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2021-03-31-accounts

South Aston United Reformed Church

Annual Report - Year ended 31 March 2021


Structure, Governance and Management

The Church is a constituent part of the United Reformed Church that was formed by Act of Parliament in 1972. South Aston Church (SAC) is a separately registered charity with a charity number allocation 516837 and therefore complies with the reporting requirements for charities in the preparation of its financial statements as outlined in the Charities Act 1993 and subsequent Statements of Recommended Practice: Accounting and Reporting by Charities (SORPs).

The Church’s business is conducted through the means of quarterly church meetings and an annual general meeting held in May of each year. Elders of the Church meet on a monthly basis to deal with business between Church meetings.

The following committees are responsible for specific elements in the life of the Church:

Finance Buildings and Fire Safety South Aston Youth and Community Work Age and Lunch Club (WWOP)

The Finance Committee has responsibility to prepare annual budgets and associated information necessary for the reporting of the commitments and financial position of the Church. These matters are tendered to the Trustees (Elders) for their consideration along with recommendations as appropriate.

The Finance Committee is made up of the Church Treasurer, a Trustee (Elder), Church Accounts Advisor, Church Centre Co-ordinator and two other persons nominated by the Church meeting.

Appointment of New Officers and Trustees

Members become Trustees on being appointed as Elders. Elders serve a three-year term and retire by rotation, and can be re-elected for further terms. All Officers and Committee Members are appointed by the Annual General Church meeting and elected or re-elected annually.

Related parties

The Church is an active participant in the group of Churches from various denominations in the area, known as Aston Churches Working Together.

Objectives and Activities

Ref. Finance/Accounts/Annual Report 2020-21

Page 1

South Aston United Reformed Church

Annual Report - Year ended 31 March 2021


The objectives of the Church are to advance the Christian religion in accordance with the doctrines, principles and usages of the United Reformed Church in the South Aston area of Birmingham.

Members, volunteers and four paid members of staff, which include a Minister, provide guidance, support and outreach to develop these objectives. These are broadly classified as Ministry and Mission, work in the community at large, work with older people and provision of other outreach activities. Numerous activities are carried out at the premises during the week including Local History, English lessons, South Aston Café Active, lunch clubs etc. Of these paid members of staff the Minister is funded directly from the United Reformed Church of England and Wales.

The ministerial allocation to SAC is 50% with the remaining 50% of time allocated equally between Wilton Road United Reformed Church and Bishop Latimer Church. Whilst this is a joint pastorate each church is a separate entity in both organisational and accounting functions. The Minister also assists other churches in the area.

Finance Review

The Trustees are responsible for preparing financial statements which give a true and fair view of the state of affairs of the Church as at the end of each annual financial period and of the financial activities for that period. In preparing the financial statements they should ensure that they:

The Trustees, who meet monthly, are also responsible for maintaining adequate accounting records, to prepare financial statements that comply with the Charities Act 1993 and sufficient internal controls to safeguard the assets of the Church and to prevent fraud and other irregularities.

The Church’s income and expenditure is below the level requiring an audit by a Registered Auditor. Instead a review by an Independent Examiner is appropriate and in this direction the Trustees have appointed Mrs Gillian Wall to act in this capacity.

Financial Statements

The Financial Statement for the year ended 31 March 2021 has been prepared in compliance with Statement of Recommended Practice: Accounting and Reporting by Charities (SORP) as revised in 2005. The analysis of income and expenditure reflects

Ref. Finance/Accounts/Annual Report 2020-21

Page 2

South Aston United Reformed Church

Annual Report - Year ended 31 March 2021


the classification of activities, together with costs relating to administration. The Church does not sell goods or services for commercial profit but does generate income from hiring of rooms, etc. and other events to help defray expenses.

Statement of Financial Activities

It will be seen that the General Fund account indicates that there was an excess of expenditure over income of almost £7,500. As will be appreciated the whole of the period covered by the accounting timescale has been during the Covid-19 pandemic. As such hire of rooms etc is only 25% or so of that received under this heading during the 2019-20 accounting period. Receipts under the heading of Giving have held steady thanks to the efforts of the charity’s members and adherents. As will be noted and appreciated due to the closure of the church premises the service media costs are well down on the year under notice. There was an alteration in the ministerial allocation part way through the last accounting period whereby that assessed to South Aston Church was reduced to 50%. A further church came into the allocation equation resulting in an ability to recover from the two other churches involved certain costs associated with this ministerial situation. These accounts now reflect a full year on this matter.

