY￿k hbJh8r tsnts ror lèa￿ or from renl revbws
aThJ rental inc￿ne in¢Jeased by 5.3% year on year. retym from the properb'e5 wa5 hew by thè dose
lats"onthip ￿ thftty Sur¥gyor has ￿th Its IwBnts.
> Muftl461rt 11qu5￿ manag•d aw•ts.
As describÉd e￿￿•r, foltrwry a r￿￿5 prctass th8 c*arty has apwntaLI Rathbone5 to mwagg ils seeuirb8S on a
discrglwjnary iwsffj. Fol￿wI[￿j the aFvxnlm8nt Rathbc•)a's has prc¢e&Jed to mo¥8 the exthig in¥estsn$nts * a
meaSU￿d pace so that Marshall's ijoes not ha%p congderabfe bjrbts tsut oftha Ma￿et atone time.
Bl Grant makh
TIE Tr￿lee5 are confidentlh8t thwrgrant m&kirg are 8na)ling thè Chaws lurvts to be used to the ban8ftof
ministry aTrJ mission olthe Arylun Churth in EngLaTra a￿1 Wabs. sin￿ John Marshal's ds8th his INII has created
grants *Drth 0￿r £86 million at cuThent pr￿. The twstses are pr￿d ollhis Are remintsj ofthe
resp￿￿1)11ty tlw hav8 for Ihe st8wartslNp of ￿a¢y.
The sumary below shryws tt* grants w to a￿1 i￿1￿j 31 D¥t4mbw 2022."
Grnnts m3d8- at Nufftber or
turr*nt
nts nwde
eof
Grants made
Alorm systems
755
T77
16,532
1.142
rotal PaTsonagJe rnnts
52.411
tV•w Chu￿￿•$
Resioratloft of Churtlxs
>J1
21.391
TOTAL
In 2CQ4 the Charity decid￿ to tr￿SfEr al its his1w￿ rec￿ to the s*kwing ofthe Lorn*)n M*opolitan ArchNes.
wh8re t￿Y are both 8erAJre and avail*b to thg general publicvtho may be interested.
A mts￿ detsikd disOJssic￿ ofthè oflhe yew
> Chii•t¢hurch
The Reverend lan Mobsby. PKJrthr Interrn R￿lOrDfchr￿￿urth Conlin￿ lo work tha PCC aThJ Marshall's on
devd¢)ping the MISS￿ and ministry oflha ¢￿jr¢h. Thi8 in the contexl 01 ts nurnber and se21è of prows•J
devdopments in immedi*e area and the intntsKJn from building ihat has an ad￿r9e gffg¢t on thB
parish. In 2020 commi*s￿)nal rèsÈ¥ch h*Jhlb3hbY ftyjr pnorrt*s c*urch. ¢>ekn"r& a sale hub. re¥MyK*ng to
the ￿ olthe workiTrJ. reSpo￿lir￿j to rwd5 ofllw Ir￿n9 in Ihe ¥ea and r8$po￿l￿g to the needs of rough
sleepars aThJ tha hom*s8. To aums was &SJed mluig a teJnlspintual (xjmmurty. A k)t of hard WO￿ aThl
effort ha5 into tacklirvJ prioritEs wilh m￿h S[￿$6. aThFK*wJh thks rnade much MO￿ diffthtt by

qarshall's Charfty
TrLI51ees Report for 2022
parkyemic
Marshall's is comrnrtted to wKrfkiThJ Ihtr Ihe PCC ￿MI the dwse (C￿rd with th* d8vabwent of
tho parish of Christ¢huw¢h.
> Marshal8 Eduutl(Thl Foundatlon
Thè achEv8mènts of MEF arg data￿d in tho knn￿l Report ofthat Charity.
> Parwnaq••
In 2022 ts Chty awarth.ng £278,537 in grants to par￿490¥ thr￿ghOut England and Wdlès which were ￿ed to
support the ￿pair and mwnt0na￿ of47 patson4e$12021 - £243,760 for 45 Pa￿￿￿3e5}. In acklthn, the Charity
warded £40,608 to lund ￿Lrrity acrt6s 59 parxrfw12021- £25,402 for 49
> Church
PCCS applied for church grants thTW ts thatitys C￿line $y8knn. Thg GMts Ciynmrtkè met Ihroe
lirne5 in 2022 and spent tmo swtir•sing tre bthre shorU¢5ting prDJert3 for thè full board ofttjstees to
8ppr¢)ve. During Year1￿ Chanty awarded 27 gr•nrs to churcf*s12021 _ 391 wrfh 8 valuè of£352,76012021-
£371,C($01. The netvalue ofgrrt trfAttlad a￿￿￿lIat￿n5 15 £282,824 IW21 . £359,854).
3. FINANCIAL REVIEW
R•vlew of Fknan
Thè tntstees agre&Y a bw shuw¥vJ a defiixt of£172,179 for 2022, %%thich allokned lOrCh￿Ie grants olovèr
È8(yJ.rNJo. Th8 actual r8sulis sho1￿ a $urFlu$ of£154.555 bel￿ losses on investmènts. This was paruy (hje to Ih8
increased Mtal ircorne Ihat was re￿Ne￿ tecause the tnsteès ddit*ralety sat a caubws budg8L Itwas also due lo
a larp numter olgrants t*ing cart*1￿, maw)ty due to delays amrwJ trom pand￿￿. The Su￿1￿5 t*cthm8s
defiot of £1,881831 aftertakir¥ a(xx)unl d rèaltsad umealwd inveslm?nt105S•S.
Since 2C4J8 tnL%tees have •Jopbd ￿l￿￿atNe W rewn¥yJ in %cJJnuLat￿l inrxrne re8effts of £1,254,089.
trLLStees ha4* agreed anots def*3t W for 2023.
Re¥erv8s Polity
At31 December 2022 Mwsh811's Ch¥rty hgwj tr* fvTrJs.'
Endowment Fund £ 20.￿.726
Restiicted FuTrJs £ 736.938
unrestr￿ F￿¢ts £ 1,254,089
The reseryes policy ofMarsh811's Chanty foc#Jses the of r8serve* Ths exdu¢J8s endtrA*l funds.
rgstrthd fiJTrJs, desvJnth fvnds #TrJ unrgstrtted I￿￿S not re•Jity rgaltsaNè.
M*5hall'8 ¢h4rity 8oÉks to m*nta"n fr98 r8s8Ms to rnan￿ thg risks the Charity is e>p(￿tsd in tr* ￿￿r$e of
rts business. These Incl￿￿& an Unèxp￿￿ dr￿ in In￿￿t duè to wKJmi¢ ¢cThYib"ons. The
recommend￿1 ￿￿e1 ol free reserv95 ts a)nualty as part ofthe prUC￿ and tskes actwnl ofthe
¢uTrnt risks faarKJ ￿ Charrty. tJustBes rmsidar Ihat thg of free re89ffts for 2022 shoukj approxffnatety
£500,QJO.
At 31 D￿ernber 2022 thè of Ime reserves was £648.473. whiL* It￿￿rge*d 8mwnL The budw for
2023 forecasts a deficit of£307.884 in crter kn reduce lh& levd of Iree rgser¥w.
Going CM¢•m
Having To￿5￿d the finartial pWf0m)ar￿ for the year. ts bLkty lor ￿ year to 31 Dec*mt¢r 2023 ￿ plarts
futurg Ye￿5. t￿￿￿8$ ¢onfimi that thè ffiancA siatern8rt5 thg to 31 Decanter 2022 can bp prwrnd on
the going concem bays.
Inv•8tmgnt Poll¢y
Thè pc4icy ofth? truste8¥ to maintsin the vdue ofthe assets Whi￿ gw*rnling a stsNe Austan)8blè retum for
grant making wtfr•n an of rtsk. Tr v*ue ofthe charity's in4*trNnts fdl by 8% Q021' iTr3pose of
12.5%) gver the y&ar due to the 1*1 in finanryal markets arvj the fal in average pror• prtss in the UIQ Investrn8nt
incc¥ne inrxea5ed by £63,10112021.' £52.4061. An in¥estm8nt Ctrnrttee was earfy 2023. Thts cnrnmittee
wll rewew tre In￿$tr￿enIS. espe(yalty those managthj by Rathbones. rt will also reviert the inve51ment policy
report to ts fvjll b)ard oftrustees. Currenljy tnJst895 do rnt Wish to any speryfic glhi¢A inv•stment
poli￿,. however ￿￿tial invesbnènts *• assès*J to ertsure rxygruen￿ wlh the aims and ethos of1h8 Chsrity

