FRIENDS OF CIRENCESTER PARISH CHURCH
REPORT AND ACCOUNTS
YEAR ENDED 31 DECEMBER 2021
REGISTERED CHARITY NUMBER 272334

FRIENDS OF CIRENCESTER PARISH CHURCH
YEAR ENDED 31 DECEMBER 2021
TRUSTEES, REPORT
OBJECTIVES AND ACTIVITIES
The Objects of the Charity are to 2SS1St in the care, preservation and adornment of the Parish
Church or any other ancient and historic buildings vested in the Parochial Church Council {Ihe
'PCC'}, together with th&ir goods and ornaments, and to assist the PCC with maintenance
and development of the worship and life of the Church.
ACHIEVEMENTS AND PERFORMANCE
The evaluation of the success of the Charity lies in its ability to respond to requests for funding
of projects by maximising the retum on its investments. The requests cover projects ranging
from major conservation work relating to the fabric of Cirencesler Parish Church lo projects of
enhan￿Ment, maintenance, or repair of the fabric or for other religious purposes in
conjunction with the PCC.
The Charity has normal powers of investment, as contained in the Trustee Act 2000. There
has been no change of investment strategy during the year. Investments are managed on a
discretionary basis by Brewin Dolphin without prior instruction from the Trustees. The
performance of investments in the Charity's portfolio is reviewed regularly with the investment
adviser and discussed al meetings of the Council. The estimated gross yield on investments
held in the portfolio before fees was 1.89 /0 {2020.- 2.680A).
During the year, the Charity's operations were dominated by the support given, both in
administration of funds raised and control of expenditure for the Tower Statues Project. The
Tower Statues Project was managed separately from the Charily. Funds were raised from a
combination of donations from individuals and local organisations and a contribution of
£10.000 from the Lucie Oppenheimer Trust. Total funds raised for the Tower Statues Project
were £27,90012020'. £10,739).
In 2021, grants totalled £125,691 (2020.. £18,327} of which £50,461 were from unrestricted
funds and £75,230 were from restricted funds. The maiorfocus ofgrant supportwas provided
for the preparation and conservation of the Tower Statue niches followed by the sculpting of
the moulds for, and subsequent casting of, the two statues, The total amounts of grants
provided to the Tower Statues Project was £35,266 (2020., £360) from unre8lricled funds and
£75,230 from restricted funds. The Charity has also provided funding support totalling £26,861
from its general reserves to make up the current shortfall in funding
The Charity also considered requests from the PCC for funding of projects and, where
appropriate, provided funds or underwrote the costs of refurbishment work undertaken by the
PCC. The total value of these grants was £15,19512020'. £13,967}. With that background,
the Trustees review the investment policy on a regular basis. The Trustees take account of
both the cost estimates and proposed timing of expenditure of approved projects where
funding has been requested by the PCC to ensure that funds required for approved projects
are available on a timely basis.
FINANCIAL REVIEW
The total of Funds on 1 January 2020 was £930,613.
During the financial year, unrestricted income was almost unchanged at £20,592 (2020..
£21,068) as donations were broadly unchanged and investment inGome did not recoverto pre-
pandemic levels. Restricted income associated with The Tower Statues Project was £27,900.
Page 1