The Church Centre was built in 1973 and we are continuing to address the need to replace or improve items relating to the fabric of the buildings of the centre.

The Elders/Trustees are currently examining these financial scenarios with a view to seeking means of endeavouring to increase giving and fund raising. Outgoings are constantly under review.

Balance Sheet

The Church Centre buildings, a small area of land in the district of Lozells Birmingham and the Manse are the property of the United Reformed Church of England and Wales and as such are not valued in these accounts.

Reserves

Unrestricted funds are needed to cover continual new works and property maintenance outgoings. In this direction and pursuant to previous stated intention, a new maintenance account was established in recent times. The sixth full year of this account appears in this report.

Sources

Ref. Finance/Accounts/Annual Report 2020-21

Page 3

South Aston United Reformed Church

Annual Report - Year ended 31 March 2021


The Trustees are continually conscious of the need to provide for funds for the upkeep of the Church Centre buildings and in this regard are constantly seeking innovative and new means of fundraising as has been mentioned earlier in this report.

As was mentioned earlier in this report the receipts from hire of rooms etc was considerably reduced during the period albeit most of the other income areas remained steady. There are currently 2 other Christian churches worshipping at our premises at the moment. Other primary sources of income are received through means of voluntary giving by members and friends, various fund-raising efforts coupled with gift aid tax reclaim where this is possible.

Future Plans

The matter relating to the roof over the church flat has still not been resolved. In fact the situation is now such that the question is whether any work needs to be undertaken at all. We await further developments on this matter. The proposed lighting works mentioned in the previous report have been completed.

These accounts were accepted and adopted

By order of the Trustees

Mrs Ann Tempest - Treasurer and Chair of the Finance Committee


Date: ______

Mrs Lynn Purchase - Member of Finance Committee (elected by Church Members)


Date: ______

Ref. Finance/Accounts/Annual Report 2020-21

Page 4

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

THE GENERAL FUND - 1st April 2020 to 31st March 2021

THE GENERAL FUND- 1st April 2020 to 31st March 2021
AN UNRESTRICTED FUND FOR THE GENERAL PURPOSES OF THE CHURCH 2020-2021
RECEIPTS:
A1a - GivingCash oferings
Envelope oferings
Donations
Tax reclaim on Gift Aid
Fund raising
Savings Club donated interest
153.48
10,236.09
687.11
2,623.44
0.00
0.49
A1b - OperatingHire of rooms, halls and parking
Caretaking
Ofce use payments Age
Ofce use payments Co-ordinator
Lunch Club rental(DayCentre Fnd)
4,315.00
0.00
3,425.00
0.00
0.00
A1c - InvestmentsGround rent on land in Lozells
Bank interest
Church Flat rent
Net dividends on investments
4,100.00
72.63
5,962.00
5,247.36
A1d - OtherFrom Outabout Club
Ministerial Contribution - Wilton Rd
Ministerial Contribution - Bishop Latimer
Pulpit Supply Reimbursement
Redeemed from COIF to Co-Ord Acc
From Lunch Club Re-imburse
Other
0.00
842.38
842.38
0.00
9,000.00
205.12
20.00