Marshall's Charity
Tiuslees Report lor 2022
Plan¥ lorthe Fk
Th• CjJ￿￿nf pu￿?￿￿ 01 ts Chaiity on page 2 ¥e defi￿￿ eKprwd ofthg FwTrJ?r, John Marshall.
and the t￿l8tee$ intend to conts"nL* to trw 04"6c*%es 7*tw"bt *￿$ seekif¥J to api* thaTrJiThJ
ne￿$ ofthe Churth in ErrfJLarKI and wa￿$.
At t￿.1 *1 3tr8tsgy Ipvi￿ ts I￿￿ee$ *Ere haFpy to ￿ti[Wj syskn tw award1￿ ￿￿￿ts. Tlw al
apwoved the d8asion to expand the w>rtlo1￿ ifapprr¥Jriate $Yope￿$ are avalatle to purchase and to
maintain staffw at curr#nL knels.
Risk
The Rl$k RwJi$t$r 1$ quartedy by thtr trustses *lheir m¥gtiThJ$. Al ￿ch me&tirKJ th* trustges revw the
major risks to which the Charity is exposed and er6ure that systems e￿51 to rnintmise tre of any ofthè risks on
effectiveness. In e¥ery by lts cornmittee ts fijll wister IB
As at 31 Deeanknr2022 thg mw r*ks Chwty ￿..
è AthlilTrJnal L))sts ansing from ￿r￿rtY due to riths. maW ertsuring that nsks
identified by the wwrers are a*Jressed.
* Stgntfitant loss of incorntr due to adve￿¢ ecomm￿ or pjlthcal othmate. Tha Charity ts n￿an1 on inve$b7)ent
incc*na to fund its runThNJ c¢k4ts grant-m8knThJ actNibes. A sig)iftart kx4s of w)(x)ma would Iharefr)r& havg
major impact on ts Chantys acaiwi*s. Thi8 rtsk i8 manag&J thrwgh hc*Jiro free reserves and th?
diversthcation ol tts investrn￿l In athjit1c￿. staff and trustees monitor economic and politi￿1 tr¢nd¥.
• S*Jnificant bss of Ir￿ Ihrough bgj thbts or exlend&J ¥*ar￿@s. To mthJate Ihis risk, ts Charity
activety Man￿e$ debtors. dr94VS up ir￿c￿e budget on a Kyudent basrs and subsuibes to pclential
tenant credit re[￿￿ where woprtrate.
• Inflation. To mityate thi5 risk the t￿￿teeS have set vp an In￿StMent s￿)r￿DMittee otthe trustetrs, hokj a
balance4J investrnent portfclK* {i.8. th"￿￿1 WIF￿ty/SecUlIt￿S/cashl aThJ all￿4 for sUffic￿nt inftathM in ￿ ￿{53eL
• Risk to the reputalKJn ofth& Charity b)rtyJgh ac*"orts oftrusle8s or slaff or Ilw0￿h a dala broath. Mitigatin9
actions i￿l￿de hawng aFpropnate po￿￿$ arKI syslwn5 in FI￿.
4. STRUCTURE. GOVERNANCE & MANAGEIW4T
Gov•mlng Dgcumonts & TnMt•e•
The Charity 1$ gts¥em￿ the temts ofthe Marshaf$ Ch•ity A¢t 1855 as slwbmantèa by $ut66qu&nt Schama$
ofthe Chanty COMM￿￿￿r￿. 17th May 2017 ts Charty C¢ynrnissIc￿ a￿r0%￿d a SchTh to farilitat• th& sy5t•m
for ￿arrting grants. The kgal n¥ne of ts Charty is tho Chanty of Jthn Marshall. aKh)Lgh known as Marshall's
Charity. Its Chanty Registralion N￿1￿¢1 k8 2[67￿•.
All In*te85 are rmmbws ofthe General Meeb'ng cl Trust￿ 8TrJ $re duibjg fvJr any Ccrntttaè. T(u8ko8
are e￿¢ted to serve frjr a fi* year perifyy and may te re4lthJ for fve year Feriojs. Therè #rè a
Tha￿MUM 0118 truslees, all olwhcffn are req￿r￿4 to te rremters ofts Church of England
Thetg arg ¢urrenty s￿n commrtlees." Fyoperty Commthè, A￿Irt Commth, Remu￿ra￿n Committee. Grarts
C￿rnrttee. Inve$1rnent Crmnrnthe. ChrBtthJrch Crynmittee an¢J Tru¥tgB Commrttgtr. No Comm(dee has
delegated pOI￿r to act wilhout the autlk)rity ol ts Gereral MeetiTrJ ofTru*es. The trus1￿ have d¢veltpÈd and
app￿ed fomal te￿S of reference for ￿1 of trtte Ccrfnmittees.
Tm•ts• Seknfjon & Trnlnhig
Th• Trusts• Seknbon Cwmitiee meets a5 rnc4ssary tr) rec(yrfftThY wcintrnents clsuit7knk pw59rts to fill ￿&tee
vacancies. c￿rnrttee consists ol a minwTrJm tsttwo trustees. It C￿￿￿￿erS ￿1 propc6ats, nonNnaticfis,
eommendats.ons and 4)plJcaih)ns for apwntsnènt and has thè p0￿r to ad%*rti%e for wfKants. It a150 has ful
power arKI authority to inlerviw4 of d8dim lo inter*iew applicants. to ¢sts￿l$h njlas fot Iha conduct of its busi￿$$
and. subject to the kn(wn wsh8s of the main tody 0ftrust￿ tts ap￿Y suth ￿teria Sjr aPPOiAtrnènt as rt shall tmm
'me to time cons*Jer ￿Pr(pri* ordesirab￿.
Th•r• trustsos atts 8ThJ ofth8 year.

Marshall's Charity
riiistee5 Report lor 2022
The Charity benefits frryn many hvJhty qUalffi￿ and experienc8J tnjstees many ofvA)om are aso acti￿ in
other charities. In keeping th the wl to ma￿tsin ts hb3hest ofgONpmar￿e. the charrty enctsjrages all
trustees to partujate in trainir6 that re￿vart whth wrfl assist them in thair ro￿. Through rnetnbership of the
Charity Finance Group and al￿ from professional thsor5. vaMus courses are avW1a)￿ In many ofthe 5peci81ist
areas that affect ts Charty. The Chsnty has tsvo ex[£￿Ced ptof*SK>naE staff in the per5W5 ofth8 c￿rk and thè
Sutveyor, arTd th• Charty ensures that both ofthém uThtsrt*e approprb81tt ￿tinUing [￿f￿on* gjuegtion rdevant
to thèir needs. Thèy ensure that the rdevant knry•A• gal￿d in thi5 training 15 pa558d on to the twstess.
Audlt Commltt••
Audit CrynmittO0, wthch oJTherdty cc*Bi%ts of twrtruste8s Is80 paje 11, mÈèL% a yearwth thtr auditor, 8nd
with Ihe Clath to the Tw5tees in att8fKlantr£. One of the rneet1r￿ B conc*rr*d wth the planniNJ olthe audit to be
Carried out and ¥Jenbfyirg any areas of speual inter•st7*tt¢h the trustÈÈs wsh to te eyamin•l by the a￿lIOr. The
other mests"rKJ remews the annual &cx)unts and Ihe cMJtccffte ol the audit In thè 8bsent% ofthe Cletk, th8
audrtor also has the (pp￿U￿lfy to f8w11o the in tC￿[￿n£* on ￿ ISS￿ that mwt haye aiiwn in their
work wlh the staff.
This also oversees the p[c￿5 ofrv4*ing th6 Charl￿$ OiL7eB.
Propgrty Comffl1tt0•
PrLporty Cowmitt80 cuThenty ¢)Thists ofbur Intslws (see page 11 vAlh the Surryor in rTrJnrtoring
property portfolio arvj examinirrfJ investrent rp¥r￿nit￿. The c£fflmittso Ip￿￿*$ Mc￿thty ￿pOrtS from tr
Surveyor and rneets wularly t1￿Ughout the year to ilistAJss acbwty a*Jres5 i5wes. Members sornebmts
8c&)mpany Ihe Sur4eyoron hi5 vBib to prcprt*s IW bdi8ve cfwrtunlies oxist to I￿￿e99e lh8 capital value
ofth? illvestm8nt
Rernuneratlon Commktt••
Thè prinop81 fvnth.on ol Ihe Remunwabon Committee is to reCOmmer￿ to the G**raf Meetiro of TnBtses any
chaTrJes to Staff salar￿5 or terms aThJ 0)ndIt￿nS fv consi(1gt apwpriate for ts folbw"r*J yèar. The crynmitt88
consists ol four tnjstses {see p8ge 11 atNJ nomialty meets On￿ 8 yèar. In v*w ofthe dose vnrkn"rvJ ￿latiOnshIp. Ihe
mmitt8e may invito NewconRn Collett FrAJrIJatic￿ to nominate rewesentXti4es to Trjin them for their rneetiro, Mr Tim
McNally, the Chairof th& FouvJats"(m. ￿ Mr wr￿1￿￿￿, C￿r of1￿ FcurtrJatbJn. 8tt8ThJ&J the ry*?ting in
January 2023.
RemU￿ratiOn Polcy
JstèÈs arè gratèfijl forthe c(Tnn*trrwt ￿th￿￿$rn ofthe Charty's slaff. The tru%tees take trp vpw that Tt is
essents.al to attrad and rgtain 5tsff wth the appropriate 5kn.lb arKJ capabihbes and ward thÈm faity fcf delbvering the
Chanty's important wcxk. In order to do this the Chanty revws its salaits on a regular b￿$ and thi5 is done through
Ihe Rernuntsration Ccrnrnrtke. At ts annual meeknrvJ the commrtlee rec£Nès a rèp)rt from the Clerk on siaff issues
and ￿rfO￿13nce, aThJ then c£￿S￿r￿ sect¢< rAtNJna pay rates and arbj K￿lS of inflabon, ￿[0￿*
wepariThJ its rewrnmelldab"c*)s to the trL6tees
The Grants cortststs offr￿rt￿Sl￿ aNlwJh n)è81irvJs ar8 0￿ to all tr￿￿1¢$$. Tr cclnmitteg is t*ed
wth reviewing churth re¥tOrats"C￿ and SLPPOrt Ofparx￿age grant aFplitsb"ons and pr￿j￿i￿4 8 s￿L£t clwlicabc
to into the second stage of the artytaty)n pr￿*s$.
Inve•tsi•nt CommlQlo•
Thè Investment CcMnrnrftee s>ntsts 0ffourtrusle￿ 115 rote Ys one of stral•gKthrectM aj￿ ¢)ver5iJht ol tre
organi5ation's Invesbment assets. exd￿1irrfJ prtywrty. It estab&shiNJ a dgtai18d invesknent kKJIry.
Chrlgt¢hur¢h Ctynmlti••
The Chrtstchwch Ccffjmrttee ¢xns¢ts ofthre8lntst8es. The c(Mnrnit￿g o*rseÈs the charity's intwac*ion ¥￿th
Christchurch, Ind￿￿1¥j rethrt cunMUn￿fjon 7*lth s￿￿Tr￿lk Dic¢ese. but <1glers to Propety Ccmmittaè on
buikying mattats.
Manag•rn•nt
Thg day-t￿aY rnanagernent ofthè 8ffth.rs ofthe Charity is delegated lo thè Cl** arwj ts sUr￿ly. Thè trustees
belEve that the cperation of a Charrty 8ss8ts ir￿orn of this scale requires the managern￿t of prOf￿￿On91
trained stsff with its n&￿Ssary costs. TW are lrnm8￿ty grateful to both the Clerk &Jrneyorfor thÈir
conts.nued dèdtstion to tha w￿k ofthe Charity a￿1 to the Executive Officer for the aNe a551stan￿ she provides. The
continual thaThJes in legisLthn and regulatKw pl￿ a heavy burden gn tt* Charty. trust8ès thank all ihe staff
for their anthusiasm JKI CKJmmitrnent in (￿d￿n9 ¥nlh the affwrs of tIE Charity tr￿tee5 $0 effiuerfy.