FRIENDS OF CIRENCESTER PARISH CHURCH
YEAR ENDED 31 DECEMBER 2021
TRUSTEES, REPORT
Unrestricted expenditure was higher at £57,511 (2020.. £20,849). The main reason for the
jump in expenditure was the grants made lo pay architects, fees in connection with the Tower
Statues Project., 80D/o of the architect's fees were apportioned lo be settled from unrestricted
funds with the balance from restricted funds. Grants were also made for the cross cabinet
and repairs to the lead gutter bays above the organ, both at the Parish Church.
Our investment manager did not purchase or sell any investment assets during Ihe year. The
Charity's results take account of unrealised profits and losses on investments held al the end
of the year. Whilst the holdings of individual equities incurred losses during the year, these
were more than offset by gains in the values of most of the bonds and investment funds.
Overall, there was an unrealised gain of £116,907 after the value of investments was marked
to market on 31 December 2021. Accordingly, the value of investments held by the Charity
rose to £908,413 on 31 December 2021. Cash held on deposit with the Charity's bankers and
at its investment manager tolalled £55.638.
Total accumulated funds at the balance sheet date amounted lo £963,271 (2020.. £930,613).
PLANS FOR THE FUTURE
The Friends of ciren￿ster Parish Church continue with the plan to increase membership to
provide additional funding. Legacies will also be encouraged to build up capital for the future.
Applications for grants to fund projects are invited from the PCC.
STRUCTURE. GOVERNANCE AND MANAGEMENT
The Friends of Cirencester Parish Church was founded in 1976 and 15 registered charily
number 272334. The current trust deed was last revised in 2012 and duly registered with the
Charity Commission.
Council
The Council is elected to manage the affairs of the Charity and meets on three occasions per
year. The Council shall consist of not more than 20 or less than 18 Members, of whom the
Vicar, one churchwarden and two other members of the PCC togather with the Mayor of
Cirencester lor a representative nominated by the Mayor) shall be ex-officio members, the
remainder to include the Chairman, VI￿ Chaimian and other Members of the Friends who
Shall be elected at the Annual General Meeting to serve for terms of three years. All Members
of Council are Trustees of the Charity.
The Council agrees the strategy and areas of activity for the Trust, including grant making,
investment. reseNes and risk management, policies and performance.
Al the Annual General Meeting, the Members also elect an Honorary Secretary, Honorary
Treasurer and Honorary Membership Secretary who may but need not have been elected to
the Council.
Qualifications
The Council keeps the skill requirements for the Trustees under review and if 2 Trustee
permanently retires, or additional trustees are required, the Chairman invites prospective
appointees 10 attend as observers until the next Annual General Meeting. The Chairman (a
Circuit Judge) and Vice Chairman la solicitor) are responsible for the induction of new trustees
Page 2

FRIENDS OF CIRENGESTER PARISH CHURCH
YEAR ENDED 31 DECEMBER 2021
TRUSTEES. REPORT
which involves awareness of trustees, responsibilities, the governing document, administrative
procedures, the financial statemenls and the history and philosophical approach of the Charity.
REFERENCE AND ADMINISTRATION
The Trustees who served as full Members of Council during the year were as follows..
HH Judge M Gledhill, QC (Chairman)
Mr R R Mullings Ivice Chairman)
Miss A. Anderson
Cllr C Bloomer (Mayor of Cirencester appointed June 2021}
Mr P J Coltey
Mr J E Franklin
Cllr M Harris
MrJ Light
Mrs C Luck
The Reverend Graham Morris
Miss P Phillips
Cllr N Robbins (Churchwarden)
Mrs E Tallon
Mrs D Waddell
Mr C Woodd
In accordance with the trust deed, trustees must stand for re-election after having served for
a temi of three years unless their appointment is ex-officio. Accordingly, Mr R Mullings and
Mr J Light offer themselves for re-election at the Annual General Meeting.
FUNDS HELD AS CUSTODIAN TRUSTEE
During the year, the Charity did not hold any funds as custodian trustee.
PUBLIC BENEFIT
In planning the Charity's activ(ties for the year, the Trustees kept in mind the Charity
Commission's guidance on public benefit at their meetings.
Page 3

FRIENDS OF CIRENCESTER PARISH CHURCH
YEAR ENDED 31 DECEMBER 2021
TRUSTEES, REPORT
TRUSTEES, RESPONSIBILITIES IN RELATION TO THE FINANCIAL STATEMENTS
Law applicable to charities in England and Wales requires the Trustees to prepare financial
statements for each financial year which give a true and fair view of the charity's financial
statements during the year and of its financial activities at the end of the year. When preparing
the financial statements, the Trustees should follow best practice and..
Select 8Ultable accounting policies and then apply them consistently.,
Observe the methods and principles set out in the applicable Charities SORP..
Makejudgements and estimates that are reasonable and prudent.,
Slate whether applicable accounting standards and statements of recommended
accounting praGtice have been followed, subject lo any departures disclosed and
explained in the financial statements and.,
Prepare the financial statements on a going Goncem basis unless it is inappropriate
to presume that the charity will continue in operation.
The Trustees are responsible for keeping proper accounting records which disclose with
reasonable accuracy at any lime the fin8n¢ial position of the charity and enable them lo ensure
that the financial statements comply with the Charities Act 2011 and the provisions of the trust
deed. They are also responsible for safeguarding the assets of the charity and hence for
taking reasonable steps for the prevention and detection of fraud and other irregularilies.
Trustees, Report approved by the Trustees and signed on their behalf by..
an
Date
Page 4

