The Church Welfare Association (Incorporated)
(a charitable company limited by guarantee)
Company Number 00112964
Charity Number 209992
REPORTS AND UNAUDITED FINANCIAL
STATEMENTS FOR THE YEAR ENDED
31 December 2022

CONTENTS
Pa
34
Reference and Administrative Infomiation
Council Mémbers, Re
Indepèndent Examiner's Re
Income and Ex
nditure Account
Balance Sheet
Notes to the Financial Statements
10
12-16
Page 2of 16

The Church Welfare Association (Incorporated)
(a ¢hariiable company limited by 9uarnnt8e)
REPORTS AND ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2022
REFERENCE AND ADMINISTRATIVE INFORMATION
Status
Th• Church Waifare Assodakn Is a chai118￿0 c(rfnpany li￿ by guarnnt8e and
having a share capbtsl. iTK£Aporated on 30 November 1910. and registered 8$ a tharity
on 18 Cttober 1962.
REGISTERED COMPANY NUMBER: 00112964
REGISTERED CHARrrY NUMBER.. 209992
Regl$tored Offlce.. 25 Ctittingh￿$ Drh
Norwid)
NR6 6PS
Llnkod Charltlos
The follrmlng tharilles Ilnked wlth The Churth Wellare AsstsS8tlon w8re removed by The
Chanty Commission from register of tharitb&S in tho year.
FELLOWSHIP OF ST MICHAEL AND ALL ANGELS TRUST FUND- Registered
Charity Number. 20999211 tRemoved (&￿e￿ to exisll 14 January 20221
LEICESTER HOME SCHOOL- Regisigr8d Chafity Numbgr.. 20999213 IRemov*d
(ceased to èxlst) 14 January 202
Tru$t•es l Dlrnctorn
Tho folkwng tmste6s {th8 Coundll are aleo direL*ors of the c*arltable o)mpany.'
Lorralne Briffitt (Chairl lfrom 7 July 2022]
Adeline CO￿ Iresigned 7 Juty 2022]
Daphne C(KJk Ichairl Ire$vJned 7 July 2022]
Margaret Fufford Ire51gnod 7 Juty 20221
Rav Hugo Foxwood Ilrcrfn 7 July 20221
Madelaine L¥)ddard (Vice Chairl
Sylvia Hafford Iresvjned 7 July 2022]
Mark Heyboumg (Secretary until 7 Juty 2022, Twstee from 7 Juty 2022)
Gillian Reevè Iresigned 1 March 20221
LirKla Salier Iresigned 7 Juty 2022]
Laursnce Singlehurst tlrom 7 Juty 2022]
Mark Wakelng (Hon. T￿Surer)
Logal Advlsers
Anlhony Colllns Solidth LLP
134 Edmund Street
Blmilngh￿I
B3 2ES
Page 3 of 16

The Church Welfare Association (Incorporated)
(a ¢harilat4e cijmpany linlted by guaTantee}
REPORTS AND ACCOUNTS FOR THE YEAR ENOED 31 DECEMBER 2022
Inveslment Advisors
Chades Stanl•y & Co. Llmited
55 Bishopsgote
LoThkn
EC2N 3AS
Epw￿h Investrngnt Managtrnent Umlted
9 Bonhill Street
Lonth)n
ECZ4 4PE
CCLA Inveslmenl Manag8mant Limrbj
85 Queen Victori8 Street
Lorthn
EC4V 4Er
Bankers
Lloyd$ Bank plc
25 Gresham Strget
London
EC2V 7HN
COUNCIL MEMBERS, REPORT
The CouncAI ol Trustses and th& dirgctys of thg chailatjle company have P￿aSure In
submlthng th￿r Council Memberfs Annual Ram *nd A¢(￿nts for tha year erbjed 31
December 2022.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Structure
The company is Imited by guarantge and dogs not have a share capTtal. M8mb8ts of the
charity guar8nl¢e to conlribuie an am￿jnI ￿t exceediThJ £1. to Ihe charity Sn th8 eV8nl of
winding up.
Govomlng Document
The company was inc4Yporated on 30 November 1910 under a memorandum of
association, which estat￿l$he￿ the objects and Fth%WS of the charitable company. and il
is goverr￿￿ under its arbdes of associalion as amerKled by special resoluti¢x)s pass
on 19 November 1953, 18 February 1954 and 25 October 1995. 8nd r8sokJtion mad
undor SectKJn 74121 of The Charitie5 Act 1993 on 25 January 1999.
Page 4 of 16

