RECL%fERED CHARrrY NUMBER: 298111
Rryort ofthe Th￿te¢S *nd
FID*￿￿*7 Stst¢ments for the Yar EDd¢d 31stlle¢¢mber2022
for
John's Trw Chlehut¢r
She¢D stiC￿8￿d
7 East Pallant
Chichcster
Wesi S
)19 IIR

St John's Trn8¢ CTricbe4t¢r
Contents of the FiD#nciai Ststemetyts
for the YearEnded31st DttNemlxr 2022
P*
Report of the Truste¢5
I to 4
Independent Ex8mtll¢r's Rqjort
St•temeDt of FItt*DcixI Aetiviti
]an¢¢Sheet
Notes to the Flnxncial Ststernents
8 to IS
Detalled Ststement of Finaneigj Aetivitl
16

StJohn's Trus¢ Thithatsr
Report of the TTUStees
for the YeAr Ended 31st D￿ber2D22
The bwst¢&% present their reiK¥t with the finanua] 5tstements of the clwity for y¢ar eaded 31s1 D￿￿￿ber 2022. The
trusk&8 have thpted provisio￿ of AceA)m)ting arb4 Repxhn8 by c￿￿ritIeS.. Statfanent of ReeommcT¥Jed
applicdble to chaTiues prepariog their acco￿ts ID aC￿rd￿ with the Financial lit￿lting Stsndard 8pplic4ble in the
UK and Repub]ic of Sreland (FRS IU2) (effKts"ve l 2019).
OWECTIVLS AND ACmlTILS
By the S¢hemc of June 21K>9 th¢ Obje¢ts ofthe newty chty lo furthw the rdiwu5 aDd other eharitabl¢
work of the ChuT¢h of E4]gland iu th¢ Pari%hL% and thceXtra-p￿￿ are&
working in co4iuD¢tiott with oll those Chu￿be$ r¢wgnised 05 Pwt of the To8edwitL Chich&q
undertakit)g swh ¢baritable WO￿ withkD the City of Chichester as the￿￿*￿S drtemiirt¢ ￿t￿iT
dis¢retio
INVEsfMENf POWEIL8 AIYD REsfRicfioNS
Thc inv￿1M¢nt powers of the truste¢s &e ]aid down by s¢8tutq t¢ing no speofK C4)ntsined within the
Schem¢ of Arran8￿)¢lll of 2(￿ orthe tked of AdministratK)n 2009.
AC.HIF.VEMEPff Af4D PERFORMANCE
This charity two pmperty int¥¢8ts.
62 Sw&Dndd Drfv% aklcbester, is joindy owned with Tr PCC of the prish of & Panc¥&q 4T￿ St John and in the
custodian Tn￿leeShjP of chlcheffj￿ Diocesan Fund and Bc*rd of FtD8nee. The p￿ptsty is well maintained. rernai
under quinquenni81 itispection and is in brodty 8A¢isfa¢tory wndrtiorL The proptty is usa as x￿n￿Odatlo￿ by
appmv¢d staff of the pgrish o f St And Si John. If it is Mt for thatpwpos¢tk PmFety is leL
The S¢ John's H811 in St John'J Street (J￿h¢S1¢r is ktyt in ￿L￿nable rep8ir. The tnths have made the Hail
available to Chithester Foodbank. They beli¢ve the le&8e to the F￿dbank 5atisfi&s the ObJ￿t of using the Tesource for
the benefit of th¢ people of Chichester. Gratsts have been to th¢ Focdbattk to install heating and to undpJtak¢ other
essenti81 work.
The tr￿Sle￿ have mth grants ￿ the HEART Proj￿1 (£9A)01 St Wiifrid'$ PCC {£IIOOO ptyable qu8rtttly
OV¢T 3 years), O)nfide cOu￿U￿￿ (£10.800 ply￿1¢ quknrly OV￿ 3 ye*rsX and 0￿[LI {£2,W payable in
2 instalm￿ts in 2023)
PUBLIC BENEFrr
The ttustees eonfwm that thry bJv¢ Tewd to Pth I Section 4 of th¢ awiti¥ Art 2011 and the Charity
Commi￿]0n,S 8uidan¢x OD public bthefit in d￿ld￿K p&tivities th¢ ajarity shou]d undertake. Th¢ guidance makes
it cle8r that what consiitutC5 the pubiic will vary de￿dItI% on the dthritys purp)w l￿d Én¢lude beneficiaritts
defined by geogrdp￿c4l 8re& Any Testriction must by ration￿ re&YJnable and ju8tifiabl¢. The tsustees are satisfied that
whil¢ the charity has a naTrow 8eogrnphl￿j restriction Tts obJ￿ts 8nd activitie5 •Jr suffiCien￿Y wide to constittrte
public ben¢fLt ID thatthe madc are forthe bolefitof a wide sedi¢)0 of the public inth¢ gwaphi￿
FtNANCIAL IiKVIBW
Financial positiTrn
The net mov¢m¢nt in funds thi5 amo￿ted ts) a dcficit of £210.310 (2021.. £137.735 sw)lus) for the ye4r. Ihis
consists of a net loss on investtnents 01£241.796 (2021.. £136.840 Det gain) gaiD5 on the tevduation of r￿ed assets
of £41,686 {2021.. £7,187). Tots] fund balaTJces &n1)￿l to £1.816,604 (2021.. £2,026,914).
Investment policy and objectlv&s
Th¢ charity has an inve5ttneni w)rtfolio worth £1.195,827. The are itive￿ed in a we]1 spread porrfolio with the aim
of producing a balallce between in¢ome receipts •]d ¢apitsl ￿014th. The InLSte# rg4uire their investment advis￿5. JM
Finn & Lo Ltd. to look foT inycstments and maintain the w)rtfolio in sound leading stoGk5, Wtth tEliable income Stre2n
and strong balarlce sheets capable of weatF*ring & difficuli perityl. Ethical Oxtslde￿tl0nS ar¢ tsken itito ￿Qu[It when
detemiining Investment strategy.
P82¢ 1