Marshall's Charity
Tmsreès Report for 2022
Gov•mane•
As with the corporate eharty seth has rnctYJn*e¢J that 9￿￿1 go¥￿￿n￿ and tranSp8￿nCY are key
responsibilitss in their r8labc4￿hlp wth the communrty tsy seTrB. Marshall's (X)anty se&ks to ensure Ihat it m80ts
the hwJheststsndarts i) ¥eas ¢￿￿lIent￿1th thtr soe of ts LW8ts?ns aTrJ ILnds.
Deiaikd terns of rele￿￿ are in pl￿8 for the seven cmitlees retsrr&J to atth&. Th truskn rety greatty on the
carefvl and thoughtful wor* urNJertaken by Ihese commrttees, wtlch allcp*s the Ger￿1 Meetings to deal more
effec11￿ty ￿t￿ thè many isgjas wh￿h are ts tswrn. Thè Chanty has rèviawad its Opèrat￿ ￿ainSt thè Chgrity
Govemance Code. autht K￿MIttee ￿rrEd ¢yrt this rpvEw gffv requirements ofthe and conduded Ihat
Marshall's follows the seven princples. Th8 trustses ￿r8ed a￿j11 commth8 that C¢x$8 provides usefvl
gu*JaKe, butthat &JcV￿n ofthe Cc¥le wouhj resLIt w) dtsm)O￿nate effort tsminimal 98in.
In order lo cc￿￿￿1¢aIe the V4rJrk ofthe Charity to bcth its tenefi(aaries and the wder c(¥nmunty, Charity has a
wetkAite www.marshalls.o
.uk is rngularty Wl8d. Ths indud8s a t￿tst￿. •xtran8t whth provhles ac￿$ to
minutes oftrustees, rneet.ngs an¢Y otr*r c4)nfKlgnlia in10m￿tion ￿"n9 tr) managtrnw* ofthe Charity. The
extranet ts pa&8word protected and is onty acrA5sitrle to tr* trustges #nd the Stsff ¢fthe Charity Trustees h
r8pDrtwJ tsl find this a vgry usgful resource.
Sl•tem•nt of Trust•￿. R￿P￿IbIli118s
The trust￿ arè r8sp)n*bla forprèwiThJ the TrusteÈs' Annuaf RÈF#Xt thè finartid ststèmènts in xcordanc•
with applicaWe law ￿ Untyj Kirybm Acc{￿￿1r￿j Star¥Jard5 {Unted Generaly Ac(Wed Awwnthng
Practicel.
Chanty law requwes the Tntslees to prepare fin*YAal $takn￿ts fore￿* financi￿ y￿. [￿￿erthat Lqwthe Trustees
havg 81ethd to prepare the financ￿1 sta*ments in accordarKe wih aFplrable and Unrted Kingdom Accounting
Standards lun￿ King¢￿ Gerernlty Acceptej Acc0th)b.￿J Pracfjcel. I￿lUth￿J F•Tra￿al Reporting Standard 102
'The Fin8nual Repth'ThJ StaThJard applic*JWa in the UK aml Repu￿￿ of I￿￿J, an¢J the C1)ar￿.es SORP 2019 IFRS
1021. Under chanty l&¥ thè Trustees mu* not arvove firtancial statemgnts unlass they are satisfied Ihat they giv
a true and fair vth of ts ststo of 8fv.rs Chwiy 8ThJ ofthe Statwnwtt of FinaThial ortlw Ch￿ty for
that peric#J.
• select suitth ￿¢[￿JnI1r￿ and t1￿ trw ccfis1st￿ty".
• observe the mebkn)Js and p¥mc4p￿S in thè Chantw SORP IFRS 1021.,
• make I￿Jgements ar¥J &sts"mat•s that ar? rèasonab￿ af¥J pnKlent
• State whether aFf4icable accounlry star%Jard5 h￿e teen fo11ry￿ SL*1￿110 arry mat￿181 ￿e￿8￿re6 disdosed
and explai￿ in ￿ finawat statements.,
• ￿epa￿ the ￿￿n¢la1 ststements ba* in8pwc*)n* lo presume thatthe
charty wll conts"n￿ in OFefdtbJn.
Th• are for keepiThJ w(vacc￿￿tirg records thal thsdose with reosonabb acojrary at any ti
the financial pc6ition olthe charity aThJ to ensure thaÉ the financ4al statements o)nWy with the char￿e5
Act, the Charities (Accounts *d Rep￿ts} ReguL4tbkn 2C#J8 aNI the provisi￿$ ofthe trust deed. T￿Y are a￿0
responsibl¢ for safeguariling Ihe assets ofts th•rity ￿ hwce fortsknrrfJ reasorwbb St•F￿ f¢ythe p￿VentiOn aThJ
detxbon offrwd irregukqrittes.
The trustees a￿ responsble foc the Maintenan￿ aThY integrty ofthe tharity and fi￿nCIal informaticn induded on
chantys w•bsrta. in tl* Unrted g¢wemiNJ pryrab.on and dtssèminthn ol financAal
state￿￿nts may frc¥)) Èn ¢knr
Sig￿￿ on behall ofthe TNslee5 ￿ 13th 2023
A Guthriè
L Bosm
Chainn

Marshall's Charity
,7iid Chflrily B￿ance Shep.Is a131st DecemDer20L2
Group
Charity
2022
2021
FIXEO ASSETS
Tanglble Flxed A8•tts
5.616
7eO.815
805.616
7&161
Inve¥trn*nt¥. G•n•rnl purpoge8
Frneholds
sewyl￿e$
Styares tin subsidiary
12.620.STI 13.YJg,741 12.476.577
8.332.947
9,313.rf
8.331947
120.1￿XI
13,535.
9.313,
120.
486.938 192.033 486.938
492.03
1)46 078 24Qn.1I13 21021078 24,002.
CuYrnntA*s•ts
Debt￿5 arKlpr9￿yMwTrts
Lg8ns to chu￿e$
Cash at bank andin hand
126.399
150.307
1J1688
154.
1.140.375
1.266.714
1.LW.382
1.158,669
1.131,494
1.261182
999.A7
1.154.097
Cv¢dltorn: Amounts f•lllng
due wlthln ono y••r
Net Curr•nt A*s•t•
815,(B9
815,099
8S3,1
NET M8Ers
24¥1N4 21469,161 24.352.9P2
FUNDS
Uthr•stslcted fvnd*
1.254.W 1.099.534 1.254.089 1.099.534
Ro¥trict•d fvnds
OV)er Restricted Fund
10
736.938
742.033
736.936
742.
Endry•m￿tFUnd
10
20.￿.726 22.$40.017 20.478.134
22.511.42
TOTAL FUNDS
rowj by Twstses aThJ autttrywj kn Is￿ on 13 Juty 2023 aThJ sKJn&J on twt*halP.
Anto
Guth￿, Chairman
Les
Bosman, Trustee
The notes on pages 13 to 27 form ofttr*se a￿OUnts.