The Church Welfare Association (Incorporated)
la chafiiable company limiled by guarantee)
REPORTS AND ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2022
Management
Tru*t••s
The Council of Trustses detemkne the genèral p)IKy of the Asswation. It Is the poli
of the Asscrfjabon lo #chi￿& Ihè ob)8cts of the Asscdation.
Collaborntlv• Agr••rn•nt
A Collaborali* Agreement Charity and Beyotvj ihe Stre¢ts IBTSI sKJned on
20 June 2022 inclwjes the pwsion of adminlslralive swFort by BTS.
Do•d of Grant
A Deed of Grant Agrernt betr•4èèn the Charlty Igrantorl and BTS Igrante81 slgnèd on
7 July 2022 makes a corKlitional provision for a grnnt of £163,125 annualty befvleen 2022
and 2026.
OBJECTS
Thè Association is an ¢stablished ¢(ffPOTalion administering monies for ihe benèfit of
Sodal Work in connection vthh the Churth of England. It ¢an also..
maks maintenance grants to rnsidenti81 projects undertaking the shellgr, training
or rehabilliation of women or glrls, wbthoul inf8nts, in ne&d of care and
moral support"
2. support Day Care prciects dgswJned to a￿$t and $LVWJrt thildren, p8rticulèrly
single par•nt familYa$, 8nd-
3. 8Ct as Cust￿lan Trustee f(Ir relevant PTopeities. and grants to retired
persons who h8ve work8d on Church Social Work.
Tho aim¥ and obiectsves crfeach ¢harity linkod to the As$c￿tion in Ihe yearwere".
The mainlgnance of a home for lh8 use ol w(Knen or girfs of better edLThtion and
so¢lal F£¥sition who have fallen and ar8 not surtab16 for ordlnary rnalwnity homos
or lor rescue work in the (FELLOWSHIP OF ST MICHAEL AND ALL
ANGELS TRUST FUND)
For frjrthering moral wetrare work wnory %brJmen ILEICESTER HOME SCHOOLI
DIRECTORS. RESPONSIBILrriES
The directors are resFrt)wble for ￿epari￿ the rewwi of the Trusta8s and the financial
statements in 8ccordance with applir*ble and Unite(l Kingd￿ Gèneralty Accepted
Accounting Praclice {UK &WI.
The directors 8re required to ￿pare the report of the Tnjstees and finan(•Jl ststements
for each finarrial period. which gtve a true and fair ¥1￿ ofthe state of affairs of the
charitsble o)mpony and of ts incomiry resour(*s and awli(abon ol resources, including
Page sof 16

The Church Welfare Association (Incorporated)
(a charilable wmpany lThited by guarantee)
REPORTS AND ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2022
income and expenditure for the In prepariThJ those finanual statements a¢counls.
the directors are rw4uired to."
selèct suitable 8¢u)untlng policies aThJ th8n 8wty them COr￿lsten￿Y.'
make judgements and estimales that are reasonalje and prudent.,
Stale whether ap￿1¢able accounling Standard5 and stalements of rec<xnmended
practsce have bean folbwed, subiecl to any material departures discjosed and
expLained in the finan¢ial statements:
prepare thè accounts ￿ the wing conC￿M ba818 unbss il is inapprcprlale to
presume that the company will ￿ntsnUè In operation.
The directors are responsible for keeping adequate accounting rècords which disclose
wSth reasonable accuracy al any time th& financtral F¥)sibon of the ¢rrfnpany and lo enable
them to ènsure that the financi81 statements comply wÉth the Companies Act 2006. Thgy
ar8 81s0 responsible for safegv8rdlng the assets of tho compgny and hence for takbng
r8asonable steps for th$ prevention and det¢dion ol fraud and olher irregulari￿.•$
This rèport h8s b8en preparod In aecordance Vlilh Ihe small o)mpanlès r8gim8 under
section 419121 of the Companies Act 2006, and in accord8n¢e with Accounting and
Rgporbng by Charitigs.. Statem8nt of Re¢ommend8d Practice *FWicab￿ to charftlos
preparing their accounts in accordance ￿th FRS 102.
ACHIEVEMENTS AND PERFORMANCE
Background
Th& Purpose of the Chwch Wellare Assoc4ation Is to SL￿￿t for woman wl
have been expk)iled or are al risk of being exploitad through prostitull¢)n.
Its alms have wdeMd over the yews to support resident1￿ 8nd day Care prgects.
holiday clubs, pa￿rttiNj ¢ourses for leentyers etc., most of which fiJncts'on in deprivad
are88. Povaty disproportionalety affects women and children 8nd mst projecis in this
rield olwork function on very tight ￿￿gets, ￿ualty wth the invalua￿8 h&lp of many
volunteers.
Publ1¢ Benefft
The ChU￿h Wetrare Associa￿￿ is a pmknlic benefft entity urbjer FRS 102.
The Trustsgs have Lmdertaken lo ensurv ¢0mplian￿ wth the Charity Comml$$ion's
public benefit gUklar￿ when setting grant-making policy aThJ reviwwng the aims and
objectives of the charity, arKI of the ¢hanlies linked lo IL
Summary of the Year
2022 was a year of great charKJe. seeiThJ a significant Char￿ of faces on ihe Board.
Continuing lo be admirably led by Daph￿ Cwk as Chair of Trustees until the AGM and
Board Meèttng in July 2022. the incredi￿e legao of Board mernbers who laithfvlly
served and offered tr￿1[ wisdom drew to a dose. Thts was an intentional culmination of 3
years, prayerful refiections. as per Daphne's words in our 2021 'The work of CWA
will start a new thapter..
Page 6of 16