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

THE GENERAL FUND - 1st April 2020 - 31st March 2021

AN UNRESTRICTED FUND FOR THE GENERAL PURPOSES OF THE CHURCH

THE GENERAL FUND - 1st April 2020 - 31st March 2021
AN UNRESTRICTED FUND FOR THE GENERAL PURPOSES OF THE CHURCH
2020-2021
PAYMENTS:
A2a, FundrseFundraising costs
A2b CharityURC National Ministry Fund
Ministerial costs
Donations and gifts
MANSE: Water Supply
Insurance
Telephone
Security system
Maintenance
Council Tax
Major Works
WORSHIP: Pulpit supply
Church Music
Worship and Outreach
BUILDING: Cleaning
Cleaning Materials
Church Gas
Church Electric
Water Supply
Insurance
Maintenance
Major Building Maintenance Works
Church Flat costs
ADMIN.: Telephone
Stationery copying and postage
OTHER: Minibus
Church Catering
Church Caretaking
Church Gardening
Equipment
Bank Charges
Other
Trans to Co-ordinators ac. (from General Fund Acc)
0.00
16,641.00
732.00
145.00
366.63
0.00
334.27
60.00
828.07
1,106.86
0.00
480.00
0.00
534.25
2,936.32
1,724.19
1,914.96
2,515.39
507.64
3,486.82
406.45
0.00
268.48
1,476.14
1,740.95
1,458.66
95.35
2,852.42
3,363.30
43.00
151.74
0.00
9,000.00
A2c Other
-
Net receipts (payments) for the year
Combined cash & bank assets, 1st April 2020
Combined cash & bank assets, 31st March 2021
-7,437.41
26,851.99
19,414.58

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

LUNCH CLUB - 1st April 2020 to 31st March 2021

A RESTRICTED FUND FOR THE CHURCH'S COMMUNITY WORK WITH ELDERLY PEOPLE

2020-2021
RECEIPTS:
PAYMENTS:
B1a GrantsExternal grant funding
Donations
Fund raisingand donations
0.00
0.00
0.00
B1b CharityMeals sold to diners
Meals sold to volunteers
Tea and Cofee sales
History Group Subs
Donation SAURC Minibus Repairs
2,421.00
0.00
0.00
0.00
0.00
B1c Investmnt
B2a Fundrse
B2b CharityFood purchased
Cook's wages
Minibus Costs
Rent, heat & light (to Gen. Fund)
Volunteers' Expenses
Equipment and repairs
Entertainment
Coach Outing
Food Purchased for Vols Mtg and Course
Tai Chi
Meal for Volunteers
Food Hygiene Course
Keep ft sessions
Art sessions
Lunch Club Meal
Works Mobile
Donation St Mary's Hospice
Christmas Party
Net receipts (payments) for the year
Monies held (cash & bank a/c), 1st April 2020
Balance (cash & bank a/c), 31st March 2021
Cash Float
ASSETS at 31st March 2021
Bank Balance Lloyds
Bank Balance TSB
B2b CharityFood purchased
Cook's wages
Minibus Costs
Rent, heat & light (to Gen. Fund)
Volunteers' Expenses
Equipment and repairs
Entertainment
Coach Outing
Food Purchased for Vols Mtg and Course
Tai Chi
Meal for Volunteers
Food Hygiene Course
Keep ft sessions
Art sessions
Lunch Club Meal
Works Mobile
Donation St Mary's Hospice
Christmas Party
2,071.19
0.00
465.70
0.00
0.00
222.70
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
-338.59
1,958.36
1,619.77
180.93
1,285.92
152.92
1,619.77

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

AGE FUND - 1st April 2020 to 31st March 2021

2019-2020
RECEIPTS:
B1a GrantsGrant from B'ham City Council (Partnership)
Fundraising
Donations
TSB Interest Correction
33,182.00
0.00
0.00
0.00
PAYMENTS:
B2b CharitySalary (Development Worker)
Employer's N.I. Contribution
Employer's Pensions Contribution
Ofce Use Payment (to Gen. Fund)
Desk Space Admin Support (to Gen Fund)
Admin Support (to Co-Ord Account)
Supervision Payment (to Minibus Fund)
Bank Charges
Net receipts (payments) for the year
Monies held at bank at 1st April 2020
Balance at bank on 31st March 2021
23,678.04
0.00
710.40
3,075.00
350.00
2,308.00
1,560.00
0.00
1,500.56
11,392.63
12,893.19

OUTABOUT CLUB ACCOUNT - 1st April 2020 to 31st March 2021 A RESTRICTED FUND FOR THE CHURCH'S COMMUNITY WORK WITH ELDERLY PEOPLE