FRIENDS OF CIRENCESTER PARISH CHURCH
YEAR ENDED 31 DECEMBER 2021
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF FRIENDS OF
CIRENCESTER PARISH CHURCH
I report to the Charity trustees on my examination of the a¢¢ounts of the Charity for the year ended
31 December 20? l. which are set out on pages 6 to 12.
RESPONSIBILITIES AND BASIS OF REPORT
A5 the Charity's trustees you are responsible for the preparation of the accounts in accordance with the
requErements of the Charitse5 Act 2011 (theAcV).
I report in resp¢¢t of my exaTnination of the Charitys accounts carried out under Section 145 of the Act and in
carrying out My examination I have followed all the applicable Directions given by the Charity Commission under
section 145(5)(b) of the Act.
INDEPENDENT EXAMINER'S STATEMENT
I have completed my examination. I confirm that no material matters have come to my attention in connection with
the exa￿l￿ation giving me cause to believe that in any Tnaterial respect..
accounting records w¢r¢ not kept in respect of the Charity as requir¢d by section IJO of the Act. or
the accounts do not accord with those records,. OT
the accounts do not comply with the applicable requirements concernin(r the forni and cont¢nt of accounts
set out in the Charitie5 {Accounts and Reports) Regulations 2008 other than any requirement that the
accounts give a'true and fair view, which is not a matter considered as part of an independent examination.
I have no concerns and have come across no other matters in CQTU]ection with the examination to which attention
should be drawn in this report in order to enable a proper understanding of the accounts to be r￿hed.
Ruth Herbert FCCA
k./£ /1416elf
Wettn Townsend
Chartered Accountants
Cirencester
Date..
5 March 2022
Puge i

FRIENDS OF CIRENCESTER PARISH CHURCH
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 DECEMBER 2021
2021
Restricted
Fund
2020
Total
Funds
Unresiri¢ted
Fund
Total
Note
Income and èndowments from:
Donations and legacies
4,301
27,900
32,201
14,785
Investments
Other
16.281
16,281
10
16.942
80
Total in¢ome
20,592
27,900
48,492
31.807
Expenditure on..
Raising fund5
5,708
5.708
4,529
Charitsble activities
49,636
76.055
125,691
18.327
Othei
1,342
1,342
1,993
Total expenditure
66,686
76,055
132,74t
24.849
Nel oalised gains IIIos8e81 on investments
Net unreali5ed gains Illossesl on inv&stm8nls
10
115,0811
56,193
118,907
116907
Net In¢ome I lexp8nditurel
80,813
148,1551
32,658
48.071
Transfer belwEen funds
13
126.8611
26,861
Net incorning I loutgolngl resources befor8 other
recogni$ed 9ains and losses
53,952
121,2941
32,658
48,071
Net mov8m8nt In funds
53,952
21,294
32,658
48,071
Reconcillation of fund5
Total funds bought forward al 1 January
908.569
22,044
930.613
882.542
Totsl funds carried forward ai 31 December
962,521
750
963,271
930,613
The notes on pag88 8 10 12 form part of these acuJunl8
Pag8 6

FRIENDS OF CIRENCESTER PARISH CHURCH
BALANCE SHEET
AS AT 31 DECEMBER 2021
2021
Reslricled
Fund
2020
Total
Funds
Unrestricted
Fund
Ttstal
Note
Fixed assets
Investments
908.413
908,413
791,506
Current Assets
Debtor5
580
750
1.330
35.255
20,383
56,968
760
Cash on dèposit
Cash at bank
Totsl Gurrent assèts
35,255
20.383
56.218
100.657
39.979
141,396
750
Creditors.. amounts falling due wlhin one year
2.110
2.289
Net current assets
54,108
750
54.858
139.107
Totsl assets lèss liabilrties
962.521
750
963,271
930,613
The funds of the Chartty..
un￿tricted
Dasignated
Raslricted
962,521
962,521
908.569
750
750
22.044
Total Charlty funds
962,521
750
963,271
930,613
Approved by The Council on 5 March 2022 and signed on it5 behalf by..
Mi¢hgel GLodhill
Chairman
RiGhard winstan￿Y
The note5 on pages 8 to 12 form part of these a¢tounls
P$g0 7