St Johll's TnL8¢ Cbichtstrr
Report oftheTrnste
for the Year Ended 31st 21n2
RISERVES POLICY
At 31 De¢eTuber 2022 the cbarity bad fRe rès¢rve5 totsl]iDg £1228.912. The inc4Jll)e arisiD8 ftoD) th¢5e Teserves is more
than adequate to meet the expendittJTe rquIra￿Qlts of the ￿lty for the fo￿5￿￿]e fith
The truste&8 eontinue to review th¢ use of a%sd5. Grdnts will wnttoue in furtheratt(% of the miswn of t
Church Is pwvided in th¢ governin8 do¢umellts of wbich the l•t¢5t we th¢ &hcme of the C*8rity Commi*sion and the
D¢ed of Adminislratio4 b)th of Julle 2009.
]n 2019 th¢ trustttJ emba￿￿ on a projed b) refu￿1$h the Fowurt thapel with Aview to trsnsferying it to
thc Church¥ conse￿all￿rt TTU5L Becaus¢ of market unLZrtainti&s r¢sultso8 from the COVID 19 p8nde4niq the truste¢s
put this project on hold in 2020. At their Oetyber 2021 mtttill8 thc trustett de¢xded to resrart thc project with i view to
submittin8 a planDin8 appli¢ation in J8nu8ry 2022. Dwtllg 21122 PlthniD8 Approv￿ and List•J Buildll￿ Cottsent wer¢
t¢¢eived from Chichester District CouDcil. The truste¢s. with the supFrf)rt of Haryington Design ArGhitects implelllented a
rigorous selection process whieb resulted in DBR Limitd beitig appointed to cwry out the ￿f￿¢b]Sh￿lcnt wot* for
fixed price of £153,947 excludthg VAT. Work is pla0￿￿1 to E*8in ID March 2023 aDd to 1881 for 17 wttks. The cost of
the WOTk% will b¢ met from existing inv&stm¢nt futth.
INDEPEf4DEN'f EXAMINER
The independ¢nt exaTniner, Mr Paul Wrighi a of Shm Sticklarf has expres*d a willingn¢ss to LX)ntinue in tht
tsffirx of indepujdent examinw for the n¢xt yur and a Twlution to rtapp)iDt him will be proposeAJ at the next Tntstces,
meeting.
STRucfuRE, GOVERNANCE AND MAf4AGEMENT
Governing do¢MEnent
The Charity is contmlla by its 8overning ¢&joJ￿( a d*1 of attd coDstititt¢9 an unincorporated Ch8Tity. The
Charity was ¢reatsd by an Art of Pwliament in 1812 and waried by a S¢h*De of Atrthgement of the Charty
Commission. Arisin8 from that Sckne compla&J on 9th Nove4nbu 1978 tbele were ttvo ctwities E(sth rt81st￿ed with
the Charity CoDimission with registration rtwnkn..
Church Hall
Charity for E￿Ie512$t1¢al
numixr298111
umber298112
Undcr a further Schem¢ of ATraDgan¢nt of the Charity datol 2￿)d June 2￿9. tk clwiti¢s were
amai8amated into one uttdtr th¢ r¢gi9tr8tion nutnber298111.
With adw¢e from their legal rcpr&8entsliv¢ Alexander Andery)n of WitikTh)rth Shenvc*)d LLP, and thctr financia]
adviser Pwl Wright (pf She¢n Stick18nd LLP thc trLL8tees ¢on5idered whth to conv¢rt to a Ctsritable InLY)rp)rated
Organisation (CIO). A decision w&8 rnade to p￿￿ed and an application was m*le b the ajarity Commission on 23
JaTLuary 2023. It 1$ intended that the t￿¢ of the CIO wll E* Stiint John's Tn￿ChIchtt￿tx.
The Clerk lo th¢ trustees is Mr S H Hollowy. All Tegard￿ the thinistration of the th8tity should b¢
sent to the principai adthess.

