I APR 2021
REGISTERED CtrWRITY NUMBER.. 210154
UnaUd0t￿ FlnanGial Statsrnents
for yeare￿Ie￿
31 DeCeM￿r 2023
for
Dlss Parocjmal Charfty
Haines W*tS
8 H4)￿r Way
Diss
Norfom
IP22 4GT

Diss Parochial Charity
Contents of the Financial Statements
for the year ended 31 December 2023
Page
Report of th& Tr￿￿te•S
1 to 2
Independent Examinfrfs Roport
Statement tsf Financial Activltles
Balance Shèet
Not8s to the Flnancial Statements
6 to 10
Delailed Staten*nt ol Financfj￿ Activit188

Dbs Paro£hlal Charlty
Report of the Trustees
lar the year ended 31 December 2023
The trust89s pr68Mt th￿r reptytwth th6fin￿￿￿ thtschartyfcf ended 31 2tr23. The tru8ta* h&* the
PmW5irfft d Accryjnttng ￿ R8poFbny by Charth5." Staem8nt Ll Pr¥trc8 to char￿8% th*r ar&￿nIS '
*cud8nceWth the Fin￿0￿ Rekthn9 *i'¢at4e in the UKand R*J￿1100f1reJand IFRS 1021 {dfeu.￿ 1 J8nuary20191.
Ch¥tywas establish*l cn 2nd D8¢ertér 1932 and a￿nd￿ in 1960to unte a nunberofWiH Trusts under trusteu.
tt lurther ¢n 24th Nowrkner 2009tomwJethgtrn b￿cheS $Kry)lfytheadrnin(sti*th.
OBJECTIVES AND ACTMTIES
Obj8¢tiV8s •nd alm5
oèi*ts clthe Chorty8Mthe rdief d Di55 r*ldrt ty.-
1. the prMh)n ￿ dm5htyJ¥e4 C¢
Ismal p￿8(￿￿ grant5,
3.anNJd pasrnentto Di&$ ChLsrch CLwr
ACTrIEVEMEI￿ AND PERFORMANCE
ChBrI1a￿e activ1￿85
The 6xiqbr#J aln5hwses we reguLgrty m*ntawl, inc4udkng e*rical ￿ gas Irtsk*t#M 88 rtswirèy tyl** ￿ re￿I￿d￿j by thè A*nshfM8
Asswal￿n. The next quinqu￿￿￿4 rewrt v& due in 2026.
The Trustee5 Sm￿1 grants to th(w in oee•J or dist￿ induding to b¥e*td cl £150 eath, follcM•J ￿ by Christrnas
wyjthers IL*allng £61& F￿* Lth8r grwtswere nwde indudiry threevR5hing rnachth￿, a 5rla and oth8rhr￿gth￿d trtalling £1,330.
£10,OC4)wa$ pad to Dtss Ghurth fr¢￿ testrKt&J fvnd8 * requtred bythe mbtukn.
FThIANC￿L RÈWEW
Prfnclpal sour￿￿
Al the o[1g￿￿ fundiry (* ￿ Gh*ity wc¢e frtyn Wll Trnsts, the tnA5t*s cbtsuitsj valU￿c￿$ In 2C07 cl t￿> prwety these
used a5 CC6ts.
InLwtsfrL¥n thefrethdd proFwty8nd 885* in%tstrwts areU*pthLYP81 S￿re¢S ofinc
veStsTr￿ pojlcy and otyectives
Thetrusteey re¥￿the In￿￿ts ofth¢¢h¥lty hatr ￿ty9nd ¢￿$&yerth81thty￿￿th8 crnt tthorfhddlrvJ8 tom*t ih•ch*ity$ t**J&
Ro8ervo8 poIIGy
The Ch*ity ci)¥ates thefc41cMYry fiJndB".
All the orlginal funding (rf th2 charity frrm Wiu TnJ8ts and 1$ thwd¢)re to ￿ Endothnl Funds. The trustées cbt•'
prof£sslonal ￿lUatic￿3 in 2￿7 thase as hist￿¢ costs.
ThE Chafjty k8 r*lyd to make an annua of k88 £1,840 to the Dis$ P8rcLhld CtrMJrch Cwncd for purp¢*e8
d Sp￿th¢aNyt0rnaI￿*•n thetcnkn ￿wIllIam Burtcfi focaw kn the Parish Cfvjreh rf Di55. T&￿e is ￿ lurtt)er r*èJ forrweM8 to be m*ntain&
the
ThLs proMdeB Ic* mtAknknath)n aNI of a ¥•m-carita nature. The extraudknary repar fund SI￿dS * £83,457 and L*
(￿￿￿k181￿1 ad8qU*e, but * remwl at the AGM. These funds are cuffenity hdd acolmu￿.c￿ sh¥ty¥ & G Chwity Mvkn. A￿et
Fund pr￿l￿sly￿￿4Tr as The Naiicfid Artshw5eAsswation CcrnDn Fund.
These arethebthrn8 dthe u￿￿tI1C￿ft￿d5 Wee*W￿*1e *thedlsudl￿ in lurthwmofts obi&kn charty.
Gdng con¢em
The tntstees rts)stiler b*nc8 rf funds & 31 2023 b ad•]u* to fi*ntt the d)*ilat4e aCtNI￿ for • fr¢xn the date
clthis rwL
FLrruRE PLANS
The TNsteE5 C￿tinuet08￿ek a sU￿bSitet￿lYj1d • furthwknhwse ￿lar￿￿)Ut8￿ccS9s.
P88e I