Marshall's Charity
Consolidared St8iem&nl of FinancJalActivitss for the yetir 31s1 De￿rnbe[ 2022
10
Total
2021
Funds
Funds
Funds
2022
INCOME AND ENDOVIMENTS
In￿￿nI Kroy
14
1,292.589
1.292.589 1,229.4aB
Othertr￿￿v aL*￿S
Total I￿Om0
15
41,LIYJ
1,270M
1.336.589
EXPEHDMJRE
Cost of ralJln9 funds
P￿￿rtY & ￿￿$t￿￿te(St8
Othercosi8
76
296,Ird5
290.Ii)I
43Jlt
339.613
333m
Charitable a¢VvNle•
SUK￿ort ofPwsonages gtants
RepaKof Chuthes grants
Clvisl ChurGh. SothhwaJk
Mathalfs £d￿lionaI Fourtl&lA
SlamlL¥tl L8clwgthftp
18
.442
344.710
364,442
344,710
421.620
15s.r
m2
8.274
38.782
38,782
8,858
92S.
Totsi expendtture
1.101.334
1.111,334 1269390
N•t Incomè before gal￿ •nd l¢)•ws
on In¥•#trnent
15fj25S
156.256
11.11J
Nat r•eognls¢d golnsl(loMesl on ￿￿stments
Property. unwlised
unth?s- rtr8lised
Secunties. Ltnreal
N•t incomellexpendlturel alter gAln*
and lomes on In**lJn*
I1.053.￿) 11.05&052)
(393,7111
1393,7111
15.795
586.528
592.323
15&￿ 16,795> {1033.2111 11W3.8311
1,91U12
Transfers beM•on funds
Ngt movement kn funds
7C(I
15V06 (lo￿291) (1m8311
1.91U12
Tolal brought lorward
1.099.534 742033 22.540.017 24.381,584 22.487,
Totsl funds canied forward
1364IM n6J38 2OAO6 728
497.753
All the above amourts relate to contsnumg ac4i¥ths and all recegnisej gains bsses.
The notes on pag8$ 13 to 27 foftn part Of1￿ acrnunts.

Marshall's Charity
11
Ch,?rilJ' Sic?ieineiil of Fii?ancial Acftwrf￿S ftjr the ve.7rended 31st December 2022
Unr•stri¢tsd Restricted Endowment
Fund&
Funds
Fund¥
Total
2022
Totsl
2021
INCOME AND ENDO4ltaEI￿s
Investment MJc¢y
1291589
1,292,589
otherlrnliYU admt
Total InGom•
41,
1.338.S89
EXPENDITURE
Cost of raising funds
Property 8 i￿￿$t￿￿nI costs
0thtsrL￿
18
296,Q25
296,025
339,613
339.613
Charltsble acli¥ibeB
SupwtofPamn8ges grants
R•paKofChuth granls
ChiFsI Ghuth, Southwwk
264,442
344,710
364,442
344.710
84,929
36,782
8,858
421.
155.
Stamtsrcl Lecturn&)ii)
841.721
925.711,
Totsl *x￿nd5tUY*
1.181.334
1.181334
Ilet Ineorno before g4ln• and
on Inve8tftwnt
156316
156355
11.
14et re¢ogThSsed g•ln8l1l￿sO￿)
Pmperty. ￿n￿a￿Sed
Securib88. rna1￿8d
securi1￿. unreal￿￿
Ilet Incorn•ll•xpendiiurel after g•lns
•nd lo8￿ on in¥•slm*nt
{1.053.0521 11.053,052}
1393,7111
1393,7111
5.795)
1588,528
592,323
1&796) (10312911 11,8818311
155306
1,•13.•1
7CQ
14et rnobvment In lund8
154008 1409S> 110342911 11,8818311
RewnuheIic￿ of thnds..
Total hjnds bro￿h1 foThArd
1.C99.534 741033 22.511.425 24,351992 22.439,1
Totsl lunds ￿rried fonv*rd
1.2WW9 7¥•38 20Arn134 a41•.111
I tho retste to acb¥it*s I￿4￿je all f¢C<*Jnk%ed gains aThY k)8￿.
The notss on p¥J8s 13 to 27 form ol tlwe a(y)wnts.

Marshall's Charity
Coiisolidalciy Sialement of Cash Flows for the ye& endw 31st Decenpber 2022
12
2022
2021
27
(1,150.8WJ (1.21a i
Cash tlows Irom Inv•sdng4¢tlvll•S.'
DiviC￿n￿5, ffom investrw
Additions to tangible fixedassets
F88 d8duct8d inveStn￿ts
Purchase offfnvestments
Nrtcash pmvldedby (usedinj investsn9 a¢tivitses
1.292,589
(9,515)
419
[149,3
1.282, 793
1,079.4a3
C￿nI• in ea•h #nd c•8h •qufv*l•nts in tho
reportlng perlod
131,993
(138.
C••h and ca•h •9￿¥•••nts at th• b•glnnlng ofth?
portlng F*rfod
1.008.382
1,147,1
Cash and rA•h •qulval•nl• atth• end 011h•
r•prffllng poriod
1.140J75
i.OC4
The notes on pag8s 13 to 27 fom part of

Marshall's Charity
Notes lo the Accouipls forthe yearei?ded 31st De￿Mber2o22
13
Accounting Poli¢l•s
•C¢4yJnls IfmarKi818tstrntsl Lwn w¥lerts ¢￿t w*h items
recognised at cost or tran5xlw)n YalL* Otherw￿ stst￿ in tr* I￿￿t note(sl lo these W￿lnts.
The financial statenwnts been wepar*S in acte￿ar￿￿1fv thè Stat￿nellt ol RecomrnThJèY Prackn..
ounting Rewb"r#J by Chanbos wèpariry th•"r acc1￿[￿ ￿ a(rrrfOan¢• wrth ts Fmancial Rwthg
Starbjard ap￿￿ab￿ in fv UK aThJ cl IrelaTrJ (FRS102), s•ctyvJ affeLt￿ 1 January 2019
anLI Charths A¢t 2011.
lunction￿ turwy ofts SclkxA k% o)n5th￿l lo t•¢•w thal ￿ the ¢JJ￿¢Y al ts kyimary
)rkynlc en*ironment in whith tho Charly Lyr*s.
The c*awty ccwtiw • Put1￿ t•)afft•)tty as d￿ned by FRS102.
Th& financial St*￿￿ntS habe teen wepaed to gfft a faiff ha￿ ¢Jepartett from the
Ch￿rt￿S {Ac￿nts and Rep)rtsi R￿J￿8￿0Th$ 2tA)8 only tothe extert to womde a Jwue and
This d8partur• has invofvwl Ihe CharilB5 SORP IFRS 1021 [Al￿￿8￿ In Octcber 2019 r8lher than th8
P&c•unltiYJ and ReP￿ts.￿j by Charit*5.' St*enwt of Re¢￿￿er￿￿ Ptxtrce from 1 Npril 2005 which
to mitrgat8 trthe ￿ks. ￿ets ￿ been weparEd ￿ t￿• miTrJ. Con5hl•ring all re*vant mattars,
th6 trustee¥ r￿n$#￿eT it 8PWQWats fty th¥ co1￿ basis lo be aepbj accounts.
re￿Ned and the zmtyJnt rf In¢<rn m￿Nable can te m￿L￿ed rtl•. Refttsl 18 ctsyiitrj
Trade otherdebtors are re(xY￿*1 att￿ seil*mertamount ¢kn afw arry s*5CLwnt offorgJ.
Cash at ba￿ and in h￿d 51Krt-term
Liablths *e recognised a5 as SO￿ as thwe k8 8 I￿ or CCnS¢ructi¥t (￿.￿ja￿an wnrnrtting tIN¥
Charity lo that twdthr•. rt is k¥cOab￿ that wll te arrKsunl of the ct•lpaab"on
b• measured reliatAy. Repairs to worety a￿ f*ar9ed to Iha Slaterneftt DIFinaKpl Activities
when in(xJrred. are trea￿ as eX￿thIre when by tr* Tnjstees and gJmmunic8t•d to
the befiefityw'es. nc4 whw the 9ran¢s are pa*J. RenlaL% I￿¢S are chargwj kj the Staknnt of
FInar￿￿1 Actimtss as twfal du?.
Staff perts￿n are maje ￿d8[a [￿b￿bon5 scheme, aThJ furés are
Inde￿dent insuTrDce crynpanw. ￿ w￿"ty eyi5ts uTrJ8rthè sclwé &xwt amC￿nI ofthe
C￿lI1b￿b.0￿$ thor9￿ in Ihe year.
l olhor C￿rhea1$ lextept CLsts. to (knr•rtsl. habt t1￿ been
all¢xxted bthews the cn thè basis tot* slaff ccsts.
l assgts co8*rwJ than £1.￿￿ ¥olwJ at h￿tc￿lc8l Equymwt offKe kni￿[?
is d8prEciated so as 10 wrfte dfover thwr 8xFeded ustrfvl li*$ at o r* of 10% Fer annum on a stravJM line
basi$. ox￿1 fcrf the sysiem whth is dep￿401ed $0 a5 towth it off ow Ihree years. Tr trusio8S
r the Val￿ of Marshall House io ￿ ￿￿3￿rth￿ rfs carryiry Va￿ n the acceAJnts res￿￿"n9 in a nil
I serwrities1ger*ral tre slthm at vatL* wcwbBS a￿ valwd at fair v￿. AJI gan5
kEses 8¥e l*en to I￿ StsIeTr￿¢ of Financial AL*wbè5 as art*. Realsod w8 b55e5 0
ir wrch888 vabje rf acqu¥gJ to the r￿t day of the fjnarKyal J*ar. Unwliw gains aTra l)5s•s *e
cdculated as be￿8fi Ih8 fwrvaluD at the year end arbj Ydlue. Realts*l ar#1
unrnai8ed ￿¥8st[￿nE9￿￿s ar￿ h)sses a￿ cwL¥r*d ￿ the Sl2lJTrth ol Fin*￿￿