St John'sTr￿4 Chlehester
Report of the Trnsle¢5
for tbe Y¢arElldul 31st Drtemljer 2022
RecrnitmeDt and app(thttDent of new tn15tees
T￿￿te&S are appointed un(kr the ternjs of the T[￿rt de£d. There mu51 ￿ 8t six tn]stee5 and all tlust￿ 5haJl hold
office for a m￿]muM of three years. The maximlltn number of trustees sbau be twdve. One third of kn¥ste&s sball rettre
by Totation eath yw at the Annuaj Ge41ernl h&etin& a]tknu8b tr￿le&S sbau be eligible for reappoititmenL Those
$decte4 to r¢tir¢ shal] either be tib)se who have beld office for longtst Ftti¢JJ or shall be selected by lot. Tru#ee8
tnay b¢ ￿0￿Enated or ¢troptsJ follo
up to thJ%e Dtsminations by the tkan aThl (all of*th Should be of Habits￿ Wornhippet3 Ot th¢
Cathedral)
one nomi[￿110￿ by and froro th¢ City CcoJDcil of thiL*
up to fow nomit)8¢io]k% oDe by aDd from cach of th¢ City Parithes, (all ofkn shoum beofHabibJol
Worshippers in th¢ respertive parishes fiom whith they are nominated)
up to fow trwtees to be ctropled by thCothertrUst￿ PROVIDED THAT th¢witikntht of any su¢h
Full inductioD Jnd training is provid¢4 to r£w tru51¢a.
RLsk mana%trnent
The trustets have reviewed and assessed the risks relatin8 to th¢ OT¢ Satisfied that they have taken a]1
reasonable steps to limit or pmvide CLJverfor the major risks. This matterwill t¢ kept wider wuing review.
REFEREiYCE AND ADNitNisfRATIVE DETAILS
Regisiered Chgrity number
298111
PrincipAI 8ddres8
The Royal Chanty
C&thedra] Cloisteis
Chichest¢r
West Sussex
P019 IPX
Trustees
Mr M Dart)y (¥¢si8ned 6.6.22)
The Very Revd S J Wain¢ {KS1￿ 23223)
Mrs C Jattles
Mrs S Chittleburyb (Te5igned 17.10.22)
Cllr A Scicluna
Mr RKidd (appointed 7.6.22)
Nfr D Stevens {8PPOinted 26.4.22) (reSi￿d 232.23)
Mr RAshby (appointed 18.10.22)
Nfrs MHeald
Independent Examffiner
P E H Wrishi FCA DChA
She¢n StiGkland
ChgJteTcd Accountants
7 East Pa]1gnt
Chithestcr
Wast Su$5ex
P019 IIR
Page 3

StJohn's Trugl Cblcb
Report ofthe TrnsteÈg
for theyear Ellded 31st December 2ff22
REFERENCE AM) AD￿lI￿srRAT1vK DETAIIS
Clerk
S H Hollovthy
Bankers
BaTelay5 Bat)k ple
74n5 Fast Strttt
Chichester
West Sussex
P019 IFtR
Invutment #dvije
JmFir￿&Co
25 CopthThil Avmu¢
L4ndon
EC2R7AH
Approved by ordu of the boArdof tru¥te¢son....
. SNI siw*d c& its beh81f by..
R, 4 ILJI
Mr RKidd- Tnthe