Dlss Parothlal Ch•rlty
Report of the Trustees
for the year ended 31 Decemb•r 2023
STRWURE, GOvER1￿NcE AND AIANAGEhTENT
Gov8rnk)g docuTr*nt
The charity 15 ¢￿Irc11ed byli s go¥wning d0￿m￿nI, 8 deed cltrust WKJ unlTwLYaW chty.
The Chtys goktming instrument Kffomtsy fc¢ one Eknoffioo Twste8. na￿. the Rec*c¢ d Dt$8, tegth ￿1th TNstees
appcrfntsd by, but d. D*s C￿n￿ on tm (rf fojr yva$ *vJ tso trust*s by Ihe Tr￿the
ThèCh*iiyr*ryd8 we maIntar￿a dwK Mrs. S J Gr¥e, 2The Causw. Vtha R(wJ, D￿$, Norfclk P22 4AW.
tNst*5 h&t 8 duty to Kf￿bfy *d Ihe r*s to the chwtylg *)d to *8urg we tn F4xe to
p¥oMde reawn*4èa$5uranc* a3•nstfraud and e￿.
The tW5t88s have examin￿ the major r￿kS chty faces and ¢xrfimi Ihot syst￿* h•bE 8sI*YL8hed to rtigate thcse rf8ks,
indudng a puty￿ LiabiltyFditryof insur8nce cwng pat a% chartyB LqThJ at Mwes M(xth.
REFERENCE AND ADMINISTRATWE DETAILS
RoglBtw¢d Charlty
210154
2 The Cau58vMy
Wi￿# Rcad
N(¥r￿k
IP22 4AW
Mrs A S HughES
J J Rd)ert8C
JPMa50
Mrs J VBlight
J R Maskdl
D B Ytyjng
kndependotx EX￿[￿
Ha#ies Watts
8 HOp￿r Way
Diss
N¢rfdk
IP224GT
SdldttyS
Gu(trJ￿s Prentts. &rttem>knt, Stthwnarf IP14 1ED
Archstedwal Ath*kn
Chtyman Ch*tued Survoyrys, 6￿jIh L(¥hwn, Dbs, IP22 2JR
Sun ANMr*¢4ndAns¥w, bcth thrcvJh Grrrtrt InsurrnBrckn Ltd, Lon0c￿.
8anker8
BardayB Ba￿1 H¢. Mwkd Hdl, Nufdk, IPL 4JU.
The Charfty l• a m•mbwofThe Aknshoy*èA8ooGl*tlo
OTcrfth
bcord cl1rust￿ cfi 19April 2024 and *ned on tts bth4rty.
ASPtwJ
Pa8e 2