2019-2020
RECEIPTS:
Outabout
Other Transport Donations
Donations
PAYMENTS:
Fuel Costs
RAC Membership
Minibus Repairs - Tail Lift
Minibus Repairs/Service
Road Tax
Minibus Washing
Mobile Phone
Driver Payments
Volunteers' Meal
Donation to Minibus Fund
Transport Costs Other
History Group
Parking/Other Costs
Blue Badge
Net receipts (payments) for the year
Monies at bank and Cash 1st April 2020
Monies at bank and Cash 31st March 2021
Cash Float
ASSETS at 31st March 2021
Bank Balance
0.00
357.00
0.00
398.24
0.00
0.00
0.00
165.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
-206.24
410.79
204.55
148.25
56.30

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

204.55

SOUTH ASTON YOUTH & COMMUNITY WORK ACCOUNT - 1st April 2020 - 31s

A RESTRICTED FUND FOR THE CHURCH'S YOUTH AND COMMUNITY WORK
RECEIPTS
Bank Interest
Winter Night Shelter
Funeral Ofertry
Junior Church
New Cuttlery
Toilet Twinning
Commitment for Life
Barry Jackson Tower
SAC Day Centre Volunteers Lunch
Lay Preachers Meeting
PAYMENTS
John Taylor Hospice
Junior Church
C4L Fish and Chip Supper
Toilet Twinning
New Cuttlery
Barry Jackson Tower
Lay Preachers' Mtg Lunch
Winter Night Shelter Tabor House
Volunteer Exes - Other
Commitment for Life
Cyclone Idai Appeal
Net receipts (payments) for the year
Monies held at bank and cash at 1st April 2020
Combined Cash and Bank Assets 31st March 2021
ASSETS AT 31st March 2021 Cash Float
Bank Balance - Current Acc
Bank Balance - Deposit Acc
2020-2021
1.48
0.00
0.00
18.00
0.00
0.00
312.92
0.00
0.00
0.00
0.00
59.00
0.00
0.00
0.00
336.00
0.00
800.00
0.00
312.92
0.00
-1,175.52
2,341.41
1,165.89
24.00
1,061.58
80.31
1,165.89

CHURCH CO-ORDINATOR ACCOUNT - 1st April 2020 - 31st March 2021 A RESTRICTED FUND FOR THE WORK OF THE CHURCH'S CO-ORDINATOR

RECEIPTS
Grant from Church COIF Deposit Acc
Grant from URC West Midlands
Donations
Admin Support from Age Account
Reimbursement of Pension from Age Account
PAYMENTS
Salary Church Co-ordinator
Employers N.I.
Employers Pension Payment
Payment for Age Pension (Direct Debit)
Employees N.I. Caretaker
Ofce Accom. To SAURC General Fund
Net receipts (payments) for the year
Monies held at bank and cash at 1st April 2020
Combined Cash and Bank Assets 31st March 2021
2020-2021
9,000.00
0.00
1,500.00
2,308.00
1,894.32
11,294.53
0.00
338.07
1,894.32
0.00
0.00
1,175.40
7,226.06
8,401.46

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

SOUTH ASTON MAINTENANCE ACCOUNT - 1st April 2020 - 31st March 2021

A RESTRICTED FUND FOR THE MAINTENANCE OF THE BUILDING

RECEIPTS
No Receipts
PAYMENTS
Foyer Lighting Replacement
Fire Safety Works
Net receipts (payments) for the year
Monies held at bank and cash at 1st April 2020
Combined Cash and Bank Assets 31st March 2021
2020-2021
0.00
1,350.00
1736.39
-3,086.39
39,436.53
36,350.14

CAFÉ ACTIVE ACCOUNT (NEW) 1st April 2020 - 31st March 2021 A RESTRICTED FUND FOR THE RUNNING OF THE CHURCH'S CAFÉ PROJECT

RECEIPTS
Transfer from Y&C Cash Float
Transfer for Youth & Comm Acc
Transfer for Youth & Comm Acc
Takings
PAYMENTS
Salary Cash (from takings)
Salary Cheque
Volunteer Exes (from takings)
Food (from takings)
Equipment Cash
Equipment Cheque
T'ai Chi Cheque
Fuel Cash
Rafe Prizes
Net receipts (payments) for the year
Monies held at bank and cash at 1st April 2020
Combined Cash and Bank Assets 31st March 2021
Assets at 31st March 2021
Cash Float
Bank Balance
2020-2021
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,592.04
2,592.04
267.60
2,324.44
2,592.04