The Church Welfare Association (Incorporated)
la charitable cornpany limited by guardnteel
REPORTS AND ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2022
I would like lo thank all the Truslees who stepped drywn in Juty 2022, Their time and
¢ommitrnent has poS￿¥￿Y impacled so many lives and charilable activibes ovèr the last
decado. of the most signrficant impacts is the CollatK)ralion beknn CWA and
Beyond the Streets - given the recognition of a shared mission. We look fO￿ard to
continuing lo dèvekjp this partnership. confid￿1 that we can positively impact the amount
of appropriate support f(Kwomen VLlnorable lo sexual exploits￿ across the UK.
During the year, the TrLbslees rnel online on Z(N)m. and in person in London In July 2022.
The Boafd mel lo review applications ar￿ award frJrKlin9 where there was resonance and
8llgnment th8 core obi•ctsvos ol CWA. As the year drew to a close, a renewed
commitment to focus on tho original objectivos- supporbng women curTentty, or al risk of
being, exploitsd through prostitution- has drawn on the Board's kgacy of lan*seMr¥J
Trustees gnd ullllsad t￿ diverEe 9Xperi￿Ce of nower Board membe￿.
I would ￿rSOnalty like to thank 811 of tho Board Members who Stepped down In July 2022.
Your dillgenc¢ lo hold CWA ovér tht yaars has ff*ant nvm&rous projects have offered
vitsl support lo w¢)men experienung sexualty exploitation. I have laken up the balon and
will do 8111 Gan lo ensure we continue to evc4ve lo supwrt vulnerable women, develop
Innovative support through bjnding and tsrget fiJnding that has kindngss and inclusSon 8t
its heart.
Lorraln• BrSffitt
Ch•lr of Tru8t•e•
FINANCIAL REVIEW
Summary of Tran8a¢tions and the Flnanclal Posltlon as at 31 December
2022
Dvrfng Iho year under revbw tho valuè of the Churth W*lfare Associa￿On Iln(rrporal8dl
lunds decreased overnll to £1.252,59312021.. £1.631,2581 as shovm on Pa9e 10 oftho
finan¢i81 slatements.
The tharity distributed 13 grants to v#rkyJs org8nisatlons anK)unting lo £196.12512021".
£80,10)l. Grants awarded to Ihe tharity Boyond Ihe Stseots comprised the first of five
annual grants of£163,125 but Wh￿ Temained unpaid as at 31 December perKling a
transfer of funds12021.. £48.500, including £15.￿)0 authorised in 2020 but awarded latel.
Smaller grants paid to other organisations wothTrJ witr) wcrfnon expgri•ncin9 or
Vulnerab￿ to sexual ewoitation were..
£3.500. The Boat Tnjst tDi¢Jcese of Manche5tsr]
costs lorat-tisk asylum-s8ek#yJ in sh8r8d housing
£3.000, Jacobs Wdl tDK)cese of Derbyl
R8s1O￿ P￿e¢l
£3.(N]O. lknnls Iclapham, Diocese of Southwark]
Safe hotjw forwomen in SeXual￿xplo￿ativé stluatsons
Page 7 of 16