Indoptrndent Examiner's Report to the Trustees of
D155 Parochial Charity
Indep8ndentexanwnerfs report to the trustO88 of D55s Paro¢hlal Ch¥Sty
I lothech2rity trusl*s on my examinati￿ of th? accounts of D￿S Parc¢hial Chorty ltheTrustl forthe year ern1￿ 31 Oec&ts 2023.
Responsibilities and basis of rèp¢*rt
A$ the charity t￿Stee5 of the Trust you are réSwnsb￿ for the preparation cl the accwnls in acc￿danCe with the r￿U1rer￿ts Charrt
Act 2011 1'lh8AcVI.
I report n re$￿t of my examillalion of the Tru5fs accoun15 carrled LNrt under Section 145 of the Act and In carryng out my examinat*)n I have
f￿lL￿Val all applic4)È Directi￿5 given bythe Charitycotnrryssion under Section 14515llbl of IheAct.
Ind8p8ndent examlnÈrfs statement
I have complded my exaninalion. I confirm that no materhql ftwtters have ¢tyTE lo my al￿￿tic￿ in wdh Ihe eXaMin*￿n me cause
lo believe that in any m2teri* resw..
C￿ntIng recoids we keKI in of the Trust as required ty s¥t￿n 130 oftheAcl,' or
the xcount5 do not *cord with those re¢ords'. or
the accounts do not compty with the 8pplicable rwUl￿r￿Th13 G￿cemIng the form antt content of accwnts set in the Charitie¥
(Accounts and Reports) Regubt¥)ns 2008 other than ￿ requirement that the 4ccounts give 8 true arKI fair wtw %vhich is not a matteT
Consider￿ as part of an Independent exatnination.
I ha¥È no c(w￿emS and have acfOSS no other matt￿$ in C￿n&t10n %wth ts exarThiwtion lo ¥vhich attents"C￿ 8￿Uld b& dwin in this r8P(rt in
order ioenabk a prw understanding of the accounts to be reach&l.
SirTh)nett8 c3st￿l2n
The InslituiÈof Charter&J Accwntants In EnglaThl and Wales
aines Watts
8 Hopper Way
Diss
Norfdk
IP22 4GT
Page 3

Diss Parochial Charity
Statement of Financial Activtties
for the year ended 31 December 2023
2023
Total
funds
2022
Total
funds
Unrestricted
fund
Restricted
fund
Endowment
fund
INCOME AND ENDOWMENTS FROM
tkjnatiws
2.056
2,056
Charitable actiVi￿e$
Weekly M21n￿ance Conlrbulion5
21,120
21.12CI
22.330
InVes￿nI ncome
4,449
10,C¥)O
14,449
13.735
Totsl
27,625
10,000
37,625
EXPENDITURE ON
Charlt8ble activities
Alr￿hOUSe5
Gr￿ts
13.270
5,843
13,270
15,843
13.983
15.082
10,000
Other
6,910
5,910
5,527
Totsl
25,023
10,000
35.023
34,592
NEf INCOME
Other recognlsed gainsllk)558sI
Gainslllc6sesl on revaluation of fix&
355els
1602
2,802
1.958
45.618
3.110
130,5161
18,212
116,2181
N8t movemÈnt In funds
48,220
3,110
130,516
20,814
114,2601
RECONCILIATION OF FUNDS
Totsl fund5 brought fonv2rd
188,tKIo
J,347
690.716
959.063
973.323
TOTAL FUNDS CARRIED FORWARD
236.220
660.200
979,8TT
959.(￿3
The note5 form part of these financial ststements
Page 4