IDdependtot Exa[nine￿S Report to the Tn￿t￿ tsf
S¢Johll's Tr￿& Chichester
Independent eumitler's report to the trustees of St Jol)D's Trus¢ Chiche%ter
l ￿port to the ¢iwity tru￿t&S on my of the aLX(wllts of St John's Trus4 c￿CheSt￿ (the T[￿St) for the year
ended31stDec¢rnb¢r2022.
RespoTrsibilitie8 and bg5is ofrepjrt
As the chaTÈty tn]stees of the Tn￿l you ate wtspmsible for the prepthith) of the aCaM]nts in with the
wirtmorts of the (kniti¢s 2011 Cthe Acfj.
I report ill tasp¢c¢ of my examination of the Tr￿￿$ WL4Mmts carrie4J out undcr S￿t￿n 145 of the A(* and in callyin8 Out
my ¢xami￿on I bave followed au applic4ble Di[￿li0[L8 by the Chwity Con￿1]Ssion under Se£tion 145(5Xb) of
the A¢t.
Independent ex8rninerf8 stst¢mwJt
examination givingme eaw%e to believe ill aDy materi81 rowL
aeeounting rwrds were not kept in resFtttof th¢ Tn￿ as ryir•l by S￿tiC￿ 130 of the Act; or
the aw)unts do not hcwrd with tP￿ T¢¢ords' or
the accounts do not comply with the appli¢aiil¢ requirema)ts toncerning th¢ fonn and r4)nt£¥Li of wunts sei out
in the Choritics (Acojunts and Rwrts) R￿UlatiOnS 2008 other than any rrquiremeni that th¢ give
tw¢ and fair view whicth is not a matter tonsid¢red &8 part of an lndepth1e￿t examinatiott.
I have no wnc¢rns a￿d have c{￿¢ w&8 no othBr rnattu5 in LThne(tion with th¢ ¢xamin&tion tr> which attention should
be drawl in this rewrt in O￿tr ￿ enable a pry unders*of th¢ ¥Kounts ￿ be reackn￿.
P E H Wright FCA EChA
Sheen SticklaDd
7 E&8t Pallant
Chichester
West Susscx
P019 I'ni
iy !Y.Iki...................

StJohn's TrwL Chitbester
ststement of Finaneial Adivit
for the Year Ellded 31st December 2022
2022
Total
ffiJllds
2021
Total
fi￿dS
INCOME Ar￿ ENDoW￿￿NI￿ FROM
tnvestsntht It￿rne
39.638
39.638
39.191
EXPENDITURE ON
Rai3in8 fAmds
SJ04
5.304
5.773
ChiTitsble A£tivRtie8
Religious and Charitabl¢ of th¢ ChU￿b of
En8Jand
44J34
44J34
39.690
Totsl
49.838
49.838
45,463
Net S￿￿{lo$s¢s) ¢)n investments
(241.796)
(241.796)
136.870
NET INCOMb/lLXPENDITURE)
Other recogll1s￿l gain￿00$9es)
GAins on revaluation of fLxcd ass¢ts
(251,936)
(251.996)
130.598
41,686
41,686
7,187
Net moyement In fund5
(210310)
(210JIO)
137.785
RBCONCILIATION OF FUNDS
Total ￿ndS brought forward
1026.914
1026.914
1,889,129
TOTAL FUNDS CARIUTr,D FORWARD
1.816.604
1.816.604
2.026,914
Thenot¢s forni partof these fiDancial swemellts

St John's Tru$4 ChiciKster
Balallee Sheet
31st December 2022
2022
2021
FIXKD ASSETS
Tangible ￿ets
JnvcsttnttLts
587.6Y2
1.195.827
587.692
1.195.8Z7
546,(rfJ6
,443273
1.783519
1.783.Sl9
1,989,279
CURRENT ASSETS
Cash in hand
36204
36204
40.753
CREDITORS
Amounts fa]ling duo within yeur
io
(3.119)
(3.119)
(3.118)
NET CURRENf ASSEI8
33.085
33.085
37,635
TiyfAL ASSKTS CURREiYr
LIABILITIES
1,816.604
1,816,604
2.026,914
NET ASSETS
1.816.604
1,816.604
2,026,914
FifNDS
Utlrestrieted fjJnds
1.816.604
2,026,914
1.816.604
2.026.914
The financial 5tstements aPPToved by the BoATd of ThLsW and aut1￿￿ for issu¢ on
. and wtresi8n&l ￿ its FRhaJf by:
laWJlJ
MrRKidd- Trustee
Thc notrs fonn pHrt of these firrancÉ81 swem