The Church Welfare Association (Incorporated)
(a charriatAe company Ivnried by guarantee}
REPORTS AND ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2022
£3.000. All Souls Serve The Cty tDK)cese of Londonl
£3.000. Yasha IDK)¢ese of Lid)fie
Proi6d Saffires
£3.￿. B8bved. Sl Agnes Chur¢h. Bristol IDKKtte ofLichfield]
Support lo ¥wmen woity in the trth)r sex intlusty in 8rtstolam•
£3,IJOO, Saffires. Knighlon Free Church [DI￿Se of Leicesterl
The P8rtour Outr88ch Ftrryr8mm8
£3.000. Embrace Wa￿1(￿h1re. cO￿ty E￿M Church IDiocese of Coventyl
SUp￿ng lemale on slrget sèx-*wk•rs In Ctw•nty
£3.000. Luminary Ltd IDiocese ofWestsninstw]
Training, 8mpknyment and community Itydisadvantapd womén In London
£2.500. Azalea IDictes¢ of St A*Jans]
Proj'ed Encompass
£2.CNJO. Safehaven Womgn. St Peterfs Churth. Brbh¢on toiocese of Chi￿￿10r]
Proiecl.. Mother and Baby Supw Gr(4
£1.000, Iyf th& fgn¢g Ltd IPortslade. ol ChKheslerl
Gateway Women s Centre
The value of CWA'S investmenis. shown al Ma￿et Value unlgss otheM8e ststed, have
I￿reaSed ovgrall lo £1.216,91812021.. £1.432,0541 as shthvn on Page 11.
Investments
The managemènl of the Assoc￿lI0Th'S investmenls on a day lo day basts Is overseen by
the Hon. Trgasurer and the AssocK4tion's investment ath5ers. The guidelines that have
been s81 down aro for t4)th ¢apltal grtrwih and irtomè Mlh modlum risk.
On bohalf ol the Board
Mr M H•yboum•
Hon. Se¢r•tary
Page 8 of 16

The Church Welfare Association (Incorporated)
(a charitable Lxxnpany lwnited by waranteel
REPORTS AND ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2022
EXAMINERS REPORT TO THE TRUSTEES ON THE UNAUDrrED
ACCOUNTS OF THE CHURCH WELFARE ASSOCIATION
(INCORPORATED)
I report on the financial 8tst8ments for tho year erwjed 31 Dacember 2022 set crtrt on
pages 10 to 16.
Responslbllitles and Basls of Report
As the charity's Trust￿ of thè compat)y (8nd also Its directors for Ihe purposes of
company lawl you are re$ponsitrAe for the preparation of the accounts in accofdancg with
the rèquirements ol the Companies Act 20061'the 2006 Act'l. The ¢harity'$ Trusleos
nsider that an audit is not required for the year under Section 14412} of the Ch8rities
Act1th0 2011 Act) and that an Indepotwjenl eXam￿allOn Is n¢•d8d.
H8￿ng satlsfied th8t Ihe accounts ofthe company 8re not requi￿d to be auditsd
under Part 16 of the 2006 Act and are eluible for indep8ndenl examination. I report in
respect of my oxamlnation of your tharitys accounls as carried ¢xJt under section 145 of
the Charities Act 2011 Ith&'2011 ACYI. In carrying out my e￿nInation I have followed
the Oireclions gwen by the Charity Commission under section 145{5llbl of the 2011 Art.
Independent Examlner's Report
As th¢ company'5 gross in¢ome did not exceed £250,000. I conffinn that l gm qualifbed lo
undertake th¢ examination.
I hav8 completed my èxaminakn. I confinn that no matters have come to my att8ntlon In
connection wth the examination gimng m8 cause to bèlieve:
accounting records were r￿1 kopt in respecl ol the company as requirgj by
section 386 of the 2006 Act.. or
th8 accounts do not acD)rd with those #c£ounting records: OT
the accounts do not comply with the ac(￿ntIng rèquirements of Secti￿ 396 of
thè 2006 Act other than any requirement that the accounts give a 'true and fal
view whsch 1$ not a matter cons*Jered as part of an independent examination., or
the acctyJnts hav8 nol b8en prepared w) accor(lance with the melh¢xls and
principbes of Ihe Staternenl ol Re¢(￿mended pracb'ce for accounting and
reporb.ng by tharilies
I hBve no Lxncerns and have across no olh•r maliers In connection th8
examination to which attentbon should be drawn in this report in order to enablg a proper
underslanding of Ihe accounts to be reached.
Mlchael John Harris MIAB
J Harris Solutions
18a Ghurth Road
Bishopstok8
Eastleigh
S050 6BH
20171n
Page 9 of 16