FRIENDS OF CIRENCESTER PARISH CHURCH
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2021
ACCOUNTING POLICIES
Ba$1¥ of accounting
The financial statements have been prepared In accordance with Accounting and Reporting by Charitie5.'
Statement ol Recommended Practice applicable to ¢haiities preparing their accounts in accord8n¢e with the
Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 leffedivè 1 J2nu2ry
20151- (Charitie5 SORP IFRS10211.
Friends of Cirence5ter Parish Church rneels the definitlon of a public benefrt entity undei FRS 102. Assets
and liabilities are initially recognised at historical Cost or transaction valu8 unless Otherwise stated in the
relevant accounting policy notes.
The Charity has applied Update Bulletin 18s published on 2 February 2018 and does not include a cash flow
st8tement on the grounds that it is applying FRS 102 Section 1A.
Funds structurg
Funds held by the charity are..
Unrestricted general fund$- funds which can be used in ac¢ord8nce whh the Charitable Objects al the
discietion of the Trustee5.
Designated funds- funds allocated by the trustees for specific purposes.
Restri¢tÈd fund8- fund8 which Gan onty be used in a(xordan￿ with the in$tructlon$ of the donors to the
Charity.
Income
All income 15 recognlsed in the Statement of FinanThal Activities after the Charty has entitlement to the
resources, It is certain that the resources will bè ￿ceiVed and the monetary value of incoming resources can
be measured wth sufficlent reliabil&y.
Expenditur8
Expenc1itu￿ is included in the St8tement of Financial Activi119s on an accruals basis. indusNe of any Value
Added Tax.
Grants payable are charged when the offer is conveyed to the recipient except in those cases vthere the offer
Is conditional, sueh grants being recognised as expenditure when the condition5 attaching are lulfilled.
Other costs
Support costs together with the independent exarninerfs fee have been allocated to other costs.
Reallsed gains and lossès
All gains and losses are taken to the Ststerllent ol Finanaal Activthes as Ih6y arise. Realised gains and
losses on inv88tments a￿ calculated as the difference between sale proceeds and the opening market value
lor date of purchase, if latgrl. Unrealised gains and losses are calculated as the drffferenc8 between the
market value at the year end and the opening market value lor dale of purchase, rf lalerl.
Fixed asset Investments
Investments are 8t8t8d at market value as 8t the balance sheet date, The Statem8llt of Financial Activilies
in¢ludes the net gains and losses arising on revaluation and di5P05als throughout the year.
Pag& 8

FRIENDS OF CIRENCESTER PARISH CHURCH
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2021
2 Staff Cvsts
The Chanty ha$ no ernPtoyeeB.
Durin9 the year, the ¢harllw Twstees Wè￿ not paid or rec@ived any other bBngfits from em￿0yrn9Trl wlth the Chanty
12020.. £ni51. nprWeretheYr￿￿bv￿*￿d expenses durfng the year12020.' £nill.
3 Donations and l@9aclÈs
2021
2020
Unrnstricted..
Subscripts'on$
Donations kgacies
3.601
700
4.301
3.446
600
4,048
Restrithd".
Dwatitsns
10,739
1D739
27.900
4 Incorne frpm Charftableactivib•S
2021
2020
5 Investmentincom•
2021
2020
DDHdends- Equities and 1DvegiN￿1and Unil Trugl$
Interesi- Flx& Intere81 s#Jrllles
11.783
4.498
12,500
4.442
Other in¢omo
2021
2020
Intsroslrece￿ed
80
7 Charttable act￿lt[•s
2021
?020
GraDt5 Unre&trlcied Funds.
Patish chur¢h-ArchS18Ct's feBs rè TowerNIth8
Parfshchufch- ¢onir¥tor5' fees reTow*r NIc￿S
Parish chuKh- Cross ¢abinetand lighbng
Partah church- re￿1[$ lo lead roDf
Parish church- Conlribthion tojoinl We￿511e
ParE5h churGh-Archttects fees re NOrth￿Sle
HolyTrinity-Archilect'$ f88¥ re Porch
Parish- 988 supply invoices lockduvm
Partsh- 50% conthbulionto new tomputerlorstreamina servlcey
P3n8h church-sllverclipfor wocesslonai cros
HI￿01 iuwef plalform
31,145
8,965
1.000
771
1.039
7.414
2.683
1.060
360
14.327
49 536
Grantsfrorn Re8iri¢ied Fund5.'
Parish ¢hvrch- Archits¢l'S fees reTowerNic
Paymeniiosculptor reTnsTower Sialues PrLiÈ
Bronz*Ag¢Art Foundry- S¢ulpw￿S
Tran5PDrt of sculpturos
Consultantsfe85
825
19,400
$0,124
5,418
288
4.000
4,000