DI￿ Parochlal Charlty
Balance Sheet
31 De¢embeT 2023
Unrestricted
fund
Restricted
fund
2022
Total
funds
Endowment
fund
Total
funds
Tangib￿
In￿stments
206,070
83A67
466,OCKJ
4H733
1%,200
4fj5,OCbJ
466,521
206.076
8W7
660,200
94>,733
931.52t
CURRENT ASSETS
Cash at b*)k
31.148
31,148
28.C92
CREOITORS
Anx)unts faling dueth c￿e
11,0041
1550
NET CURREtrifASSETS
30,144
30.144
27,542
TOTALAsS￿8 LESS CURREpir
U￿￿rIEs
234220
81467
o,*0
979,8n
959,C63
ASSErs
234220
810,2fy)
979,877
959,CQ3
FUNDS
UnrE5tfirAed fvnds
Restrict￿1 fund8
End(AvmentfiJnds
2x220
83,4S7
6602ty)
188,CpJO
80,347
0,716
TOTAL FUNDS
979,8n
959,C63
statrnts%we aFprth•Y bythg Bc*rd and au￿C￿￿￿ for issue cfi 2024 and sVJ￿d cn Is by.
ASHuglws-T
The note5 form part of these financial statements
Page 5

Diss Parochial Charlty
Notes to the Financlal Statements
for the year ended 31 December 2023
ACCOUNTING POUCIES
Basi$ of pr8P8riny the financial statements
The financial slaternents of the chailly, which Is a put￿1¢ tEnefrt entty under FRS 102, have been prepar&l in aCCorda￿e with the
Charities SORP IFRS 1021 'Acc￿ntIng and Reporting by Charrties Staterrenl ef Recomrnended Pro¢1ice applicable to charrties
preparing their accounts in 8ccordance with the Financial Rep¢Jting Standard applicable in the UK Republ￿ of Irej￿d IFRS 1021
leffeclive 1 Januwy 20191,. Financial Reporting Standard 102 'The Financ121 Reporting S18ndard applicab￿ in the UK RepublK ef
Irebnd, and the Charities Act 2011. Ttte financial staknenls have been prepared underthe histor￿81 cost cLvTrvenUon. with the 8xcepti
of invesknnènls which ale includth al m*ket valu& a5 bythe revaluation d Gertain assets.
Incom8
Income is rwni%&1 in Il* Statem8nt rf FSnancialActivth"es (rte the charty ha$ the fund5
Expen(thture
Expenditure Tec￿nI$￿j whèn it has been pakt bythe charty.
Grants offer&1 5ubjeGI to condition$ wfv￿h have nd been rret at ￿ ￿ar end dats are not&1 &8 a cc¥m)thEnt but not as
eKFenditure
Taxation
The charty is exempl from tax charilabk &lNth'es.
Fund accounting
Unieslricted furbds can b8 wl in accordarKewth charit&b￿￿jeGt￿e5 al the discretK)n of ts trus￿.
Restricted fun(Is can only bè u5eA for particular restricted purrN)se8 within ItE L*pcls ofthe ¢harty. Resln¢*on5 arKse wh&) specrfbj by
titdffior LY when funds 8re ffdiswj for particul$r restricted purpc6e5.
Further explanation of the naturts and purpc6e cl each furnl 15 inGluded in Ihe trustees rep)rt.
INVESTMENT INCOME
2023
2022
Rents
Dwk18nds received
Deposit account Interest
6,87S
7.285
6,876
6,831
28
14,449
13.735
TRUSTEES. REMUNERATION AND BENEFITS
Therew*re no trust*5' remunwalkM (* clh¥ benefits f￿the ￿rended 31 Decerrber 2023 ncrf fer year end￿ 31 Decemter 2022.
Trust88s' expenses
Thwe wwe no trustees, expen$¢s pahj the￿ ended 31 Decamb8r 2023 noi for year end￿ 31 December 2022.
COMPARATIVES FOR THÉ STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
fund
Restricted
fund
Endowment
lund
Total
fund5
INCOME AND ENDOWMENTS FROM
Donati(Ms and1gJ*ies
485
Charitable activities
Weekly Maintenance Ccffjtrfbution$
22.33D
22.330
Investnwtt income
3.735
10.OCQ
13,735
Total
26.550
10.0
36.550
EXPEIKXTURE ON
Page 6
continued...