St John's Tn￿￿
Notes io the Thantial Ststew￿ts
for the Year Ended 31st Decemb￿ 2022
ACCOUNllNG POLICIES
Basis ofprep*Tingthe fiD*nclal 8txttmettts
The fmancial ststemettts of the charity, which is a wthli¢ knefit thtity FRS 101 have be￿ pJrp&red in
accord2tKe with the Chariti&s SORP (FILS IWI) 'Aw)urrttDg ar¥J Re￿rti￿ by awities.. SlateTncnt of
Recommended P¥a¢li¢e applicable to clwities wewiDg their ￿4)Unts in wthlsnce with the Fin8ncial
R¢poiltiig Standard applicable in the UK and Rcpublic of ITel8nd 102) {eff￿tive l J8tMJary 2019),,
Financial Reporting StsTKl8rd 102 The FiThat)ciAI R¢portin8 stat￿rd 4>pI￿able in thc UK aDd Republic of
Ir¢land' and the ClJatiti&s 2011. The fir￿￿141 staternmts hav¢ preparnj undcr thc historic41 wst
¢onventitsn, with the exception of investhiots whith we irKlUd￿ at market valuq as modifi&J by the revaluation
of eutaitl &sscts.
Flnandal reporting stsnd#rd 102- rethited dodwire exemptioDS
Th¢ charity has taken advantsge of the following disclosure ex¢th&￿'0￿ in prgpariD8 these fiown¢ial statemen
as peTmittedby ￿ 102 llje Finan¢1￿ RryorfiDgStand2rd 0￿11¢*ble in thE UK gnd Rwbli¢of Jreland,:
the rwirem¢r¢ts of S¢¢tion 7 Stat¢ffte￿ of CA8h Ilh)ws.
Income
All it)come is re¢ognised in the Statement of Ftnaoci41 Adivitscs QDce the d)￿lty h&$ etttit]cment kn the fimd4 it
is Probable thai the income will be ￿1V￿1 and th¢ amoutst can bemeasu￿a Teliably.
ExpendRture
Liabilities art &8 ¢y4elldibJre &8 th¢r¢ is a c* L))rtstsvetive obligation o)mmittin8 the
charity to that ¢xw)diturK it is probable that a tyansf¢r of ￿nOmiC bBr*fits will E¢ requiTed in settlement and
the atnount of the tsbligati(￿ be me&8ured relilbly. Expe4JditsJre is account￿ for on an acirnls b&%is and h98
bttn c]wifJed under headings that a88rewe all eosi related fy) the ￿￿￿Ory. Where ￿sts cannot b¢ dtr¢cdy
attributed to partÉcultr hmdwgs th¢y have be¢n alloeaW to activities on a b&8iS CQWi$tent with the use of
resou￿1$.
Grants Offer￿ subject to conditions which have llcrt rnet at the year ¢￿1 date are Thjted as a commitinent but
not accruoj ￿ expettdtture.
Ralslllg fun
Costs of generntiD8 fjJDds oJmpTis¢ th(t¢ Lxlstsdlr￿￿Y attributsbleto iubli¢i5ingthe Charity.
ChY4ritAble 8ctivitita
Re80UtE¢s ¢pwid¢d on th¢ ¢haritsbl¢ 8divilitt of theTn¥t include th¢dIr￿# of yants m4de.
Tangible fixed gssets
FiY¢d ossets are initially r￿n￿ed at thcir Op￿ maTket W￿lle. Valuatirnry hav¢ bea) d¢riva for these
assds &q shown below..
62 SwanfieldDrivfy Cbi¢h¢5tet (Wshare). an itiforn￿ valu*ion by a gjrvey
HLII. insured va]ue
The pwith obtsined an InfOnT￿ swvry of the which kns the b&sis of the 2018 figures whid) the
tNst¢cs considcr to be satisfactory. The Hall i5 usgj part of Chidjcsttr FoDdbartk operation which the
IL8tees cotLsider s8tsfi&s the chaTitsbl¢ ObJ￿ts and in light of this no qUillqUrT￿ial itL%PCCthon undertaken.
Prnfc&%ional advice eontillu&% to be takenftn thatTegar
Assets purthased with ￿ initial tos¢ tuit¢(tiD8£5C4) arE capitsjis
Depreciation
Land ts not depreeiated. No depreclaiion is PToTrIthI on fr￿Id *4 they 8re maintsined in re8sonabl¢
repair and it is Conside￿ that residlla] va]uw •n such that depT￿lation is Th)t S1￿]5¢8nt. Th¢ requirement to
complete an impaimjeni review is undertaken annually.
continued...