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

OTHER MONIES HELD:

2020-2021

Communion Fund

Communion Fund 2020-2021
INCOME
EXPENDITURE
Net receipts (payment) for the year
Assets at 1st April 2020
Assets at 31st March 2021
This is a restricted fund in which is
held donations given at Holy
Communion and expended by the
Minister for pastoral and community
gifts.
0.00
40.00
-40.00
533.11
493.11

Bequest Fund

INCOME
EXPENDITURE
Net receipts (payment) for the year
Assets at 1st April 2020
Assets at 31st March 2021
This is a restricted fund in which is
placed money bequeathed to the
church for expending on special
projects in the Church Centre for the
beneft of the disabled, aged, hard of
hearing and so on attending the
premises.
0.00
0.00
0.00
585.62
585.62

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

STATEMENT OF ASSETS & LIABILITIES at 31st March 2021

TSB Perry Barr Current/Deposit a/c
HSBC
COIF deposit account
Cash in hand
Lloyds Bank Accounts
Scottish Widows
COIF and Deposit Acc (other monies)
llowing funds:
General (unrestricted) Fund
Lunch Club
Age Fund
Outabout Club
Youth and Communities Fund
Co-Ordinators Account
Maintenance Fund
Café Active
Communion Fund
Bequest Fund
2020-2021
29,293.57
0.00
4,365.31
620.78
48,361.96
0.00
1,078.73
83,720.35
19,414.58
1,619.77
12,893.19
204.55
1,165.89
8,401.46
36,350.14
2,592.04
493.11
585.62
83,720.35

Representing balances on the following funds:

D3a INVESTMENT ASSETS:
735 M&G Charifund income units
2,000 Royal and Sun Alliance Preference Shares
18420.893 Merian Mgmt (formerly Old Mutual) Units
40363.81 COIF Income and Growth Units
8,786.70
2,240.00
22,584.01
113,379.48
Value as at 1st
April 2020
146,990.19

D3b FUNCTIONAL ASSETS:

Church Centre Premises in Upper Sutton Street, Aston, Birmingham (freehold with a restrictive covenan Manse at 155 Victoria Road, Aston, Birmingham (freehold with a restrictrive covenant) Contents of the Church Centre premises including organ, furniture, kitchen, office and audio equipment

D2 LIABILITIES:

NOTE:

These accounts have been prepared on the "receipts and payments" basis. They were approved by the Trustees

Ann Tempest, Treasurer

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

2019-2020

2019-2020
470.13
9,971.73
847.19
2,749.08
357.49
13,700.61 3.45
16,540.81
1,787.00
3,212.50
0.00
7,740.00 0.00
4,100.00
159.77
6,022.00
15,381.99 5,668.03
0.00
817.47
526.63
0.00
9,000.00
0.00
0.00
10,909.88
47,732.48 62,233.28

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

2019-2020
55,169.89 0.00
20,919.00
807.00
325.00
443.68
225.28
230.38
60.00
360.50
1,062.66
0.00
780.00
30.00
376.01
3,756.19
1,641.28
3,862.00
3,726.00
763.77
3,295.83
4,444.95
0.00
286.00
958.07
2,059.49
2,568.82
24.75
2,438.78
1,308.48
0.00
109.86
7.49
9,000.00
55,169.89 65,871.27

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

2019-2020
0.00
0.00
0.00 1,122.96
4,849.00
0.00
0.00
0.00
1,000.00
2,421.00
2,421.00 6,971.96
3,383.86
1,320.00
1,937.46
0.00
290.00
43.70
120.00
0.00
43.80
0.00
153.89
0.00
120.00
0.00
600.60
0.00
30.00
0.00
2,759.59 0.00
2,759.59 8,043.31

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

2019-2020 30,087.88 0.00 0.00 20.66

33,182.00 30,108.54
23,389.02
0.00
701.68
3,037.50
175.00
1,154.00
780.00
0.00
31,681.44 29,237.20

2019-2020

1,765.00
1,538.00
300.00
357.00 3,603.00
1,544.53
354.54
830.61
968.14
165.00
0.00
0.00
30.00
0.00
0.00
20.00
45.00
0.00
10.00
563.24 3,967.82