Marshall's Charlty
Notes to Ihe Accoiinis forlhe year effFded 31st December 2022 IC0FjI￿vedl
14
Accountlng Polld•s {eontinued)
Fwd5 r•quirvd byth• CharityCOnms￿lS IANsm￿"1Yj orothow caprtal
in the chathes 0￿￿>al Inve5tswt Fund ICOIFI the Equit￿5 In¥8Stmnt Fund forChar**s,
The managers do Mt p￿)ItSh detsib of uicome a¢rJJmulations thpRfore securibes
shcw4n Ot Ma￿*t value aTrJ ihe fijrbts are aliu*d arvropraety.
Th• Ch41ty hgs 8 5iTrJle WMaTr￿t endo4TrnL The trus* tho w**r5 to in¥esttho capital I￿ POTPObJty
and apptylhe irKLThto the general ￿￿0$¢$ ofthe Charity. mam•tylo provbje thurth and parxw grants.
Futhr deiaib ¢fthe efid￿￿, reslriL*ed ar•J Unrestric￿ a￿ ift nfAe il.
In the opF4Katson ofthe p)IKxs. trustees are ￿q￿1r•￿ to m*j¥J￿1)N*Tr( estknths. and assumptyons
abovt the ¢arrwr¥J value of a55ets and luqblths that are r*Jt aFv¥errtl￿ffl thr$our¢4$. The 8Stimato$
and undellwr#J 8syJmptior* a￿ based on htsti)r￿ eyper*nce and otherfadors thatam conspjered lo be relevant
The•stimal*s and ufftder￿ assumpknsar8 on an orrfJowMJ bath. Re¥igwsio accounbng estlmates
are ￿￿)￿iSed in the [£￿d n whith the •stimate r6 re￿ed rf tho affeos ontythat wod. or in Ihe perv)d
of the revision luknre F¢Th)ds rftt* revision ¢JJrrert8nd fv￿re peri>J8.
finanoal $t•¢ements and e5timth5 rBk of makrial in ￿ n￿1 yoar t¢ b•
pktion to the thprelaation rat88 of lang￿1& f￿•￿ assets and ¥alu*w)n ofpffjFert*s are0￿$$e4 above.
In th8 VMV oflhe ¢ruste8s, no (X￿￿mI￿) the frjlurtw e¥bm#lpJn uTr2rt¥inty8ffecbng 85sets or
liabiltss at Ihe balan￿ sheeidate a￿ likety to ￿ul in a ￿pJ$b￿nI tothe¥ ¢arrwrs amwnis in thè nèxt
Basi¢finan¢ial instrumefits are inibajty recogn￿￿ at trartsad*Jn ¥ab￿ and gJbsaquently measured at amorti8ed
yth the exc*pb"on olinvesknents wh￿h afy l&J at faif value. Fina￿JaI assets held amorb8ed cost oJrty*e cash
at bank and in hand. tcgelhar trade and otherdeb￿. A ¥¢ift pro¥wn is maye lor debts for w
reo)verabilly in doubt. Cash at bank and n hand ts defvbad as all cash hgld in Instant alxxss bank oCCOUrts and
Used as wortong wrtal. at awbsod oxt all credlors W sodal $8oJiity aThJ
othei taxes and pro¥￿trans.

Marshall's Charlty
15
Note¢ lo tlie Accoiirts lor Ihe year8n￿d 31st C*cember2022
ENDOWMENT FUNDS
WBhal Hous• Fumrtur• & Cryt•r
& Equiwiwl Equyi*nt
Totsi
Co•t OT valuation
At 1st January 2022
Ath￿on$ at Cost
Transfer to ins*sfftnl propertss
Al31$t De¢wnter 2022
758.799
S.LMO
{1&3,839
52,593
831.952
9,515
163,
4.475
25.035
$2.S93
Depre¢•tiiin
Al 1st Jan￿ry 2022
Charge lorthe year
A131$t Dw*mb8r 2022
18.744
675
19,419
71,337
875
N•¢ eook Valu•
Al 3151 Decem￿1 2022
Al 31st 0￿*￿t￿r 2021
5.611
605MIO
ChrBtchurth, ￿thwark bJrft and is mavtsned by the Charity in a¢(udan￿ thè al
John Marshall. The Trusiees fully maintsin the thurch on ihe b8sis irwdx)ns,
and do not consder that any u8eful pU￿oSe wjufvj i* served by v4uing the land aThY
bU￿￿1n9$. The Tru81ees have th8refoTB th(ided to i¥ry the Church at nil valualw.
Part of the firsl and second Ihxx5 of Matshall H￿se. SouttThvark aw th• offw of the Charity.
Th￿ prcpety is I[￿uded in ts acto￿ts at a value of£600.CW.
I fL¥&J a5s¢ts affj us&J lof wrF#XaS.
Fr•ohold$- Group and Charity
ENt)OWllE141 FUNDS
Charity
Group
2022
20
2022
20X
Op8ning balanc• at 1slJanuary Z022
Tren$f&rfrdm assets
R8￿1￿•ti￿ &I￿arend
13.509.790 12.705.W" I3,￿.Th)
163,839
163,839
(1.1)53.0521
.830 {1.053.0521
12,581.
Cbs￿9 bakrKe at 31st Decwbtr 2tr22
11620An 11
12A70Jn
The rA>siof Ihe ChaFWs freelK*hJ woperfw at 31sl D8￿rn￿er 2022 was £4.915,753 (2021- £4,T51.914).
The cosi ofthe Grovp freeho￿ prt¥)ert*s at 31st t￿[￿ter 2022 was £5.031.1611202f- £4,867,322).
The PrO￿rty portfc*s was val￿1 by Chanty$ Sur%*￿. MrJ Keegan,
MCIAT C.BUILO.E MCA8E. The valuab)n $ on ￿ bass off8r Val￿ usiThJ th• r•d bcd( vabjation.
freBW p¥(wtes are siWaW in Urxw lfjnydom.

Marshall's Charity
Noles lo the Accounls for the year ended 31st 0￿mber 2022 I¢￿}111?1*dJ
16
Secufilies. Group Ind Charlty
Tolal
Tolal
2021
Al&*et Val￿ at 1st Jww8ry tr22
9,313.ei)5 8.284,￿2
33,254
1419)
Sele ofuNestments
{393.7111
AleIg&n￿10Ssj on revalu8kns dtKitW￿#r
{$86.$281 1,015.
Mthet valu8 at 31st D￿rnt￿r 2022
8,332,947 •J13A
Hi8tc¥Thlcost8t 31stLknber2022
7.510.
Inv•stm•nts
2022
2021
An1￿1$ af •Kurti
and %ecurllle¥ ￿n￿e
UK Investsnenls
24V73 241J69 8.217P98 I313MQS
114.951
248 373 241.359 8 33
947 •.313.
rot
Investment In T￿b8Id1ary company- Ch*ity
In 2Cth. the Chanty fcffned Marshavs IN*At RN*r Hc¥Jsel Limthl, a c￿npanY r89istar8d in
and Wales. The Chanty the entire share wtal of£120,IX(l. The
)mwy 8ts4uirèd a frBehobJ ground rent in &IIDrd. art ¢ong4b*bJ on ¥ line by
lir￿ basis in the Statement ol Actsmtss.
The resutts of SLth¥Jgry for the year endeA131 D&2mbef 2022 afe..
ENDOWMENT FUNDS
2022
20
Ineom•
Incoming resources andnolsuiplus for r•nlalirKoff
L&s& Pay￿￿110 bo madé ￿)d8r GitAklÉo Matshals Gfyarty
4.289
4.289
148,592
148.f
F￿d$
Share Cy
R8valua&on
120.1
28,W2
120AXI
148.$92
148A92