St John's TnLg¢ CILith*T
Not£s to the Fin2DU8] Ststements- eoDtiDued
for the Year EndtyJ31st Decernbtt2022
ACCOUNTTNG POLICIES. tontinut41
Taxation
Unrestricted res¢rv
General funds ate uDr&8tricted fill￿ are available frx di5cr¢tion of the In￿ for particuiar
purp¢ises.
A surn eqyiv8lMt to 25% of the avrye rmu81 expenditsur, tharitsble actsvitt&% and governattce of the Tntsi
of the three years up ts the date to which th¢ ht¢st acwutts were draw4 is d&si8natd to a mana8¢ment r¢s¢tve.
Thi8 is adjwt&l w]nu￿Y At the mpxtingofth ￿whICh the tn*2¢5 roxiv¢ the acCo￿ts.
A sum equivalttht to tb¢ th￿ttY81ue0f the UDr¥tilrt￿ 1DV¢8IDK￿ is de8i8ti*d &$ 8D illK%thJentfjJDd.
FJnd¢)wty)eMt fwid
Th¢Endowm¢nt fimd TepYt6tnts inve4tmerts s¥bi¢h rn￿t b¢ permmmtiy.
Utw¢alised gains and 1055es relatin8 to the invesbnents h¢ld by the erth￿Trent fiuMI of the Ch8rity 8T¢ allO￿ted
to the ¢ndowmet)t fund. The trustees iDtrnd that these funds will be for the fo]weeable future to gene¥ate
iwome to ¢nabl¢ th¢m to fulfil the purp)ses of the Qjsrity. inc¢)me ￿￿1vable Telating to dm¢ investsnents are
k)¢ated to th¢ unr¢5tri¢ted
INVEsfMENf fNCO
2022
2021
Investrnent ineome
Dep)sit 8ccount interest
39.536
102
39.191
39,638
39.191
LIIARITABLE AcrivtnLs cosrs
fimdin8of
tivits&s
(Stt Dote
Dirg
CO￿ (*e
note 4)
costs (se
ntst¢ 6)
51
Rehgious and CharitAble Workof the
Cburch of England
16355
21707
5.472
44.534
Page 9
ntinued...

St JoF¢n's Tr￿6 Thithtster
Notes to the Finan¢ial StaterneDts- ¢oDIiDued
forthe Y￿r Ended 31st Detembcr 2022
2021
1,249
2328
3,830
8,948
1.152
385
Proftssslot￿1 fe¢$
Forewurt ¢Xp￿￿
16J55
1.537
GRANfs PAYABLE
2022
2021
Reti810￿% and Charitable Work of the ajurch ofPth8Jand
22,707
33,000
Th¢ tot&i paid to its&iwtions duriD8th¢ yww&8 as folknvs..
2021
St Olav TnLSt
Si Wilfrid'5 PCC
ADnaChopl8n¢y ChaplairA and AdmiJists8tor
Pregnancy Options
Chi¢hester HEART Proje£t
StPaul's PCC
Bell Tower [￿0P in
Confide Counselling
9,307
10,250
2,917
3.000
2,000
5,833
3.000
6,000
1.800
21707
33,￿0
SUPPORT COSTS
Tc4ais
Religi¢)us and Charitable Work ofthe
Church of England
2.832
5,472
Includ￿ in governance cc6ts arelrtdetrtthtexamiD￿Oll fees of a640.
TRusfEKs' RENfUNERATION AND BENEFITS
No truth or perso# rnlated or rA)nne(*ed to thern ￿1ve￿ any rem￿Clat10n fmllj thc Charity dwin8 the Cu￿ert
or precedill8 year.
The Clerk to the tntsiees re£eiv&] an hoTKKarium of r2JOQI2021: £2￿).
Page 10
tA)ntinud..