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

st March 2021

2019-2020
3.37
0.00
361.20
18.00
155.00
480.00
431.00
740.00
0.00
19.87
332.40 2,208.44
361.20
98.63
173.05
483.00
140.00
1,040.07
19.37
0.00
0.00
257.95
0.00
1,507.92 2,573.27
2019-2020
9,000.00
899.00
0.00
1,154.00
1,871.13
14,702.32 12,924.13
11,995.59
0.00
359.91
1,871.13
0.28
0.00
13,526.92 14,226.91

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

2019-2020

0.00
0.00 0.00
0.00
3,086.39 0.00

2019-2020

0.00
0.00
0.00
1,739.62
0.00 1,739.62
1,505.00
0.00
1,285.60
1,014.97
36.10
45.99
0.00
0.00
0.00
0.00 3,887.66

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

2019-2020

62.47 35.00 27.47

0.00 0.00 0.00 585.62 585.62

South Aston United Reformed Church RECEIPTS AND PAYMENTS ACCOUNTS 2020-2021

Charity No.516837

2019-2020

36,588.14 0.00 4,360.11 552.02 50,709.54 0.00 1,118.73 93,328.54

26,851.99 1,958.36 11,392.63 410.79 2,341.41 7,226.06 39,436.53 2,592.04 533.11 585.62 93,328.54

Value as at
31st March Diference in
2021 Value
10,822.21 2,035.51
2,606.20 366.20
24,574.30 1,990.29
126,762.33 13,382.85
164,765.04 17,774.85

nt)

t, etc.

PUBLIC WORSHIP FUND 2000-2001

Cash oferings
Envelope oferings
Donations
Tax reclaim on Gift Aid
Interest on Tax reclaim
Fund raising
Savings Club donated interest
URC National Ministry Fund
Theological books purchased
Ministerial costs
Donations and gifts
MANSE:
Water rates
Insurance
Telephone
Security system rental
Maintenance
Council Tax
WORSHIP:
Pulpit supply
Church Music
Worship and Outreach
BUILDING:
Cleaning
Light, heat and power
Water rates
Insurance
Maintenance
ADMIN.:
Telephone
Stationery and postage
2,321.55
11,179.50
1,903.76
1,370.46
-
2,048.00
-
18,823.27
16,576.00
-
180.00
163.00
392.73
113.77
128.84
237.90
755.56
833.36
540.00
118.60
276.27
136.30
346.30
51.14
498.71
167.83
104.43
143.18
21,763.92

Net receipts (payments) for the year (2,940.65)

CHURCH CENTRE FUND 2000-2001

RECEIPTS: Hire of rooms halls & parking
3,177.00
Ofce use paymnt (CRCW)
-
Ofce use paymnt ('Age' Fnd)
820.00
Lunch Club rent heat & light
2,200.00
Minibus use (CRCW Fund)
-
Over 55s rent(CRCW Fnd)
335.64
6,532.64
PAYMNTS: Cleaning
136.30
Water rates
306.85
Light, heat and power
2,077.90
Insurance
498.71
Telephone
626.60
Stationery, copying & postage
286.35
Minibus
1,152.91
Maintenance
1,006.98
6,092.60
**Net receipts (payments) for the year ** 440.04

CRCW FUND 2000-2001

RECEIPTS: URC B'ham District ICM Fund
-
Over 55s setting-up grants
-
Bank interest for previous year
23.72
23.72
PAYMENTS: Setting-up costs of Over 55s
-
Over 55s rent (to Ch. Cntr. Fnd)
335.64
minibus ( useto Ch. Cntr. Fnd)
-
Ofce Use to Ch. Cntr. Fund)
-
Volunteers' expenses
-
Worker's training costs
-
Worker's housing allowance
-
Equipment and repairs
-
Repayment (URC BD ICM F)
-
335.64
Net receipts (payments) for the year (311.92)
Current a/c balance at 1st April 2000 488.26
Deposit a/c balance at 1st April 2000 2,125.18
Bank balance at 31st March 2001 2,301.52