FRIENDS OF CIRENCESTER PARISH CHURCH
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2021
other costs
2021
2D20
Post, print and stalionery
Promotion and developm￿1
46
152
48
90
895
80
Annu81 General M£èting &xp8nse8
Examining Accouniants, fre
BBnk charg$s
420
726
102
716
80
1.993
1,342
9 Flxed Asset Inv68tments
Y8ar ended 31
D8c8mb8r
2021
Year ended 31
De￿mber
2020
Quotsd Inv8Stments
Market Valu& 811 January
Addillon5
Oisposals
N&1 R&alised Investment (Losses) l Ga5ns
Nel Unrealised Investment IL05se51 l Gain5
791.506
771.435
60.593
181.6351
116.907
56,193
Matket Value al 31 ￿ernber
908,413
791,506
H151orical Cost at 31 December
521,996
521779
(Not& wnllnu8don nextpag81
Psge 10

FRIENDS OF CIRENCESTER PARISH CHURCH
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEIIIBER 2021
9 Flxed Asset Investments leontlnuedl
Schedule of Investments
Holding 8t
31 Dec
Market Value
at31 De
2021
Market Value
at 31 Dec
2020
14,550
Insight Inv FOS UK Gvt ALL MAT BD P2
55,000
Hende150n Global Investment Preference & BD I Inc
16,300
NINETY-ONE Fund Managers Emerging Market5 LC Debt
53.000
Jupiter Unil Trust Managers Strategic Bond
47.974 M & G Investment Management Corporate Bond
150
Maiuand INSTL SVC Ml Twentylour Dynamic BD
850
Roy81 Dutch Shell B Old EUR 0.07
BHP Billiton PLC USD 0.50
Diageo Oidinsry GBX 28.935
8.400
ITV Ord GBP 0.10
1,833
National Grid Ord GBP 0.12431289
16,600 Invesco Fund Managers IP Incom& & Growth Z Inc
13.870 NINETY-ONE Fund Managers UK Equity Income
18.095 Link Fund Solutions Ltd LF Lindsell Training UK Eqty
24,400
MAN FD MGMT UK Ltd MAN GLG Undervalued Asset
37,125
Schri)der Unit TST US EQTY INC Maximiser
255
Vanguard Investm8nts UK Ltd US Equity Ind8X
12,000 JP Morgan Ameiitsn Inve5tmgnt Trust
27
ALCON AG CHFO.04
135
Novartis AG CHF 0.50
14.675 Carmignac Gestn LU FP Europ8an Leader
24.627 BNY Mellon Fund Newton Asian Inc
3,321
First Stats Inv GBL EMG MKtS LDRS A GBP
15,633
32,918
10,766
34,985
19,e13
16.229
14,452
7,329
15,388
7,290
19,760
47,944
18,290
33,459
34.965
26,288
72.810
93.240
1,718
8,769
25.301
29,447
20,949
16.738
33,847
12,218
35,902
20.893
16.505
10.705
8.353
10.793
6.835
15,855
40.297
16.435
30,007
30,280
21.674
58.111
69,240
1,315
9,345
22.174
28,336
19.665
330
375
1.400
Rlt Cap Partnèrs Ord £1
38,710
28,910
4,800
10.313
.49.89
980
Fundsmith LLP Equity I Inc Nav
NINETY-ONE FD MGRS Global Environment K
Pictet Asset MGMT G8L ENVIR OPPS I DY
Polar Capital Fund GBL Tech R Stg ACC
2,900
Swttish Mortgage Investment Trust Ord
12,300 MAN FD MGMT UK Ltd MAN GLG UKABS VAL
16,900 TRITAX BIG BOX REI
474
ISHARES Physical M ISHS PHYS GOLD
11,525 HICL Infrastructure
29,190
17,518
16,375
69,786
37,454
16,851
41.777
12.473
20,537
24,140
15,600
13,867
83,D92
35.206
15.904
28,375
12.834
20,054
908.413
791.506
Ps9e 11