StJohD's Tn￿¢ Chi¢hester
Notes to the Ffillgllti91 StstaJents- eontinued
for the Yegr Ended 31st Dec¢mb¢r I￿2
TRUSTEES, RKMuf4ERATION AND BEIYEFfTs. totttitiued
Trwtees, expe￿¢8
Therc wue tr￿t￿8. ¢xp¢os¢s paid the year a￿￿1 31# DeKemF*r 2022 nor for the yeot end￿1 31s¢
Demnber 2021.
Any trusR¢ ¢xw Glairned or in¢wThl aye subie¢t ￿ the chat]ty￿ t￿)n￿87 iDternl controls and authori88tion
procedu￿.
TAf4GIBLE FIXED A&SETS
FTeelk7ld
prop
cosr ORVALUATION
At 1st January 2022
RevaJua¢ions
546,006
41,686
Ai 3 1st Do¢ember 2022
587,692
NET BOOK VALUE
At 3 1st Dxember 2022
587.692
At 31st Dxembw 2021
546.006
c￿$t or valuation at 31# D&ember2022 15 repre*tha by.
Freehold
property
Valuation in 2022
587.692
11￿chold PToptrty ]￿ludeS a share ID 62 Swanfield Drive. St John's H8]l. St JOI￿.3 S
Chichester.
The half share in 62 Swanfield Drive h&s betn valutd at £160.000 b&stsJ on an inform81 vatuation obtained by
the trustees in 2018. The pr¢vious irthjrmal vaiuffttion had t¢en carri￿ out in 2009 whe4J the vzjue was stated as
being £90.000.
St John's Hall is includd ¢t a valuation of £427,W2. Thii is the In￿r￿] vxlue &$ notifi￿ by the insurets at
the latest r¢n¢wai date ￿ing l Juty 2022. Thi$ revalu￿ aMo￿t h&8 I￿¥¢&$ed by £41,686 wth the
previous year.
Pagell
L¥)ntinued...

StJohn's Trn8t, Chichester
Not¢s to tbe FinaDaal Ststements- contiDued
for the Ytsr Ended 31st Deeember 2022
settjcments
pe￿dIng
Tots15
MARKET VALUE
At 1st Sanuary 20r2
Additiolls
DisposaLs
Revalu￿lo￿S
1.437.676
120J54
{174324)
(208.708)
5597
141.393
(126.161)
1.443273
261,747
00.4851
(208,708)
At 31st D￿ernber 2022
1.174.9)8
20.829
1.195,827
NET BOOK VALUE
At 31M D#¢mber 2022
1,174.SW)8
20,829
.195.827
At 31st Dxember 2021
.437.676
5,597
1.443273
Inv¢stM￿li assets held dethiled as followa:
2022
2021
.143.028
31.970
.403.162
34.515
Pa¢ifLe ex Jyn
Cost or vaiutition at 31st D￿ffjbcr 2022 18 repre4eTrtoJ by..
Jettlements
p￿dIng
inveslments
Totsis
va]u￿10n ID 2022
1.174.9)8
20,829
1.195.827
Investmer￿ that individu41ty material within the iDvastD)fflt porfoiK> oredetsil¢d a8 folloTh3'.
2022
2021
North Amertcan Income Tn
Scottish Mortg88¢ InvtstrTreDt Trust
Scottish Ameri¢on Inv&5th1ent
64,600
78,910
64,960
Page 12
continue(t..

StJohn's TnL$4ChKhester
Notss to the Ststemellts- Contin￿ed
for the YeAr EDd¢d31st December 2022
10. CREDrroRS: AMouFfis FAIIJNG DIJE wmiiN ONE YEAR
20Z2
2021
AccnJa]s and deferred income
3.119
3.118
ii.
MoVEmETr￿ IN FUN[
Net
mov¢mcot
iti fijnds
At
31.12.22
At 1.122
Unre4tricted fvnds
G¢n¢rnI Fund
1026.914
(210310)
1.816.604
TOTAL FUNDS
2.(V26.914
{210JIO)
1.816,604
Net movanmt in fund4 induded in as follow5:
Oains and Movemult
in fi￿d5
pende4
Unro8lrlded funds
Gener8J Fund
39.638
{49.838)
(200.110)
(210.310>
TOTAI, FUNDS
39.638
149.838)
(200,1 IQ)
(210JIO)
Comparfitive8 for Sn
N¢t
movement
in fimds
beh¥¢
At
31.1221
Atl.121
Unrestricted funds
General Fund
Management Reserve Fund
Desi￿ated. InY¥ttnentFund
3,629
15,280
168.559
(6540)
1029,825
(15.280)
(192,672)
1026,914
24,113
187,468
17573
1.821.873
1026,914
Endowrnent funds
EndowmeT)t Fund
1.701,661
120212
{1.821.873)
TiyfAI, FUPIDS
1.889,129
137.785
1026,914
Page 13
ntinued...