Marshall's Charity
Notes lo the AcGoui7ts for Ihe year ￿]ded 31st December 2022 (Gonlinuedl
17
6. Inv•stm•nts- Sp•clal Purposes - Group & Charlty
RESTRICTED FUNDS
2022
2021
Ch8f7tias Offjual In￿SID￿nI Fund. Accumulalnn sha￿8
Equithgs Inyesimenl Ftmd forChaffts4 ACCun￿l81￿ shèms
436.933
437.27
2022
2021
Mov8rrthtduring the yaar
Marfret value 8t 1 January 2022
Acqwsifrons atcost
Tran3feriO unrnstrlctsd
Ngtg*fftqk)ss) on ￿valUall￿ dtry the y
M4rkotwalug at31 De￿)ber2022
2,033
441,24
{33.2
15.795
2022
2021
Investments ¥ew959nt th8 fol￿￿￿ fiJThJs'.
Funds tr accumulation 01￿come tscapitalw￿s
15Q218
722
154.8
Fdkn¥ing th8 dvectK)n of Chawity Commisson, the C￿rity e**i5hed a swiknng fvnd in
1983. wa5 for accummulab.on of in￿rne tty rpplw èarb&r caprtal ext*nditure. Th8
Ordef vill expire in 2033 ¥thèn thè v￿u￿ of the Irsvestr￿ holth.ng at that date will be transferr&J
to IFweslments. Ganwal Purposes.
Dèbtoys and prepayii￿ts- Group & Charlty
UNRESTRICTEQ FUNDS
Group
Ch#Aty
2022
2021
2022
2021
Rents due from tenants 8nd8gents
GiftA￿d￿& from subs￿l8ry
othèr debtors
119.473 '1, '149.*1
119,473
4,289
6,926
130.688
149.221
Loans to Churches- Group & c￿lIty
UNRESTRICTE£I FUNDS
2022
2021
Arnounts set askle at the baL8￿e ¥l*et dato to
rnak• loans to chUrc￿S at an interest wats of3%
Offers of loan5 rnajè but not l*•n up al 31 t*cemtrnr 21P2
Loans outstandNng èt 1st Januwy 2022
Loans advanced d(mng y98r
R8payments receNed during the ye
Loans outstsnding at 31st De￿rtEr 2022
Inlergst r•caib*d in ts year

Marshall's Charlty
Nores lo the Accoui?Is lor the y8are17ded 31sl L)ecember2022 Icoi?thiue(JJ
18
9. Credho
UNRESTRICTED FUNDS
Group
Charsty
2022
20
2022
2021
Grnnts approv8dbut
531.791
584,891
531,791
hekl forfijtuffj repaKs
Rent do￿￿"ts h¢Idrtrtgn￿ts (see bel(n¥)
Value add8d tax payab18
otherGTrditors and ￿ualS
.4¥
103,7
eo.625
10B,299
36,407
77.977
1(￿.299
36.407
77,977
103,7
36.SN
81Sm9 .
Rènt d*poJits held for teTr•nl•
Thesé rèwssent the liaL￿ty fLY rBnt deFwits oftenants fubjre pe￿1$. The cornpertsatirvj
deposits, in the narne ol the Chanty, arn Ind￿ in Cash at and in har￿.
10. R•strict•d Funds- Group
2022
B•lane• Transfern Oth•r
1.122
Galns and
Balanc•
31.12.22
Endowment Fund
a5411.017
{2.0332911 20.606.721
Funds lOrAc￿m￿lafy0n of
InGI)np for ca￿ts1 PU￿0888
Developm￿¢ Fund
ChrislGlJurch EKtraorthnary
RwrrFtfftd
154,632
{5.116)
150,216
250.(KK)
337.401
1679)
Total Lxher Restrlcled Funds
741033
S.795
736.938
Totsl Restrlcied FundB
1039,080
2021
B•l•nc•
31.12.21
1.121
Galns and
Losses
Endowm•nt Fund
20.720.n8
1.819m 22W.IY17
Funds forAccuffiUlat￿ of
Incomg forcw" al Purposes
Developn￿nIFu￿d
Christhw¢h Ex¢rf¥thn4ry
RepairFund
T29.￿7
250,1)XI
700
24.025
154.632
250.CQ)
311.340
59,315
337,401
Total Other Restricted Funds
691.247
132.054
742033
Tolal Restrfcted Fund8
21A11.
1,901619 23.282.Ofj0

Marshall's Charity
Notes lo the Accou171s lor Ihe yearei)ded 31st De￿mber 2022 {COI?tiniiedJ
19
10 lconllnuedl Re*rf¢ted Funds- Charlty
2022
Ball￿e
31.1222
1.122
G•lng •nd
Losse¥
EThdty￿errt Fund
11
03
Funds lorALrumulatth of
Ift￿￿me lor Camal Pu￿)Se8
Development Fund
Christ¢huffh E¥trac¥dinary
Rep8irFtllx
154,632
7C
(5,116)
150.218
2S).C
337.401
1679}
336.722
Total Other RostriGtsd Funds
742.033
7J6.931
Total Rostricted Fund8
16.OTa
2021
Balanc•
1.121
BaL•nce
31.1221
Galns and
Endowm•nl Fund
2i691146
1.819.279 21811.425
F(mds f0rA¢Gvm￿at1On ol
In¢om8 lor Cwtal
Developmgnt Fund
129.￿7
7LKI
24,025
154.632
250.CKII
RopwFund
311,340
133.254)
59.315
337.401
Total Olhef RestrfGt•d Funds
691.247
31564
03.340
742,03)
Total Restricted Fund8
819 23
¢)th$r R¢stncted Funds ¥wre set up fo1￿7r￿ Ch*ity c{￿mIS￿on for Iha lolkthiThJ purr*)￿..
al Fund$ for Ac¢umuladon of In¢orn• lorcapllal Pury>o
Undef the terns ol a Ch8rity cC¥nmiss￿ Order inc(xne is us&J to recoup Capilal moTh•s eynded on
freehold prLwrty improVwr￿nls armj a interest in an investrnent p•.
bl D•v•lowent Fund
An annual transler from InC￿e Of£25.(￿ is alSo*ed, and the fvrtd may ba 4)p￿d for th?
purchase of18nd orfv and improvwent oflhè ￿0￿￿ty ofts Chanty.
¢1 Chri•tchurch Extra0￿1nary Repalr Fund
Transf•ts rnay te m•Je to this from irbxffje aTrJ fv fwyj may be used forthg rw)air.
Impr0￿Ment or rtbuihlir4J ofChristthvr¢h. South￿.

Marshall's Charity
Notes to the Accoiints for the yeer ended 31$1 December 2022 (conlinuedl
20
11. Analysls of Net As8•ts between Fund$- Group
2022
Fixed
M8t Currort
(UaNISUOBI
Endowed Funds
21,3C&.140
21.309.140
2.414
{802A14)
20.5Cfj.728
20.606.726
Rostrlcted Funds
Dèv&lopm&ntFtmd
Funds forAGctttnu18tion of
Income for Caprfal Puws
Christ Chtsrc* E¥tr80rth'nary
Rep￿rFIl￿d
I￿.216
150.216
336,722
486.9
Unfestrkted Fund8
Unallocated Incomè
M8tsh8lls Charity
1.254.089
1.254,Q89
140
753
2021
Endowed Funds
23,3C4),7&%
23,300,756
60,739
1760,7391
22,540,017
22.S40,017
Restrlcled Funds
D8vèlopmènt Fund
Funds lorAc¢umulation ol
250.fMXJ
250.0
154,632
154.632
Cknsl chu￿ E¥ttsorthnary
RgpwFund
337,401
491033
337,401
742.IM3
Unr•strict•d Funds
Unallocatod lrtome
ma￿h811'S Chanty
1,rA6,280
1.099,534
4W403J *JS,541

arshall's Charity
Noles lo the Ac¢oiiiTls for rhe year eilded 31st DeceffliEr 2022 (contiiiuedl
21
11 Icontinuedl Anafysis of Not Assets b8iween Funds. Charlty
2022
Il•tCurr
Tolal
ILlablMUgsl
Endowed Funds
21.285,140
21315,140
807,Wfi}
I￿7,0￿61
20.478,134
20J78.134
Restrictfjd Funds
DevelopmentFund
Funds forAccumulation ol
Income forcw" al
Clvist Church E¥l￿￿dinary
R8pairFund
250.IXKI
19).216
1X¥.216
7¥938
Unrestrlct•d Funds
Unalloeat8dlncome
Marshalls CIMrity
1,254,089
1,254.089
21A36.140
447,lJ83
.161
2021
G4rLPurpos•s (Llabllill•BI
Endowod Funds
23276,756
23.278.766
85.331
65.331)
22,511,425
22.511A25
Resthcted Funds
Dev81opm8nt Fund
Funds forAGGumulalxNr of
Income for C8pitalPutposes
Christ Church Extraordinary
Rep8*FuTh
154.632
154.632
337.401
491033
337.401
742.033
Unrestricted Funds
Unallocated
IA8rsh8lls Charity
33.254
1.Cth280
1,099,534
12. Audftorfs remun•rallon
The auditorfs ren￿n￿￿1￿ ￿nStitUted an 8￿lit f¢¢ ot£14,(IXJ12021- £10,c(rJ).