Dlss Paro¢hial Charlty
Notes to the Financlal Statements contlnued
for the year ended 31 December 2023
COMPARATIVES FOR THE STATEMENT OF FI￿Nc￿lL ACTMTIES- Co￿n￿d
Unrestricted
Restrittèd
fund
fund
Endowmenl
fund
Total
funds
Charltable xtivltles
Almshouses
Grants
13.983
5,082
13,983
15.082
10.wo
Olh&t
5.$27
5.527
rolal
24.592
10,ofKI
34,592
NET INCOME
Oiher recognised galnslll¢)ssesl
GaiDsll1055esl on walusti￿ of fixed a55ets
1,958
11,2361
117.367)
116,2181
movement In lunth
722
2.385
117.36n
114,2601
RECONCILWTION OF FUNDS
Tclal funds brcwht F(Nward
187,278
77.962
708,083
973,323
TOTAL FUNDS CARRIED FORWARD
188,OLYJ
80.347
690.716
959,C63
TA￿lBLE FIXEDASSETS
Freehold
property
COST
At 1 j￿Uary 2023 and 31 Decemter 2￿23
405,OlX*
MET BOOK VALUE
Al 31 December 2023
465,000
Al 31 DeC￿ber 2022
465.000
The Alr1￿hOuSe$ and land at Mere's Mouth in pi(¢essiffially ¥*￿1 at 31 December 2007 10 inlrojuce th¥r ￿ue into
financial stateTYEnts as Iheywere ih)th gifts under Irusls.
FIXEDASSET INVESTMETrllS
Listed
investments
MARKEf VALUE
At 1 January2023
RewJuatw)ns
466,521
18,212
At 31 December 2023
484,733
NET BOOK VALUE
Al 31 December 2023
484.733
Al 31 Dec￿￿)er 2022
466.521
Therewe no investrni a55ds out8*Je tha VK.
Page 7
continued...

Diss Parochial Charity
Notes to the Financlal Statement5- continued
tor the year ended 31 December 2023
FIXEDASSET IWESTMENTS- ¢tsntin￿d
Cost or valuaion al 31 Decentsr 2023 is repI8Sert￿ by..
Llsted
Investments
V8luatron in 2020
Valuation in 2021
Valuation In 2022
Valuat￿￿ in 2023
Cost
169,546
45,725
18,212
267,468
484,733
IffixÉd &888t Inv8StnMts had been revalu&Y IheywL4Jld have inG￿ded atthe folasitYJ hY6toica ¢ost'.
2023
2022
C(6t
267.468
267.488
FikEd asset in￿t￿EThts %%w8va￿d cffi an otEn market basis on 31 De￿mber2o23 by ref*et￿e to the pthlishèj li%t price..
CREDITORS.. AMOUNTS FALUNG DUE WJTHIN ONE YEAR
2023
2022
Other craJil¢xs
MOVEMENT IN FU￿s
Net
movement
in funds
At
31.12.23
At 1.1.23
th)restricted funds
General fund
188,000
48.220
236,220
Restricted funds
Extraordinary Repair Fund
80A47
3.110
83,457
En￿o￿￿ent ftJnd5
End0fv￿￿t fund
690.716
130.S161
660,200
TOTAL FUND5
959,063
20,814
979,877
Page 8
continued...

Dlss Parochlal Charity
Notes to the Flnanci31 Statements- Continued
for the year ended 31 Dècember 2023
MOVEMEpif IN FUNDS- Gontlnued
Nd It￿Ent in funds. i￿lud9d in the abo%*are 05 f￿1C￿8..
Incomlng
resources
Resources
expended
Gains and
losses
Movement
in funds
Unrestvlet¢d funds
General fund
27,625
124024
45.618
R8strlcted funds
E￿raordinary Repair FurKJ
10.000
110.000>
1110
3,110
E￿Io￿Tnenl funds
En(kMn*nl fund
130,6161
130.5161
TOTAL FUNDS
37,62S
135.0231
18,212
20.814
com￿ratIveS for movern8nt Infunds
Net
movement
in funds
At
31.12.22
At 1.1.22
Unrestri¢ted fund5
General fund
187,278
722
188,CrfJO
Restricted fund$
Extrawdinary Repair Fund
77,￿2
2.385
,247
Endowmentfun(ts
ErwJtwttEnt fund
708,083
117,36n
690.716
TOTAL FUNDS
973,323
114.2601
959,063
C(niarative net ft￿nI in lunds. included li tl*abtyE areas f￿￿￿..
Incoming
resources
Resources
expended
Gains and
1055es
Movement
in funds
Vnrestrlcted funds
Gener81 fuNJ
26.550
124,5¥21
112361
722
Restricted fund5
Extraordinary Repar Fund
iO.OLN)
110,(N)01
2.385
End￿￿￿ent fftAnds
EndCNM￿nt fund
117,3671
117.36n
TOTAL FUNDS
36.550
134,5921
116.2181
114,2601
Page 9
conlinued...

Diss Parochlal Charitv
Notes to the Financial Statements- ¢ontlnued
for the year ended 31 December 2023
klOVEMENT IN FUNDS. continued
A current year 12 mcnths a￿1 pnor year 12 nYJnth$ G￿nbined th)sitti￿ is &$ fd1V￿..
Net
moven)ent
In funds
At
31.12.23
At 1.1.22
Unrestrlcted fund$
Gèneral fund
187,278
48.942
236,220
Re8trlcte<l funds
Extraordinary Repair FUNI
77,962
5,495
83.457
Endow7nent fuNJs
EndowTrEnl fun
708.083
147.8831
660.200
TOTAL FUNDS
973.323
6,554
979,877
A cuffeni yew 12 mDnits and prior year 12 rrKvrths corrtjined net Mcwer￿n1 m fu(¥Js, in¢ludtrJ in the above a￿ a5 fc41u•ts".
Incoming
resources
Resources
expended
Gains and
losses
Movement
in funds
Unrestricted fund5
Gereral fund
54,175
149,6151
44.382
48,9d2
Restricted funds
Eklr*rdinary Repair Fund
120,OW)
5,495
5,495
End0v4￿&nt fuThJs
E￿I￿rent fund
147.8831
147.8831
TOTAL FU￿s
74,175
169,615)
RELATED PARTY DISCLOSLIRES
ThetywEre no r￿ated party Irans*tK)ns for the yeai ènded 31 Decentsr 2023.
Page 10

Di55 Parochial Charlty
Detailed Statement of Flnanclal Activitles
for the year ended 31 December 2023
2023
2022
I￿OmE AND ENDOWMETr￿s
t10natlo￿ and legactes
Donation$
Investment in¢ome
Rents recew1
Dividends wei
Deposrt ￿)Unt interest
6,875
7,2B6
289
6.B76
6.￿1
28
14,449
13.735
Charltable acttvitie5
Weekly M&inlenan¢e Contnbutions
21.120
Y2,330
Totsl Incomlng resources
37,625
36.550
EXPENDITURE
Charilable activities
Rates and water
lTrsur8nce
Teiephone
Repaits Maintwiance
Resident's Grfts
Con18cI care
Grants lo Instilulh)r
Grants to I￿(1￿1du￿S
1.086
852
420
8.557
38S
1,668
10,1700
5,843
1,140
734
525
7,703
547
1.748
10.000
5.062
2B.811
27,479
Support costs
Management
Clerk's Hworarium
Subscription5
Insurance
Te￿￿One
Postaje aNJ 5tstiorEry
c￿nputer expenses
Tenancy c(ts15
4,100
178
463
120
92
319
124
171
463
120
809
1,415
5.396
6,867
Governan￿ costs
Accountan¢yand k9al fee8
816
246
T(U resourc85 eXpend￿j
35,023
34,592
Net Income
2,602
1,958
Thls paBe does not form part of the statutory financi31 statements
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