St John's Trus¢ Chich£ster
Notes to the Financial St*terneDts- Contin￿&1
for theyear Ethded 31st Deeernber 2tr12
ii.
MOVEMENf IN FUN￿. colltinued
Comparative ttetrnovemeDt ID ittduded inthE giKsveaYe as fol&rn'.
losses
n fi￿d$
Unrtttritted fun
General Fund
Desi￿trd. Investsnent F￿d
38.923
{45.463)
(6.540)
24.113
24,113
38923
(45.463)
24.113
17.5TJ
Endowment fundg
Endo%Trinent Fund
119.944
120,212
T(yfAI. FUNDS
39.191
{45.463)
144,057
137,785
A ¢UTrentyear12 rnonths and prioryear 12monts cKJmblliedF￿sitiOn is asfollows..
Net
Transfers
At
31.1222
Mi fimds
Unr¢strl¢ted funds
General Fund
M8na8ement Res¢rve Fwid
Desi8noted. tnvestm¢nt F￿d
3.629
15.280
168.559
(216.850)
1029.825
{15,280)
{192,672)
1,816,604
24.113
187.468
(191737)
1,821,873
1.816,604
Endowment fvnds
F.nd0wMt￿t Furtd
1.701.661
120212
{1,821.8fJ)
TOTAL FUNDS
1.889,129
(71525)
1,816.604
A currtmt y¢•r 12 months thd Ffb)r year l2 m¢Jntts ¢(ffjbinul rt¢¢ movem*Dt in W include4 in th¢ AIK)ve arn
as follows-
GaiThs gnd Movement
in funds
Unrestricted fuDth
Gener￿ fuud
Dc5ignated. tnve5trneDt Fund
78.561
(95,301)
(200,110)
24.113
(216.850)
24,113
78561
(95JOI )
(175.997)
(1917371
Endowment fwhds
Endowrnffit Fund
119944
120212
TOTAL FUNDS
78.829
(95?01)
(56.053)
(72,525)
Page 14
continued...

St John's Tru$4 Chichester
Notes to the Flnan¢ial Ststeineiits- continlled
for the Y¢#T Ended 31st Deeernber 2￿2
12.
13. CHAiiifABLE COMMrrMENTS
2022
St Wilfrids PCC
Confide Counsellin8
pregn￿¢y Options
10.wo
9.0
IOIK)
21,000
All Charitable ¢x)mmitmmts are to be suiwt)J by fvture income fiDm lltwtriaed fut￿.
P88e 15

StJohn'sTnLs¢ Chichester
Det*lled Statement ofFillxDcI￿Ath1ts
for the Year Ended31st December 2022
2022
2021
Invtstrnent income
Invostmertt incom¢
Dtyo$itac(o￿t intertst
39536
102
39.191
39.638
39.191
Totsl intomillg resothr¢es
39.638
39.191
EXPENDrruRE
Ra￿l￿g don1￿0￿3 •ttd Iweles
Inv¢stmu)t management fees
5J04
5.773
Chiritsble gctiT4ities
Insurgn¢c
Repaijs and Mainten￿
Professional fees
Forecourt ¢xponse5
Orants to Insti￿tionS
1249
2J28
3.830
8,948
22.707
1.152
385
33.000
39,062
34.537
Support costs
Mlnagement
Other costs
Clerk's honorarium
532
2JOO
393
2.300
2.832
2.693
Governgnce costs
Andwdenl exomin¢rfs fr¢
2.640
2.460
Tots] resources eXp￿d
49.838
45.463
Net expen(lithre before ¥ains •nd los
(102001
{6.272)
Re&llsed recogntsed gains aDd ]oJes
Realised gam￿(￿s5¥) on fixol 8s%t inv¢stsnMts
(33.088)
2.908
P4et expendlthre
(43288)
(3364)
This pag¢ does not forn rArt of the statutory finattia] SWe4n¢nts
Page 16