The Church Welfare Association (Incorporated)
(a charriable company linited by guarantee)
REPORTS AND ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2022
STATEMENT OF FINANCIAL ACTWMES
Ilncludlng Income and Ex￿ndIture Account)
Note
2022
2021
Incomlng Resources
Donatrons
Investrnent InC￿e
39,884
44,010
Total Incomlng R•sourc•s
Resou￿0$ Expended
Direct Charitable Expenditure Grants
Managem8nl & Administration of th6 Charity
196,125
22.095
80, 100
14,407
Total Resources Expended
218220
Net Incomlng Resources Less
ResourGes Expended
(178.3351
(50,497)
Tran$fer>in
Galns (or Losses)
On Dispos81 of Fixed Assets
Nel Unrealised Investment Gains (or
Losses) on Revaluation
168,561 >
{131.769)
(2,052)
87,299
Nel Movemonl In Funds
1378,665)
34,731
Balances brought forémrd 1 January
1,631,258
1.596.508
Balances carried forward 31 December
1252,593
1,631,258
Page 10of16

The Church Welfare Association (Incorporated)
(a charitabb c(xrpany limiled by guarantee)
REPORTS AND Accou￿rS FOR THE YEAR ENDED 31 DECEMBER 2022
BALANCE SHEET
Noto
2022
2021
Fixed Assets
Investments
1,216,916
1,432,054
Current Assets
Accrued Incom8
Income held by Agents
Cash al Bank & with Agents
520
6.947
1. 166
198 790
Total Currenl Assets
199,661
199,963
Currenl Llabllltl•s
c￿dItors.. Amounts fallir¥J
due wlthin ong year
(163.983)
(758)
1252 $93
1631258
Net A88•ts
Represènted by
Unrestricted Res•rv
For the ye8r end•d 31 D8cwnber 2022. fv comp8rry wa$ ontitbj to exempllon from
audit under Saction 477 Companies Act 2016. and no notico has been deposited under
Section 476. The directo￿ ackn(Mledge Iheir responsits"lities for ensuring thai Ihe
Company kegps 8ccountir¥J ￿COld$, which c(Nn￿Y with Section 386. and Pfèparing
a¢counis, which give a Irne and fair wew of the Sta￿ of affairs ol the company as 8t the
end of the period and of its income and expenditure for the financial rep￿1. in awrdanc¥
with the requirements of Se¢lion 394 8nd 395. and which othetwisè comp4y with the
requirements of the Companies Act 2tNJ6 rolatiThJ to accounts, so far as applicab* to thg
Company.
The 8ixovnts are prepared in acD)rdance with Ihe ¥>eci81 prowsions of Part 1S of Ihe
Comp8nios Act 2006 rel8Jng to small Compan￿$.
Al figures shown have been rounded to the nearest £1.
1252 $93
1631258
10(d13
Page 11 of16

The Church Welfare Association (Incorporated)
la charitable company l#mited by guarantee)
REPORTS AND ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2022
1. NOTES TO THE FINANCIAL STATEMENTS
1.1.Accountlng Convention
The financial slatements have been prepared in ac(x)rd8nc8 with ihe Financi81
Reporbng Stsndtyrd applicable in the UK and Republic of Ireland (FRS 1021 the
A¢¢ounbrwJ and reportiro by Charili6s." Statement of R8commended Practice
applicable to Charities prepariro Iheir a¢￿)Unts in acCOrdar￿ wth FRS 102, and the
Companies Act 2006.
Th8 eh8rity meets the definS1ion ofthg pulAic b8nefft anffjty ￿[￿r FRS 102. Assets
and liabilities are initially le￿nISed at hist¢yi¢al cost or transathn value unk8s5
othewse staled in the relevant accounting polw note beh)w.
Thg a¢¢ounts have boen prtyared on the or#Joing ¢on¢em basi$. Th•re aro no
material uncertainties about the charitys abilty to continue.
1.2. Basis of Preparatlon
The financi81 ststemènts are prepargd on an accruals ba$ls and indude In¢omo and
expenditure as they are 8ame<J or incurred, ralhef Ihan as cash is r8¢eived or pald.
1.3.Incomo
Investment income wmpri885 Iriterest and divKJends received in the year from th•
Fund's Investrnen15, and indudes any assocAated iaxation that is reuJvgrat4e from
HMRC.
Grant In¢ome and donations ar¢ recognised in tho Stslement of Finanoal Activities
onc8 th8 ch8rity has enlitlemenl to the funds, it is probable Ihat th9 income ￿11 be
received 8nd the arrKJunt can bè moasured reliabty.
1A. Expendlture
Expenditure is recognised in Ihe period in whith tW are intyrred. Resourcos
expended include attributab￿ VAT wh￿h cannot be recovered.
1.5.Fund A¢counting
The charity holds unrestricted funds ir￿rpOrating the folknwng ￿ga￿a$.
Miss Elsie Heame
HF Musket aThJ Miss L W Bdl
All other income less expenses of the charity arè h8kl in unrestrlcl8d fvrKl3. The
charity hokls no Designated or Restrided Funds.
Page 12 of16