FRIENDS OF CIRENCESTER PARISH GHURCH
NOTES TO THÉ ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBFR 2021
10 Galnslllossoslon disposal of flxed a8$ètSnvestmen
2020
Inveslmenl& sold or redeemEd durin9 Ih$yÈar
Deduct. M8rk&lVAlue a131 DÈcember202012018
81.625
Re81i$edGainl (Lossl
15.080
1t AnatyGJs of current ttSGets
At31
DÈcemkr
2021
At31
DeceM￿r
2020
Debtots
Unt8sttt¢ted
580
580
Resiitie¢l
Inwmelax iety)werab
750
750
12 Analysls of Croditors.. arnounts falllng due within one year
A131
Oecember
2021
A131
December
202Q
LIn￿Sti{C￿d
Accruals
2,289
2,289
13 Charlty FuRI*8
eala￿e at
l JaThuwy
IKofflI
resowces
ResourcK Ga¥Es &
expend8d
6se$
8aiancoat
bBtween lund$ 31 DBcembèr
Note
Unre%lricted funds
Des￿rtated lunds
R8styEct81 fund
908.569
20.592
158,8861
116,W7
126.8fj11
962,521
22.044
27.900
(76.055}
26.8e1
750
è30.613
48.492
963,271
a)The unrestncted tunds 8re aVaIL4b￿ 10 be spenlforanyof thepuiposes ollhe ChaTIty.
blTherewere no de51gnatsd funds during Ihpys$r
cl The restrirted fvnd reprgs8nted Amountslknalwe￿ donatsd tothe Cholty lorih&sok wrposeofTh&Towèr SL*ues ProiÈttt
which ￿MPASed prep3tallon of destqns lor￿placemeThI ￿ta￿eS ol StJohn the Bapb5ia￿ the Wiryin Mary and Child on the
tiw￿[Of P8ri5h Chutch and their subsequent casting and eredion.
Pap 72

FRIENDS OF CIRENCESTER PAR15H CHURCH
DIRECTORY
REGISTERED CHARITY NUMBER".
272334
REGISTERED ADDRESS..
7 Dollar Stoet
Cirenceslef
Glou¢esler8hire
GL7 2AS
PRESIDENT..
The Ead 8alhurst
VICE PRESIDENTS..
The Rl Rev Rachel Trewftrk, BE5hop of GIOU￿$ter
The Ven H Ringrose
Mr K Ronaldson
Major T Wills
CWRMAN
HH Judge M Gledhill. QC
VICE CHAIRMAN
Mr R R Mullings
HONORARY TREASURER
Mr R H Winstanley (resigned 31 Deoembèr 20211
Ms R Herbert lfrorn 1 January 20221 clowenn Townsend
HONORARY SECREfARY
Mis5 A Anderson
HONORARY hAEM8ERSHIP SECRFTARY
INDEPENDENT EXAMINERS
Wenn Townsend
Chartered Accountants
G05dilch House
5 Gosditch Street
Cl[en￿ster
GL7 24G
SOLICITORS
Sewell Mullings Logie LLP
7 Dollar Street
cirenGesier
GL7 2AS
BANKERS
Barclays Bank plc
Chari118s Foundation B8nk
INVESTMENT MANAGERS
Brewin Dolphin Securities Ltd
12 Smilhfiekl Street
London
EC1A 9BD
DATA PROTECTION STATEThfiENT
The Friends of CirenTrster Parish Churth IRegi$16red Chaiity No 2723341 adheres lo the Data Proleclion Act 2018 and GDPR
Yourinformalion wll be checked wlh you regularly lo Ènsure Ihal il 15 kept up lodate. We will continue to contact you frorn litne to
lime ty ernail or post with new5 of our activities and invitations lo ￿levant evants. Yov contact u$ any lime by telephone, èmail
or post. Your details will be kept Ssfe snd seButs and only used by Officer8 Adfflinistralion Staff of the Charity. Your details will
never be pa55ed to anyone èlse including third partie5 lexcepl as required by Lawl ￿thOut first seeking your perm15810n.
Contact.. Aileen Anderson (Hon S8crelaryl. Phone 01285 657110. Email aileenandetson37@sky.com
Pagg 13