Marshall's Charity
Noles lo the Acco(Int• forthe year ended 31st DecenDber 2022 (coi?lffnuedl
22
13. Analysls of staff costs and remun•rntion of kèy managemont personn
2022
20
Sa18ries andassessable betr7efits
Sc¢ial s8curitywsts
Otherpension conts7bubons
158,349
14,591
174.
12.
Av•ragfr number of staff {Includlng fuU41me and part41me staffj
Surveyc
CXher8dmiinslt*tive stsff
ern0￿Ments ofone Me￿)erof staff, are *itrin tho ran￿ of£e0,oC￿ to £89,W)12021 rw) one).
The am0￿M¢fits ofty)o mwnbgr of 8taff, are within Ihg rarge of£70,OLKI to £79.99312021 ￿ 0￿1.
Thè average nurter crfryloyees duriThJ the yew was 312021 . 3}. AJI employee time
Invol¥e$ sukwrtto tre **trnan￿ ofthe diarty, in*sbnent M￿age￿￿Tht Of $UPP¢)rt
The Ch￿lty c(￿S￿lerS its key Manag￿lert Fetsonnd comwtse trusteès, the Ch*f Extrcuti￿ tr
Sumyor. The iotsl empwnent ber*ffts indL*JirvJ empbyer pens*)n cijntritrmjticfis ofthe key
manag•m8nt P8NJnn81 **ra £156,45312021- £170.2481.
No trusloo re¢ths ￿Y rwnurer8lp￿ tt* Charity. nor*Ere any eynses re4mbursed to truste¢s
payment to a third party12021 - none). TnJst8es V￿re Th)t w1w)[￿￿ in any othertr8rtsadJ"on wrth the Charity
or 8ny ￿lat￿j party (2021 . TrTh).
14. Inveslment Incom•
Group
Chaiity
2022
20
1.038.763 9aS.836
248.373
241.359
3,416
1.034.474
248.373
3,416
4.289
1037
UK L)vthnds & int￿estOn secwii
0th8rinter8st
GJftAKtpèymgntfrryn Alwshalls (P41*1) Lntr¥tsd
t%herin¢om8
241.xg
1037
1.291689 1229AU 1392 519
1329A••
In 2022 the iwtr))ent income was all ￿reS￿l6￿ fij￿.
1& Acllvltles for ralslng funds- Grnup
2022
2021
NvKomen COl￿tt FowdalKJn I"NCP}, a chanty kwvidirvJ grants to young reople in Ihe London Borough of
Soutthvark. 15 akn b¥sed in Ihe Offi￿ of Marshaif$ Charity. Al the •*nini51rati￿ gt b)th tharitiÉs
are paid by Marshall's Charty. in return for th.ch NCF pay4 an agre8(l annual C￿¢￿inIstratIon charge.

Marshall's Charity
Noles lo 11)e Accoiiiils forthe yearended 31sl December 2022 (Conti1?t￿dI
23
16. Allo¢ation ol gov•mance and support costs
The breakdown of suppryl costs ar¥1 hrnv thes•w￿ alloL¥bJ l)el%w GTh*m*)c• other
suppJrt costs B shown bo1(w.
2022
supryxt cc6is
TOTAL
Apporknonmeni
Cogttype
Slaff u)sts (rtofe 13)
OlTh¢e costs 8 ovortwds
7.147
202.847
108.401
311.138
209.794 Staff tsi
108 491 Stsff bm•
318285
7.147
C4)Sts TOTAL AWK1￿ment
Cojt typ•
Staff costs (note qj)
OffKe costs & ovtheads
8.841
216.663
101.358
31Q021
223,$04 Staff lllng
101.358 Slaff bnN•
324.
6.841
All staff support costs ha￿ alkxa18d on thè estimal•J basis 0fts￿ s￿nton those categorig8.
All otheroverheads (except audrt msts, have W thar9Èd to ￿￿*Mance} have been aloeated
beb¥een tre calegorie5 on the ba￿S ofthe total staff ￿$ts.
17. Alloc*ion of govwnance and other supp¢xt costs
2022
2021
Investment&prop8tymainlenance {see nofe 18)
Nèwcomen Collett $￿Pl¥tco$ts (s8e notg 18)
SupKth ofParn￿8g8 grants (see note 18)
ResthlKWR ofGhun*6s grnnts (S￿ 78)
M8rsh8Ns EdUCat￿alFoundali0n note 18J
160,986
43.SYi
47,
61,780
2.918
48.477
61.886
31

Marshall's Charlty
24
Noler lo Ihe Accoui?Is for the yearended 31st December 2022 (conts.ni￿y?
18. Expgnditure
20
TOTAL
Cost of r4l•lng funds
160.986
180.986
135.039
296,025
43.588
34613
Directpmpty cests
135.039
135,039
160.
136.039
2M674
St￿pC¥tor Parsonage grants (s88 nots* 23?
Rest￿a￿on of Churches grants (see note 22)
Chlisl Ch4M¢h. Soulhwa
Matshalls Educabonal F(M￿dafr
AA Sainfs Cljurch, &amford
315,
282,824
84.929
48,477 364.442
61.888
344.710
84.929
38.782
7•01D
113,711
863,049
318.285
1.181 334
2021
TOTAL
Cwt of r¥i•ing fvnd¥
Investfftgnt ManagoThntfves
169.144
189.144
120.857
290,Q)1
43.571
333,f12
120.8S7
120.857
169.144
43,571
211715
N0wGon￿D CdlettsUw￿IGOsts (se8 Not8 17)
120167
c￿rItable actlvitie•
Support of Pa￿(VYage grants fs8e nots 23)
R&storèli¢)n of ch￿￿h*sgr8rtts (S￿ not• 22)
Christ Church. Swlhwa
Mètshaifs EducèlionalFcwndats
&amford L6¢tumshp
256,624
359,854
155,728
47.465 JJ4.089
81.7e6
421.620
155.728
36,012
8.274
2.916
8.274
813
11
934A33
324862
9.295

Marshall's Charity
Notes lo the Acooiinls for Ihe year ended 31stDecember2022 [c￿li11ue{1I
25
19. Operatlng Lease Paymonts
Ai 31 DeCern￿r 2022 the Ch￿lty has nCrfbear￿lLgbbe
operab.ng leases as
2022
2021
Plant & Equlpmgnt
Payablè one year
Payable in the So￿k* fillh
N8t débt Mconclllatlon st*ement
2022
C￿h Flow$ 31.12.22
01.01.22
Finance laase liabilit￿S
2021
Cash FlowJ 31.1121
01.01.21
Finance ￿e I'abrfiti8S
20. Opgrating Leas• RK•lpts
At 31 Der£rrthr 2022 th& Charity has norrfan¢*llab
oparating ￿ase I￿￿0 as foltrths".
2022
2021
L•a$e rental Income
R#c&vable year
R8cwvablg An tlre s•cortlto frflh years
Rsc•vablo aftgr 5yga
725.386
1.334.387
281.633
T27.
1,2CS.IJ2
351.*
21. Reconclllalkm of n•t movement in funds lo not from operating actlvltlos
2022
2021
Net InCom￿[eXPendItUrnJ forthe rnpothg pwd(aspw
the stst•ment of financlal aCtfvI￿Os)
Oepreciafton t*8iyes
L￿e￿[G￿nS) ty) ￿vestMents
Dwidends. InteTrst8ndTrnls fiDm ins&nents
DeCre8sel(In￿aSe) in
(Dacrease) in credito
N•tC8sh provld•dby(us•dinJ op*ating •cllvft
{1.883.831)
1,913.
675
2,039,088 (1.902.8
11.2W2.589) 11,229,4
23,9)8
13,11tt
38,049

Marshall's Charity
Molps fo the AcGO£JI?ts for the year ended 31sl 2022 Icontiiiuedl
26
22. CHURCH GRANTS
2022
2021
Chu
AJI Saints. MaK1stor
All Saints. St2nfor¢l
St Mary the Virgin, C￿331VJton
t J(*wE ts B#pty#l. Turb6WI
10,
G(4lLtrd 10.CP))
st Arthw, H8tton Ho*a
St Wilsford
I Saints. Phx￿hOM
Pbly Trinty, W & E Alirylon
Stwulfram. Gr8ntham
St Fklen's. Stsd(ford
St Peter & Paul, Old Bollrvj￿e
AJI Saints, Ntsth Scarl•
St Marfs, Greenhithe
St Matys, G￿nhrftie
Sl Mary the Viiioin, Ch
st Marg•rof3, HorsmtsJtr*n
StAugustin8s. Sl*J& Gr88n
St Mark's, GilliThJham
St Michael's, BetclY4¥0fih
St Ggorg? th? Martyr. Shirkny
St Mary Ilp Virgin. Wglkng
StThomas, Old Chartton
St Mary th8 Wirgin, Oxknj
St Peterfs. Vauthall
st Edward Ihe C￿fe$￿, k4JltirWan SL¥hhwart( 14.
St Rich¥d.Ham
StJohn tM Baptrt Maklan
10.C
sa￿￿, F
lo.￿
12,CO)
10,
Jrn. S￿1th
Jckn'$.
10,
7.1￿•
len's. E•5t Ke•1
M•ly"n. l• Alarsh
11.
15.
10.
P•W$. RwJ*y
18,
&xAhbvarft 10.Cts)
P•uf8 & Al S*ts, C1￿h¥￿
10,
Pathirw•. Craylim
I S•ts
15.
15.
11.
10.
10.
15.
15.
pa￿8. aa￿D
Tthty. Chwtt
371,
Less can(4kUrJ)s
111.1
282m4