DAY CENTRE FUND 2000-2001

RECEIPTS: Meals sold to diners
4,230.30
Meals sold to volunteers
395.10
Tea and cofee sales
469.40
Confectionery sales
418.72
Fund raising and donations
59.00
External grant funding
400.00
Transfer from Ch. Capital Fnd
550.00
re-paid expenditure for others
698.19
Transfer from 'Age' Fund
300.00
7,520.71
PAYMENTS: Food purchased
2,776.82
Cook's wages
1,488.00
Tea, cofee, milk and sugar
109.94
Confectionery purchased
332.58
Rent, heat, light (to Ch Ctr Fnd) 2,200.00
Volunteers' thank-you outing
56.72
Equipment and repairs
90.65
expenditure for others
698.19
Sundries
7.20
7,760.10
Net receipts (payments) for the year (239.39)
Monies held (cash & bank a/c), 1st April 2000 571.22
Balance (cash & bank a/c), 31st March 2001 331.83

AGE' FUND 2000-2001

RECEIPTS: Grant from B'ham Soc Serv
19,250.00
Other grant funding
10.00
Bank interest on deposit a/c
13.97
19,273.97
PAYMENTS:
Salary (Dev. Worker)*
16,680.00

Employer's N.I. Contribution*
1,507.65
Ofce Use (to Ch Ctr Fnd)
820.00
Of Use Arrears (to Cap Fnd)
Other costs I999-2000
Transfer to Day Centre Fund
300.00
19,307.65
Net receipts (payments) for the year (33.68)
Monies held at bank at 1st April 2000 169.62
Balance at bank on 31st March 2001 135.94

*these figures includes a payment to the Inland Revenue that was not made until just after the end of the financial year although it related to Salary & N.I. costs for 2000-2001. The closing balance figures have been adjusted accordingly.

GENERAL FUND 2000-2001

Combined cash & bank assets, 1/4/2000
Public worship net receipts (
118.60
Church Centre net receipts (p_306.85_
Capital Fund net receipts
-
Combined net receipts
425.45
Combined cash & bank assets, 31/3/2001
42,182.52



425.45
42,607.97

CAPITAL FUND 2000-2001

RECEIPTS:

a) REVENUE RECEIPTS

RECEIPTS:
a) REVENUE RECEIPTS
Net dividends
3,032.98
Ground rent on land
1,232.00
Interest 'General Fund' a/cs
1,046.16
Income from room lettings at 787.00
Church Flat Rent
2,782.26
8,880.40 8,880.40
b) EXTRAORDINARY RECEIPTS
Stock Redemption
8,000.00
Building Survey Grant URC
470.00
Tax reclaim on investments
-
Interest on tax reclaim
-
Ofce use payment arrears (f-
Grant for electrical survey
-
8,470.00 8,470.00
17,350.40
PAYMENTS:
Purchase of CCS fxed interest Fund units
10,089.00
Grant to Day Centre Fund
550.00
Cost of Building Survey
940.00
Purchase of replacement chest freezer
370.12
Church Flat window replacement
2,664.00
Cost of Electrical Survey
-
Purchase of CCS fxed interest Fund units
-
Manse window replacements
-
14,613.12
Net receipts (payments) over 2,737.28
3,032.98
1,232.00
1,046.16
787.00
2,782.26





8,880.40






8,470.00
8,880.40
17,350.40
10,089.00
550.00
940.00
370.12
2,664.00
-
-
-
14,613.12

ASSETS at 31st MARCH 2001

MONETARY ASSETS:

Bank & cash balances

MONETARY ASSETS:
Bank & cash balances
Lloyds TSB Perry Barr current accounts
2,517.17
Lloyds TSB Perry Barr deposit accounts
24,492.05
Capel-Cure Sharp Deposit account
18,143.76
Cash in hand
35.50
45,188.48
Representing balances on the following funds:
General (unrestricted)
42,419.19
Age 135.94
Day Centre 331.83
CRCW 2,301.52
Total of restricted funds 2,769.29 2,769.29
45,188.48

OTHER ASSETS:

INVESTMENTSas valued on 31st March 2001 (unrestricted asse 700 Britannic Assurance Ordinary Shares 735 M&G Charifund income units £8584.01 Treasury 10% 2001

£98.06 Treasury 7.75% 2012/15 2,000 Royal and Sun Alliance Preference Shares 19,000 Capel Cure Sharp / Gerard Fixed Interest Fund