The Church Welfare Association (Incorporated)
(a charilatle company limiled by guarantee)
REPORTS AND ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2022
1.6. Galns and Losses on In￿stment Assets
realisèd gain or loss ari8irKJ on salè ofthè FuThYs invostrnents is cakulal
as the difference belween the sale of prrmds and the given Market Value 8t the
prevK)us 31 Decembèr or Ihe cost if purchas￿1 during the year. Thè unre81ised gain
or loss 1$ the adjustrnènt required to stale inve5trnents at Ihe gbven Markot Valu8 at
the ￿ar $nd.
1.7.Flx•d Assets
The Inve8trMnts hold ty thè Fund at 31 December arn intjuded In the B8lanc* Sheel
al Market Value unless stated OU)8￿7$8 In Note 4.
2. Invostmont Incomo
2022
2021
Dwldend Incom8
Charles Stan￿Y & Co Inve$trn8nl Fwxttobo
DNidends from other Shares
Epworth Investment Management (Epworlhl
portfollo
CCLA- COIF Charlties knvestmenVFixed
Interest Funds
CCLA - CBF CofE Investmènt Fund
Bonk Interest
Epworth- Affirnatlve Deposit Fund
CCLA- COIF Charthes Deposit Fund
CCLA. C8F CofE Deposlt Fund
20,709
27,353
5.732
4,507
9,194
10,181
2,004
1,939
40
1.999
206
24
Total Inveslment Incoff
44,010
Page 13of16

The Church Welfare Association (Incorporated)
la chartable company Iwntied by guarantee)
REPORTS AND ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2022
3. Management and Admlnlstrallve Charyes
2022
2021
Tru$leg$ and Offi¢grs Expenses
Accountsncy Fees
stockbrokers Fees
Investment Fees Icha￿$ Stan* & Co)
Fees & Expenses (Epworth)
Other Shares
Legal & Professional Fees
Company Registrar Fees
Website Fees
Printing and Postage
Compan19s Hous8 Fees
Gifts and Donation
Other
317
745
11.613
1.089
9. 166
1.359
7,421
2.611
185
338
287
183
330
13
Total Manag•m•nt & Admlnlstrallv• Charg
407
The Association has no staff. No memb8r of Ihg Council rg¢eived any r8muneration
during the year. Expenses inuJrred on of Ihe A$8ociation reimbufsed lo mamb8rg
or rfjlated parb8s thgrgof were £1.08912021.' £1511.
Page 14of16

The Church Welfare Association (Incorporated)
la charitable company Ivnited by guarantee)
REPORTS AND ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2022
Investments includlng at Market Value
Companles
2022
2021
Listed Securities
Other Fixed assets
1.177.708
1.430,976
Total Invostmonts
1216916
1.432 054
5. Cash •t Bank and whh Ag•nl•
2022
2021
Cash 81 Bank- Lloyds
Cash on Deposll- Epwth1h IAffimiative
Depos¢t Fundl
Cash on Deposll- CCLA ICOIF]
Cash on D8posit- CCLA ICBF CofEI
13,233
76.310
3,521
163,996
15.612
163,347
15,612
Total Cash at Bank and wlth Ag•nts
192 194
198 790
6. Uablllty of Members
c(￿panY is limited by guarantee, hamng no share capitsl and under the temi$ of tha
Memorandum of ASsocial￿n every member of the LX)mpany undertakes to contribute to
the assets of the company in the ev8nt of it boing wound up which he or she is a
member, or w￿1n one yaar after he or she ceases to bè 8 member, such a¢t as may be
required not exceeding one PouThJ.
l(J (8111
Page 16 of 16