Marshaifs Charity
Note.8 lo thp Acc01117ts for Ihe year ended 31U D6￿MOe1 2022 (contNtr4ts
23. PARSONAGE GRANTS
2022
2021
To
Totst
BaThJc
Bath&th
Bimir#Jhwn
Blackburn
Bristfjl
Canterbury
Chdm$fud
Chester
7.110
5.1
7.110
5.1
9.4X
4.1
749
e47
4.180
10.910
4.1
IOS10
11.gP2
10310
4.IKI
13.4
14900
10.95Q
10.330
10,3>)
6220
10.310
Dety
7,1￿*
1461
S.110
445
Gl>J￿3t
I￿1thrd
4.4
4no
4635
1.015
11240
11240
Uchfiefd
12
112X+
4940
4.$78
UaThJaff
1.714
7,814
15,070
9.420
10
4,410
14070
MarKl*st
Monmollh
NeArAsI
lo
V40
&160
3.1
5,1611
1323)
5,810
4.1
14220
4810
4180
12.4CiI
12Ary
Petertmwh
Portsmouth
R(Khester
Salsbury
Shef(￿d
10.738
6.714
11.010
11.810
&314
stAlbans
st D8wd8
St Ed$ & IpB*lch
Swameo
Truro
Winchesw
a.837
2W
4180
11
319.145
4.1
York
n537
241710
28•,1•2
¢40)
13.1
19.9361
12.6fKJi
IiZ5381
Totsi Grants

28
Marshalvs alarity
Oplnlon
We have audited the fin￿Ka1 Statements of Marsh*fs Charity ifv'tharivl for the year ended 31 December
2022. wthith compw the Consolidated sts1eff￿t of Financial the Charity Statement of 6na)oal
Actiwties, the Consdtdated and tharity Balw Sheets, the Cmsolidated Statement of Cash Rows and the
related notes. iftduding a summary of wdnrfiwt accountong PDliae& The finantial reporbng framework that
has been appl￿ in th￿r preparation 15 aplicable14w and United kn￿d0M knounting Standards, induding
Finanaal Repo￿￿ Standard 102 The Finandal RepNDn8 Srandard applioble in the UK Republic of
Ireland, (United fin8dom Generalty Accepted Accounti￿ Pr•dite}.
In our opinlon the financial statements..
81ve a true and fair view of the stste of the charivs affalrs a5 ai 31 Decwnber2022 and of its
incorning restyJrces and appllcation of resourtes fLY year then ended..
have been proptrty Prepar￿ In attordance with Unlted Kingdom Gener￿1v￿cepted Accountin8
Practice; and
have been prepared in accordance wlth the requlrements of the Charities Act 2011.
We hwè been appolnted as auditor under secthn 144 ofthe th￿tIeS Act 2011 and report in accordan￿ with
the Act and rderfant re8ulatity)s madt ty having ¢fftrt thtreunder. We tt*nducted ouraudit Sn accordance
with Intemational StarKlards Audlun8 IUKI IIUS IUKII and applicable law. Our responsibilitie5 under thos¢
standards are lurther destribed in the Auditors. reSp￿S[bIl￿eS forthe avdii of the financial ststements
sectim ofour rewl. We are independtnt of th* th¥rty in actordance with the ethical reqU1￿ments that are
relevant to our audr( of the financial statements in the ljnited Kingd￿. indud1￿ the Financial Repo￿n8
Council's IFRCsl Ethical Stsndard. we have tuffilkd ¢wr otherethical reSpo￿tHIrt￿es in att¢rdan¢e ¥Ath
these requirements. We bdieve that the audit e4th)ce we have obtained ts sufficient and appropriate to
provide a bas￿ lor opinion.
In auditing thethnantial stsiements. ¥rt have conduded that the Tru5tett' use of the go1￿ thrKem baw's of
accountin8 in the preparation of the fin•KSal S1at￿errtS is apw(yiate.
835ed on the work we have perfornRd. we have not identified any rna￿31 uncertaintles relatin8 to Lwents or
condition5 that. indiwdually or¢dlectNety. cast Signif￿ant dotht on the chariWs ability io continue as
80in8 concern for a period of at ￿ast ￿1Ve months from when the finarKial ststernents are authorised Ic
Issue.
¢)ur responsibilities and the responslbilitits of the Trvstee5 ￿ re¥>ectto going concem are descrlbed In the
relevant secti47￿ of thls rewt.
Other Informatltyn
The other infofmation comwSses the knfomution 5nduded in the Annual Report other than the finandal
statements and tyjr Auditors. Report thereon. The Trustees are resW5i￿e for the other information
¢ontained within the knnual ReporL Our oplnTron on the financial statements does not cover the other
Informati￿ ¥TrJ. ex￿Pt to the extent otherwise w1*it￿l stated ui our repoo we do not express any forrn of
assurance condusion thereon.
Ow re5ponybllrty & to rèad theother Inforniatson and, in doingso. ¢£ffisKlerwhtXher the other Informatlon Is
materialty Inconsistent wlth the finanaaf 5trtemÈnts or kncv*We l￿t￿ned in the Coufse of the audit, or
otherMse appears to be materialty misstated If we identify such matffial in¢on*ster)¢Tres or apparent material
misstatements. we are required to detemine T•thethtt thsgives riseto a material misstatvnent in the
ffinancial statements themselves. If. based on the wofk we have p&fomied, condude that thue Is a
mater411 misststenRnt ot this Other informati￿. we are required to res￿ that facL
We have noth11￿ to rwrt in this rn8¥d.

29
Mattetson whkh we are rewlred to opryt byèxcepl
We have nothing to report in respect of the fdlowing rnatters ¥there the cha11t￿$ (Accounts and Reports)
Re8ulatlons 2(￿ requires us to report to you if. in our opinion=
the information 8iven in the Tru5tees' Report is inconsistent in any material respect with the financial
5tatements- or
suffident accounting retords have noi been kept: or
the finandal statements are not in agreement ￿th the accounting record5 and returns; or
we not r￿e1Ved all the rnfrymation and expl3natiMs we require ourzudrL
Resp0nsbbll￿e5Ot trustees
As txplained more fully in the Trustees. ReSP￿S¥bilItieS StatemenL the Tnjstees are responsible for the
preparation of the financial statements, vknich give a true and fairview, and for such internal contrd as the
Trustees detemiine is necessary to enablethe preparation Offin￿o81 statements that are free from material
misststement. whether due to fraud or error.
In preparin8 the tlnandal ststements, the Tnjstees are responsible for assessing the group's and charity's
abillty to ¢ontinuè as a going cOn￿rn, disdosin& as ap￿1¢able, matters rèlated to goin8 Cc￿￿rn and using the
8oln8 concem basi5 of a¢￿￿ntIng unless theTrustees either intentl to liquidate the group or charity ort
cease operations, w have no realisti¢attemative but to do so.
Audltovs, re5pon51blltlesforthe audlt of the finandal stalements
We have been appointed a5 auditLY under sectyon 145 Of the Charities Art 2011 and report in accordance with
the Att and relevant regulat￿Th5 made or having effect thereundw.
Our objective5 are to obtain reasonable assurance about whether the flnanoal statements as a whole zre free
from material misstatemenL whetherdue to fraud or effor. and t0 155ue an Auditors, Report that includes otrr
opinion. Reasonable assurance is a high level of a55urdnte, INJt is not a guarantee that an audit conducted in
accordance with ISAS IUKI will always detect a material misstatement when it exists. Mi55tatements can arise
frorn fraud or error and are considered material if, individualty or in the aggregate. they could reasonably be
expected to inffluence the economic decisions of users tsken on the bay5 of thesè financlal statements.
Irregularities, 5ncludi￿ fraud. ￿ instsnces of noTh<0mplian￿ with laws and wulatI￿5. We dt5gn
prcKedure5 in line vAth ourresponsbi ilities. induding fraud.The extent detstled below:
Wegained arn understandir* of the legal and re8ulat(wy framework applicable to the Charity and the sertor in
which it operatès and considered the risk of the Charity not complying with the relevant law5 and regulations
intluding fraud in particularthose that could have a material impact on the finarKial statements. This
included those reeulations dirert￿ relateij to the financial statéments. Indudin8 finanoal reportin8, and tsx
legislation. In reLa￿ON to the operations of the Charlty this Induded compliance wth the Charitiès Act 2011.
The risks were discussed the audit team and we ￿mained alert to ary indication5 of non-cwipliance
throughout the audit. We carried out 5peafic procedu￿ to address the risks identified. These included the
followin8'.
RevSewSng minutes ofTrustee Board meetinBS, any cr￿dence wtth the tharity Ccmmlssion,
38reeing the finantial ststement disdosurÈs to underlyin8 SUPF>Qrtin8 documentation and enquiries of
management of the Charity. We have also reviewed the procedures in place for tP>e reportin8 of any
Inodents to the Trustee Board including serious incident reporting of these rnatter5 a5 necessary with
the Chanty Commission.
Management override: To add￿5 the risk of management o¥erride of controls, we Carri￿1 out
testlng of journal entries and other adjusbnents for appropriatene￿ We reviewed systgms and
procedu￿5 to identify potential areas of manaeement ovèrride risk. In particular. we carried out
te5tin8 of journa entries and other adjustments for appY0priaten￿ We also assessed management

��� 

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