FUNCTIONAL ASSETS:

Church Centre Premises in Upper Sutton Street, Aston, Birming (freehold with a restrictive covenant)

valued for insurance purposes in 2001 at £1,007,093 Manse at 155 Victoria Road, Aston, Birmingham (freehold with a restrictive covenant) valued for insurance purposes in 2001 at £106,899 Contents of the Church Centre premises

valued for insurance purposes in 2001 at £60,000

LIABILITIES: There were no known liabilities at the end of t

1999-2000

2,217.41 9,553.15 3,584.54 2,937.44 25.07 1,937.60 1,542.87 21,798.08 16,621.00 107.91 135.20 609.57 436.35 109.71 157.24 397.97 380.83 793.38 360.00 473.95 773.38 167.61 254.92 6.11 470.48 490.44 110.56 254.04 23,110.65

(1,312.57)

1999-2000 1,905.50 400.00 750.00 2,200.00 25.00 220.00 5,500.50

167.61 36.65 1,529.51 470.48 663.33 508.07 2,347.44 2,942.65 8,665.74

(3,165.24)

1999-2000 1,130.00 1,499.57 125.18 2,754.75 943.93 220.00 25.00 400.00 135.51 44.00 289.53 96.24 280.00 2,434.21

320.54 292.90 2,000.00 2,613.44

1999-2000 5,052.70 375.30 513.54 439.25 125.00 610.00 - 681.80 - 7,797.59 2,540.72 1,488.00 158.08 434.56 2,200.00 112.51 81.84 681.81 - 7,697.52 100.07 471.15 571.22

1999-2000 18,780.00

14.25

18,794.25

16,194.00 1,446.39 750.00 225.00 76.40 18,691.79

102.46 67.16 169.62

r,

1999-2000 51,719.36 473.95 36.65 -

52,229.96

1999-2000

2,955.65 1,232.00 1,163.87 1,353.40 2,740.13 9,445.05

1,772.86 77.56 225.00 164.50

2,239.92

11,684.97

329.00 11,540.00 4,875.00 16,744.00

(5,059.03)

- 1999 2000

1,647.77 34,178.93 9,658.02 52.08

45,536.80

42,182.52 169.62 571.22 2,613.44

45,536.80

ets):

6,594.00 8,176.07 8,584.01 120.85 2,220.00 21,014.00 46,708.93

gham

he year

INDEPENDANT EXAMINERS REPORT Report on the financial statements of South Aston United R¢formed Church for the ended 31sI March 2021 which are s¢t out on pages one to eight of the accounts on the General Fund, Church Co-ordinators Ac¢ount, Lunch Club A¢count, Outabout Club Account, Age AccounL Youth and Community Work Account, Communioll FuTh(L Bequest Fund, Café, Active and Maintenance Account. Respective responsibilities The Church is responsible for the preparation of the financial statements, and consid¢is that the audit i'equii'ement of Section 144(2) of the Charities Act 2011 (the Act) dnes not apply. It is my responsibility to state, on the basis of procedures specifLed in the General Directions given by the Charity Con)niissioners under Section 145(5) of the Act, whether partiwlar matters have come to my attention. Basis of Ind¢pendent Examiner's statement My examination was carrted out in accordance with General Directions of the Charity Con]missioncrs, An examination includes a review of th¢ a¢counting records kept by th¢ charity and a comparison of the accounts presented with those r¢cords. It also includes considerutiun of any unusual items or disclosures iu the fllwicial statements, and seeking explanations conceming any such Matters. Th¢ procedures undertaken do not piDvide all tlie evidence that would b¢ r¢quired in &udiL and consequently I do not express an audit opinion on the view given by the fllmncial statements. IMd¢pendent Examiner's statement In connection with my examination of the church ftW(tq, nothing came to Iny Iltiention which gavc me cause to believe Otherwise than thdt (he financial statements accord with the accounting iecords of the Church, and that thos¢ records satisfied the r¢quir¢ments of tbe Act. I am not awar¢ of any ll￿tter to which attention should be drawn in order to ¢nable a proper uuder$tanding of the financial statements to be r¢ach¢d, Siglled 406, Sutton Road Walsall WS5 3BA Date: