REGISTEREO CHARITr NUMBER.. 221621
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JANUARY 2024
FOR
CWELRY OF SMETHWICK
Prim•
Chartered Accountants
161 Newhall Street
Bim7iryJham
83 1SW

CHAPELRY OF SMETHWICK
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JANUARY 2024
Report of th• Tru$tfj••
Indgp•ndent Examln•rfs Rwrt
stst•m•nt of Flnanclal Actl¥ltS••
Balanc• Sh••t
Nots8 ta the Fln*nclal Stst•m•nts
7 to 12
D•talled Stat•m•nt ol Flnanclal AcilvS11
13 to 14

CHAPELRY OF SMETHWICK
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 JANUARY 2024
The Iru3lees pwent their report with tt* financi81 statsment$ of the charity tr the year ended
31 January 2024. Thè trustees have adopted the PfOViSk)n5 of Accwnling and Repth"ThJ by Ch8rities".
Statement ol Re¢¢ynmended Practice appl￿b￿ to Charrt￿ prepanng thw"r accounts in accordance wrth the
Financial Reporting Stand•d applubk in thg UK and Republ¢ of Ireland IFRS 1021 leffg¢tNe 1 January
20191.
OBJECTIVES AND ACTMTIES
ObJ•ctlv•s
Unda¥ the goveming d￿uMent, the c4'8ctN8S are to aftw tho maintenance and upkegp of Smethwck
Church, ts chur¢hyard 8nd w¢arw and to contrt*ut¢ lo*•rds th• sliynd and •xp•nses of th¢ Vicar.
Maln Activiti
The TrLtslees continue to 0￿[￿ee the ats￿ otieds 8TrJ mthe payrnents in further8nce of them, financed by
inve8trnenl income afxl subject lo the PCC'8 sharry some ol the costs.
Publlc b•n•llt
The Trustees ha￿ con$Nrf•red the Charity c￿mIsS￿ln'S guthnce on public ￿n8fft and, in particular, the
specific guidan¢¢ on charrt*$ for th¢ advancement of ￿l￿4￿)rt. The obj8ctives gre of publ¢ benelit as Ihey
la¢ilitat8 the work tho chur¢h in thg adV4￿m￿t of (•lvJkx in t1￿ p8nslL
ACHIEVEMENT AND PERFORMANCE
Ouring the peri¢d under ￿VIeW the chanty contributed £5.383 the NnnirKJ ¢o$18 of the wi￿rage and
£13,114 toward8 tho cos18 of providry v￿<$ $lyeThJ.
FINANCIAL REVIEW
Fln•n¢lal po•ltlon
The In¢ome for the year belore expenses was £83,58912ff23.. È78,9841.
Direct charitable OxF￿dit￿r• ￿￿ftt￿l to £46.08312023'. £58,147>.
The surplus on thè Unrestrthd Gèneral Income Fund lor the yBar *muJn￿￿ lo £31,18S12023.. £16,312).
At 31st January 2024 the net assets of the charity Iotsiied £2.054.328 12023. £2.0S3,5581. This fffjufe
representèd the Permanent Endowment Fund 01 £1.833.26912023" £1.863,685I and thtr Unreslri¢t•d Fund of
£221.05912023'. £189,874).
Inv•stment Pollcy
The invo$tm$nls arg sgk¢tsd for both h)ng tern grty¥th and income to ffinanr4 currenl expenditure. They
have perform¥d satislactMty a9ain$l pc4w.
Re•?rves Policy
Basèd on past experience, the Un￿Stricted Fund is consKlered lo be m8inlained al an 8ppropriale level lo
meet any k7rge repairs or oiher expendrture that ccyjld not be funded of ojrrent incomin9 resource$.
STRUCTURE. GOVERNANCE AND MANAGEMENT
Govèrnlng Docum8nt
Th& Chanty's go¥eming thxum•nt cmipnses lrtdentures of Lease 8nd R*se d*ed respe¢tNety 29th and
30th May 1719 and enLqrged by Acts of Par1￿￿¥nt of 1815 and 1841. It is an unincorpN*ed Charitable
Trust.
Trustee S¢lectlon Method
Trustees are appointed by exi8tiThJ Trustees.
Page 1

CHAPELRY OF SMETHWICK
REPORT OF THE TRUSTEES
FOR THE YEAR ENDEO 31 JANUARY 2024
STRUCTURE. GOVERNANCE AND IIANAGEMENT
Organisatlonal structurn
Investment advice is provided by EFG Harris Alljay. The archrtttt an annual feport on works carried
out lo the church and during the prewou5 ￿ and r¢wnmerKled repairs. Th* is CMSK1e￿d by
thg Trustees each year at their meeting in Juty.
day lo day 8dministrabon 1$ *Ye*8led to Ve* Wasbrough Vr￿r￿S LLP where the sewtary, Mrs Jaime
Hobday. • partner, oversees matters.
Ri8kB
The￿ a￿ no major risks 1dentrf￿d by the Truslees though ihe Trust￿ are aware that the Charitys
inveslmenls are subject lo variat*Jns in t￿ stock market to which the Charty is exposed. These risks are
￿￿Wed annualty by th¢ Trustees with the in¥estm•nt thisor8 who con8tanty monrfor the inv6strnent8.
REFERENCE ANO ADMINISTRATIVE DETAILS
Registered Chorlty number
221621
Prlnclp•l address
Voab Wasbrough VY￿rdS LLP
PO 8ox 3501
Bri$l
BS2 2FL
Tru¥t•
WTHunt
L Mair
J R PvJgott
NLHowl
A R•ason Ir•sNJn•d 19IJr23)
SJDav
D 8 Alkn lappoinled 911r241
Inde￿n￿ont Exarnln•r
J&rerny Kitson FCA
Primo
Chartered Accojnlants
161 Ne%*hall Street
Birmingham
B3 1SW
Pago 2

CHAPELRY OF SMETHWICK
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 JANUARY 2024
REFERENCE AND ADMINISTPATive DETAILS
Ch#rity Name
The Charity's ofigin81 name was tho Charty of Dorothy Pakes in the Parish of Sm8thw￿k.
S•cretary
Mrs J Hobday
vea￿ Wasbfough Vizard¥ LLP
PO Box 3501
Bristol
BS2 2FL
Vl¢•r of Sm•thwl¢k Old Church
Rev Sara M¢Jor8
Bank
Lloyds Bank Pk. 114-116 Cdmr• Rv*, Birningh￿, B3 38D
Sollcltor8
v@a￿ Wasbrough Vizards LLP. PO Box 3501. 8nBtd, BS2 2FL
Archltect
Donald Insèll A88OCiate¥, Hartx)me Court. 67-69 Ro•J. Ed9ba8lon, Biminghwn
815 3BU
Stockbrokern and Inve•tm•nt Advls•rs
EFG Harris Allday. 33 Greal Charles Stra8t, Birmirth•m. 83
Approvgd by ordw of thg board of trustees on...
Pagè 3

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
CHAPELRY OF SMETHWICK
IrFdependent examirserfs MFK>rt to the trustoos of Chapelry of Smethwick
I report to the charily trustees on my examinatKsn of the accounts of Chapelry of SMethW￿k {the Trust) for the
year ended 31 January 2024.
R•sp0rtsibllltl￿ and basis of r•port
A$ the thwrty twslees cl the Twst you are re¥￿$.*)1& fN the Pre￿rat￿ clthe a¢c¢unls In ￿l￿anCe wlh
the wuirem¢nls of the Charthg$ Act 2011 Ilhe AL#'I.
I report in r8sp8cI of my ex8rnin*ion of the Trusf$ ￿untS carr*J out untsr Sectw 145 of the Act and in
carrw'rrfJ Out my èxaminalK)n I have lolk>**d *1 appl￿abkn th.ro¢th￿s gNen by the Chorty Cunmission und8r
Section 1451Sllbl ol the Act
Independ•nt examinerfs statement
I have completed my examination. I confrThn thal no material matters have comè to my attent￿ in connection
with the examination giving me cause to tdkwe that in any material resffj..
accounting re¢ord5 were not kept in respect ol the Tru¥l as rnquired by s•¢1￿ 130 of the Act,. or
the ￿C￿ntS do not accord with those records.. or
the a¢￿unIS do not clyn￿Y wrth Ihts appl¢ab￿ fwu1r￿ents ¢onc•rning th& fcrfm and content ol
account$ set out In the Charit￿8 (Accounts 8nd Reports) Re9uf8t*)ns 2008 other Ih8n any wuirement
that the accounts give a true and lair whi¢h is not • mattgr ¢on$id•red •$ part ol an independgnl
min8lion.
I havg no con¢ems and have come 8crc4$ ro other rnatte￿ in C￿n￿l￿)n ￿th the 8xamination to which
allenlion should be drawn In this r•F#yI in ordef lo •nabl8 a propar understanding of the accounts to bg
rexhed.
Jeremy Kitson FCA
Prime
Chartered Accountants
161 Newhall Street
Bimingham
B3 ISW
Date.. 15 Ooctober 2024
P8ge 4

CHAPELRY OF SMETHWICK
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 JANUARY 2024
2024
Total
fund•
2023
Total
lund$
Unrestn"¢t8d ENIo•*Yngnt
fund
fund
INCOME AND ENI)OWMENTS FROM
Investment income
Other inwne
.195
3.394
00.195
3.394
76,069
2,915
Totil
83.589
78,984
EXPENOITURE ON
Charitable adivrt
Charitable actbvltles
Church and costs
49.374
13.590
62.964
58.147
Other
8.700
8.700
7,900
Totsl
58.074
13.590
71,664
66,047
Nel Wn￿{10$8￿$I on investments
5,670
118.8261
1147.2491
NET INCOMEI{EXPENDITUREI
31.185
130.416)
1134.3121
RECONCILIATION OF FUNDS
T￿1 fund8 brought fop*ard
189.874
1.863.685
2,053.559
2,187,870
TOTAL FUNDS CARRIED FORWARD
221.059
1,833.269
2,064,328
2,053,5S8
Surplus ond Deficil Accourt 988
Posting discreponckx were I￿n0 in the r•sepm x¢ounls listfjd bekx. This is b8caus8 the brought forward
poslings in the current year are not eqLF¥I to the loures camed fo￿Ard by IRIS at the end of Lg81 ￿1. P￿88e
¢heck your postings in the brought forward attounl I￿ the surplus a￿j deficrt account ￿.
Unrestrrt&
funds Total fund•
Brought loThvard . 96811
189.874
189.874
Cariied fomard
189.873
189,873
Difference
P￿t lo ￿l￿ant a¢counts18ee UCHA chart ol accounts further deta￿8)
The notes form pert of these finan¢HI statwnenls
Page 5

CHAPELRY OF SMETHWICK
BALANCE SHEET
31 JANUARY 2024
2024
Total
funds
2023
Total
funds
Unresln"ctwJ Endowmonl
fvnd
fund
FIXED ASSETS
Tangible assèts
Investm¢nts
6.211
1,823.266
13.660
1.930.561
15,347
1.953.242
107.295
114,744
1,829A77
1,944,221
1,968,589
CURRENT ASSETS
Cash at bank
108.378
3.792
112.170
86.967
CREDITORS
Ami)unts falling due within one
{2.0631
12.0631
11,9981
NET CURRENT ASSETS
106.315
3.792
110.107
64,969
TOTAL ASSETS LESS CURRÉNT
LIABIUTIES
221.059
1,833.289
2,004.328
2,053.558
NET ASSETS
221.059
1,833.269
2,064.32
2,053,558
FUNDS
Unrestnct•J funds
Endowment fvnds
10
221,059
1.833,269
189.873
1,863.685
TOTAL FUNDS
2.054,328
2,053,558
Th•
In8n¢l l Ststements were gpproved by th• Bowd cl auth￿1￿1 for 148uo on
.. an*J wer8 $wJnod on its behall ty.
The notes fwn part of these ffinanC￿ statwn
Page 6

CHAPELRY OF SMETHWICK
NOTES TO THE FINANCIAL STATEME1￿s
FOR THE YEAR ENDED 31 JANUARY 2024
ACCOUNTING POLICIES
of preparat5on
The linancol $18temenls of the ¢harty. which is a public benefrt entity undef FRS 102, have been
p￿pared ifi a¢¢ordan¢& with the Charit*s SORP IFRS 102} 'A¢¢ounling and Reporting by Charities..
Statement ol Re¢ommend&l Pra¢ti¢¢ applicable to ch8rrtw prepanng their accounts In accordat7ce
wth tho Financial R¥porti'ng Standard ¥pplicaJle in th• UK and Republic of Ireland IFRS 1021
leffective l Janu8ry 20191,. Financial Reportiro Standard 102 The Financkal Reporting Standard
appbcablè in th8 UK and Republic of I￿￿n¢J. and Charthes Act 2011. fi'nancial statemènts have
een prepared under the historical cost convention, wpth the except￿￿ of nveslments whKh are
included at Ma￿et vglue, as mOdrf￿d by revalualvJn of certain assets.
Flnancl•l ffjportlng standard 102- reduc￿ d18c1￿u￿ •x•mptions
The charity has taken advantage of Ihe folthn9 disclosu￿ exemplw in pr¢parirwJ th988 finon¢ial
statements. a8 permrthd by FRS 102 The Financwl R•portiNJ Stsr#larf applKabl8 in the UK and
Republi¢ of Iwkgnd,:
the rfjquirem•nl$ crf Se¢tKin 7 Stat•rnnl of Cash FIM.
In¢ome
All income * r•¢¢gnMed in Ihe Stat•ment ol Finwoal ActNitie# onc• the charty h85 ￿￿t￿Mont lo th
funds, it IB probable that the income will be rec•N•d and the amourtt can be me•8urfjd f•liabty.
Expendbtur•
Liabilrties are reeoanised as •xpenditur• a8 as Ihem 18 a leg81 or wi8lnKtNe c*)IkJ8lion
committing the charity to that expendrture. it ts probabl8 that a transfer of economic ben¥fits will b•
required in sett*menl and Ihe amount of the obl(qath)n can be me8sured reliabty Expenditu￿ 1$
accounted lor on an accruals basis and has been ckssif*d under headings that ag9rogate all cost
related lo Iht category. Where costs tanncl be dir&tty attnbuled lo partKuL•r headings they have been
alhxatgd to gctivf(i¢$ on a basis ¢onsist•nt wrth the Use of res¢wrces.
T•ng5ble Ilx•d •M•t•
T8ngible fixed assets are $tated at cosL
Flxed As•¢t Inv•stmMI•
Th8 Inve$lmenis •r• Included ¥1 mark81 valu• al the y*•r •TrY. Gains tssas are included in the
Statement of Financial ActNrtw.
Taxatlon
The charty is exempt from tgx ￿ rts chfjn￿e actNrties.
Fund Jccountlng
The unrestr￿gd Fund ￿preSentS funds that th8 Irusle•s are fr99 to use In wdance wlth the
objects. The Permanent Endrhblnent Fund Tepresenls those a58et$ wh￿h must be held pemi8nently
by Ihg chaity. Income 8ri8ing on the endNment fund in accordwc8 wlh th8 objects of
the char¢ty and ￿ included as unreStr￿ted income.
PaJe 7
¢ontintxed...

CHAPELRY OF SMETHMCK
NOTES TO THE FINANCIAL STATEMENTS- continu•d
FOR THE YEAR ENDED 31 JANUARY 2024
INVESTMENT INCOME
2024
2023
Rents r8¢eivable
UK listed investments irwne
Interest on Church of England Deptssrt" Fund
82
75.984
80.195
80.19S
76,069
OTHER INCOME
2024
2023
Grant from the Listal Places crfworship grnrt sth•m•
3,394
2,915
TRUSTEES. REMUNERATION AND BENEFITS
There were no trustees. remunerat￿ ￿ clher benofrt# for the y*•r end&4 31 January 21r24 r￿r for tha
ytar ende(131 January 2023.
TrustM•' •xp•n••s
Thgre were no Irusl•8s' expen￿ pa￿ for th• y•ar ￿d•d 31 J8nuwy 2ry24 ror for th• year end•d
31 January 2023.
COMPAIIATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
unrestric￿ Endtr•mient
fund
fund
Total
lund8
114COME AND ENOOWMENTS FROM
Inv¢8tmgnl Inc
Other income
76.C69
2,915
76.C69
2,915
Total
78,984
78,984
EXPENDITURE ON
Charltablè a¢tlvltl••
Church and vi¢arage costs
49.819
8.328
58,147
7.9(K¢
7,900
Total
57.719
8.328
66,047
Nèt gain8llkMesl on investments
14,222)
1143,027)
1147,2491
NET INCOMEIIEXPENDITUREI
Transfers betw•en funds
17.043
1731)
1151.3551
731
1134,312}
N•t movwnent in lund¥
16.312
1150,624}
1134.3121
Page 8
continued...

CHAPELRY OF SMETHWICK
NOTES TO THE FINANCIAL STATEMEPffS- continu•d
FOR THE YEAR ENDED 31 JANUARY 2024
COMPARATIVES FOR THE STATEMENT OF FINAPKIAL ACTIVITIES- contlnuod
Unreslricled Endry￿￿￿1
fund
fund
Total
funds
RECONCILIATION OF FUNDS
Total funds brought forward
173.561
2,014,309
2,187.870
TOTAL FUNDS CARRIED FORWARD
189.873
1.863,685
2,053.SS8
TANGIBLE FIXED ASSETS
ImproNYn•nts Ftttures
Ffee
lo
and
prcwty prc￿￿1
fittin95
Tota18
COST
At 1 F8bruary 2023 and 31 January ￿rI4
8.211
11.244
4A73
21.928
DEPRECIATION
Al l February 2023
Charge for year
2,108
1,687
4,473
6,581
1.687
Al 31 January 2024
3.796
4473
8,268
NET BOOK VALUE
Al 31 January 2024
0.211
13,660
At 31 Januory 2023
6,211
9,136
15,347
The cos¢ of Froehoky Prcpety i• made up of the fthrvj..
Fre?￿d Lqnd at SmethwKk (Ir￿1￿￿1ng Church and Church H811. The Church Hall 18 knNn
a$ Ihe Dorothy Pathes Centr• WKI is18t on a gruJnd190891
Freehcld VKArag8
S.702
6,211
Smelhw￿k Church Ibuitt 17231 has nol been caprt81ised a8 re10b￿ co81 inftrmalM)n 18 not
available and convent￿n￿l valuatbJn 8pproxhes 5rfi¢*nt relkqbilty.
P￿9
t￿tinUed...

CHAPELRY OF SMETHWICK
NOTES TO THE FINANCIAL STATEMENTS- contlnu•d
FOR THE YEAR ENDED 31 JANUARY 2024
HXED ASSET INVESTMENTS
Listed
investments
MARKET VALUE
Al 1 Fabruary 2023
Addit￿nS
D13posaL%
Revalualws
1,963.242
9,948
19,7491
122.8801
At 31 January 2024
1,930.561
NET BOOK VALUE
At 31 January 2024
1 M30.$61
Al 31 January 2023
1.953.242
Th•r8 were no in¥B81mgnl assets outskje the UK.
The folk)w'ng hokjings eKh comprise more than 5% ot the martet of the inve8tmtnl portlol
#nd aro ¢on8idered by the Trusle8s to be indN*dualty material.
Holdin9
Ma￿•t Valu•
31.01.24
Thg Central Bowd of Finance of the Church of
ErKJland
698,801
Inve8lmenl8 affj to the folknmry lund8:
31.01.24 31.01.23
UnW$tr￿1¥d Gen¥ral In¢ome F￿d
Pemianent Endowment Fund
107.295
1.823,266
101,626
1,851,616
1.930.561
1,953.242
Pa3e 10
continued...

CHAPELRY OF SMETHWICK
NOTES TO THE FINANCIAL STATEmETr￿s- contlnued
FOR THE YEAR ENDED 31 JANUARY 2024
CASH AT BANK
2024
2023
UnrestrtW ￿rnianent
General End¢yMnent
I￿Nne Fund
Fund
Total
fvnds
Total
funds
Lloyd$ Bank plc
Thg Central Board of Financo of th8
Church of Erybnd Deposit Fund
EFG Harns Alklay Clienls, A¢¢ounts
107.047
2.240
109,287
82.984
2(KJ
1.131
200
2,683
2DJ
3,783
Tdal
108.378
3.792
112.170
88,967
CREDITORS.. AMOUNTS FAWNG DUE WITHIN ONE YEAR
2024
2023
Other creditors
2.063
10. MOVEMENT IN FUNDS
Net
At
31.1.24
A¢ 1.2.23
In fvnd$
Unrestrlctod funds
UnfftslfKled Gener￿ Income Fund
189,874
31.185
221.059
Endowmènt funds
Pernianent Endowment Fund
IW,685
130,4161
1.833.269
TOTAL FUNDS
2,053.WJ
769
2,064,328
Net M0￿ment in funds, included ￿ th 8t￿0 are 88
Inc(Yning Rgsources
rewuices
expended
Gain8 and Movement
los$¢$
in funds
Unre$trlct•d funds
Unrestricted General In￿ne Fur
158.0741
5,870
31.185
Endowment tund8
Permanent En(1?￿￿8￿ Fund
113,5901
116.826)
130,4161
TOTAL FUNDS
83.589
171.8641
111.1561
769
P&3e 11
continued...

CHAPELRY OF SMETHWICK
NOTES TO THE FINANCIAL STATEMENTS- tontinugd
FOR THE YEAR ENDED 31 JANUARY 2024
10.
MOVEMENT IN FLINDS - continued
C¢)mparativ•8 lor mo¥em•nt In fund#
Transfers
At
31.1 23
At 1.2.22
In funds
funds
Unr08trl¢t•d funds
Unrestricted General Income Fur¥J
173.561
17.043
17311
189,873
Endowment lunds
Permanent Endo*Yn8nt Fur
2,014,309
1151,355)
731
1.863,685
TOTAL FUNDS
2,187.870
{134,3121
2,053,558
Compar81iv• n•t movernent in funds. irK*Jfjed in tho atrth? are as folM."
IncAynitvJ Re80urce8 Gains and Movement
in funds
Unwtrl¢t•d lunds
UnreslrKled General Incc¥n• Fund
78,984
157,719)
14,2221
17,043
Endowrn•nt funds
Pern1a￿nt End¢)wmenl Fund
18.3281
1143.0271
1151,355)
TOTAL FUNDS
78.984
186,04n
1147,2491
{134,3121
11. RELATED PARTY OISCLOSURES
During the year Ihe chonty poNJ £8.700 12022.. £7,860) lor odmin*lr8lNe work supplwd by Vga
Wa$brough v￿ardS LLP, a fimi in wh￿h Ihtr Becretary of tha chorty ts a partner. At the year end Ihe
bgLqnce owing lo Veale W8sbrough Vizard$ LLP was ÉNil {2022.' £Nill
P4¢ 12

CHAPELRY OF SMETHWICK
DETAILED STATEMENT OF FINANCIAL ACTMnES
FOR THE YEAR ENDED 31 JANUARY 2024
2024
2023
INCOME AND ENDOWMENTS
Invegimont Incom?
Rents receivablg
UK listèd investmonts wKc¥ne
Intere51 on Church ol England Deposit Fund
82
75,984
80,196
80,195
76,C69
Oth•r Incom•
Grant from the Li51ed Pl￿¥ of Wwdhp
grant xheme
3,394
2,915
Total 5ncornSng mour¢
83,689
78,984
EXPENDITURE
Ch•rltable actlvltl••
Vicarage expenditure
Church and Churchyard exp•ndrtur•
Insurance
Charrty bread. gaments and biW -
Sm•lhvAck Okl Church Icontributw)
Vicarfs stipend and employers, NIC
leonlributionl
Improvements to property
Deprecwtion of lixtuw and frttingB
10,831
16.786
6.S35
1,372
37,149
6,875
200
13,114
1.687
1,179
1,687
55
47.953
48,517
Support costs
Oth•r
Logal and profegsxmal fe88
Accountancy
Investment manag•nent fe•8
8.700
7,871
826
8,328
13,59D
23.186
17,025
Governanc• c￿¢•
Independent ex8mit)81
525
505
Total resour¢8$ eXF•nd8d
71,664
66.047
Not Incom• b•for• galnB and Iomos
11.925
12.937
Reo11sed re¢ognbed galn$ and k•s8•8
Carried fO￿ard
11.400
12,432
This page does not fomi part of thè Statut￿ finarKial statwnents
Page 13

CHAPELRY OF SMETHWICK
DETAILED STATEP4lEiif OF FINANCIAL ACTIWThES
FOR THE YEAR ENDED 31 JANUARY 2024
2024
2023
R•all$•d recognlsed galns and loss•s
Brought forw8rd
GainslLosses on fixed 8sset investments
11,400
111.1561
12.432
1147,2491
Net incorn•1lex￿ndltuf•I
1134,3121
Thts page not form part ofthe statutory financi￿ statements
Page 14