Charity No. 527184
DAUGHTERS OF DIVINE CHARITY
ST JOSEPH'S CONVEprr
CHESTERFIELD
TRUSTEES. REPORT
AND
FINANCIAL STATEMEKrs
YEAR ENDED
31ST DECEMBER 2020

DAUGHTERS OF DMNE CHARiff, CHESTERFIELD
TRUSTEES. REPORT AND FINANCIAL sTATEME1￿s FCf¢ THE YEAR ENDED 31 DECEMBER 2020
Contents
Report oftha Tnjstees
lThJependent Exami￿$ ReF>Jt
stst￿nt of Finanual Ath
8alartt Sheet
9-15
Tru8tse8
Maria QTko (Sr M Jaclrrta)
Annie Maguire Isr M Catherine)
Kathleen Muriel Prenb"o {Sr M Thomas Mor•)
Diana Judith Ildkr (Sr M Frano$l
Provlnclal Superior
Head Offic8
St Josephs Convent
42 Nvwbold Road
Chesterfie]d
D￿Yshre S417PL
Bursar
Annie Mawire (Sr M Catherine)
Nursery Manager
Jesstea Hosmer
Chartty R8gtstrathJn Nurnber
527184
Independont Examrnw
Helena WIkinx￿ FCA DChA
Price Bailey
Anglia House
8 Central Avenue
St AndT&YS Business Park
Thorpe St Andrew
NR7 OHR
Solldtorn
BannerJon&s
24 Glumangate
Derbyshwe S40 1UA
Prfnclpal Bankers
Nationa WestnNnster Bank PLC
POBox13
5 Market Pkce
Chesterfiekj
Derbyshire
DE13PJ

DAUGHTERS OF DMNE CHARITY. CHESTERFIELD
TRUSTEES. REPORT FOR THE YEAR ENDED 31 DECEMBER 2020
The Trustees present their annual rewt forthe year ended 3151 Decembw 2020 underthe Charitse8
Act 2011 Icgether wlh the finanoyal sL2tements ofthe Charity forthe year and ￿nfirM Ihal
the latter complies with the requirements of the Ac*, the TTUSt De&J and the Statement of
Reconynended Pra¢*ce. AccoJnliThJ and Reporting by Ch¥ities 2019.
REFERENCE AND ADMINISTRATIVE INFORMATION
The Daughters of Dfvine Charity 1$ an Internati¢¥￿ ￿lIgI(￿j$ (wgwation d￿lde{l into twelve
Separate Prwnee8. The EnglTsh Pwn¢e is administwed ty the ProvinoJ Su￿riOr
togèther thrilh a Coundl ¢*nsistiryJ of four tt)unrAlltsrs. Thè CouncAI is dÈctÈd by thè
mbers oflhe Pro￿n￿ fora te￿ offour Ye￿￿.
The financaal stsitements aC￿l￿PanyIng this report are the finarKyal statements ofthe &￿TIla￿￿e trust
on which the assets of St JOSe￿'S ConvenL Chesterfipjd. tr￿ng part ofthe English PffjwrKe,
are held. The trust is govemed by a Tnjst Deed dabs 6th Juty 1965 and is registered
th the CharTty Commission, Charity Registrab"on No 527184.
Trustees
Marla Clrko {Sr M ts(intsl
Annle Maguire Isr Cathérine)
Kathleen Muriel prenti￿ {Sr M Thomas mo￿)
Diana Judith Ridlw Isr M Frarri$}
The Prowci4 Superi
Thè Sister SupenorlBupJar
The NUTWY Manager
Danula WIo(2ka (Sr M Danutsl
Anniè MaguÈrè (Sr M Catharine)
STRUCTURE GOVERNANCE AND WGEMEKr
G¢)v•rnlng D￿￿ment
The Charfty1$ 9￿¢Med by the pro¥tsions of the Trust Deed dated 8th July 1965.
Governlng Body
The Charity has knjr Tnjslees. The Prownual Superr(x and two meM1￿S constitute the
Pwn(ial Coun(il. The power of appointing new Trust￿ rests the Provinaal Superior.
Oryanlsallonal &lanagement
The Pmmndal Courtcil headed by the Pro)rindal superi￿ detem)ine the ￿￿er31 polloy of the Charfty
and review its overall management and o)ntrol for tfrw are legatly resF#Jwble.
The day to day management ofthe SchocA delegat￿$ to the NurBery Uanager.
Rlsk As8e88ment
The TNstees have appcrfnt&l a vthing wp to mie4¥ the risks to ththich the Charity is exwsed.
To d*e Ih&y have reported that therè arè no major risks that have bèen identif$8d th* have not
akeady ￿en dealtwith by the management ￿ntrOl$ th* the Tnstees alwdy have In pl*.
The wofknng group will continue its worK" r[￿￿.￿9 ￿ a regular basis to ensure the Charity
assess and controls the iisk that it Is exp08ed to.

DAUGHTERS OF DMNE CHARrrY, CHESTERFIELD
TrUSTEES' REPORT FOR THE YEAR ENDED 31 DECEMBER 2020
OBJECTIVES AND PRINCIPAL ACTivmES
The Charitys Trust Deed statss that Ihe Trusfs otiectNes are the advancenRnt of
and support for the charitable WO￿ being carried on by the Congregation. the a(trancenRnt
of religious education or such tharilable work as the Trustees think fft in support ofthe
Roman CathcAic Religion, with the approv￿ of the Pro￿nCl￿ Supwior.
Polfcy
In thlfillment ofthe Objec￿ ofthe Tntst it (s the ofts Chwty to urmjertake a rnnge
of tharitable aclM"ties. There have been no material change5 in poiicy during the last year
however al Ihe invitslion of the Bishop of Satford the Charity ha3 nrN4 established a HrAse
(Mothw Most Admirable) in Rochdale in fvrthwance of its objertiNp5.
1. Edu¢atlo
The Chartty owns the Freehc4d Land and Buiklings ￿lth compnse the Sl Joseph'$
Litt￿ SdKAarn Nursery Sch(YJ vthith rt operats8 as an Irxlependent fee paying nursery.
M8mb8rs ofth8 Congwatitin work in the Sdk)ot as unpaid teath￿s and ￿fare aswslanls.
Thé English ProMnf* relies hè3¥ity on MeM1￿S from overs￿ P￿n
{e.g. Bosnia ) vistbng to cany these fun¢thons.
2. Social and Pastoral Cave
Members ofthe Congregati¢)n underlake woth ￿1hrA the &)mmunty and partsh, by
providing famity support artd giwng reJigieAJS arKI m*ri4 support to those in noéd. li
¢onlun¢*"on wth thè parish priest and BL8hop.
3. Mhslons
The English supports Ihe estsW￿rnertt?rKI runnh)g of ovwseas misdDns
by thè Congregation. ￿ fundraising and s￿￿31 e¥￿ts.
The oblecive, the athMnGeffEnt of Ihe Roman Cal￿￿ Religion. F*nr*ates all the work of
the members ofthe Cororegation.
Publlc Benefft Stateme
The trLtstees have had due w8rd to the Charity Commission guldw¢e bonefiL They
e4)nfirm th4t thè Xeth￿"éS ttfthè thxnty xrè in linè with this 9￿d#ne￿. Thtr tNstèès fÈÈl that they have
prO￿d￿d bènéfit to thè PLtbtie by rKoviding pastts￿ e2rÈ to th(Jsè in rte￿ as well as faeifftiès for USÈ by
the lo￿1 communtty and wdents.
Fundralslng
The charity understaNJs its duty to IWO￿ the pul￿10 indudirvJ wlnerable peoFle. from unreasonab]y
intNsive or persistent fundraising approac*es and undue pressure lo donate. but does not currendy
fun¢tsse from the public or use any inlerrwl fundrwser5 or extern￿ ffiJrKlrai5ing agen(ies for either
telephone 0rf3Ce-ttrf￿ rxmpaigns arKI rereNed no ftsndr3i5ing comptaints during the year.

DAUGHTERS OF DMNE CHARrrY. CHESTERFIELD
TRUSTEES. REPORT FOR THE YEAR ENDED 31 DECEIIBER2020
REVIEW OF ACHIEVEMENTS AND PERFORMANCE FOR THE YEAR
OpÈratlonal Perfonmnce
During the year the Congregation was at*ve in the areas dth￿d. A summary ofmajor
devdop¥nenls fdkm".
1. Educatton
St Joseph's Scholars Nursery Schoot has had another sucte88￿ year.
average number ofday pupils during the year 4WdS:
2020
2019
NLtrsery
41
40
2. Social and P￿toraI cart
Support was p￿ided to famil4 with refig¢yJs Materi￿ SUKWt gNen to those in need.
3. Missions
A jumble sale took place orK¢ a mnth h the Hall, to raise funds tsthe ce￿gregatIOn
and the over3eas mi58iOn&
FINANCIAL REVIEW AND RESULTS FOR THE YEAR
The Ststemenl of Winanty81 A¢tiwbes set Page 8 Sh(￿ that the net expendilure for the year
was
£14.184
12019. £223.678).
At tha end ofthe yearthe total fijnds ofthe ￿gregation ￿￿e £910.195. orthly s￿1 £633.074
represents fixed assets needed for the work of the C￿regatI￿.
The remaining balance of £277,121 is considered by the TTl￿teeS to refiect
the true Tree reserves, position ofthe Charrty.
Reserves are held for the foUcMng Teasons".
To proiride a sound financaal base to ￿Jpportthe firture ath1t￿ ofthe Congregation. A targ8t
of three months running costs has been se( equates lo £72.￿ forthe yèar ended
31 [l￿nber 2020.
To promde for the firt￿￿ (*0 and SUPFOrt ofthe memb¥s ofthe Congregation. The
rr*nlty has b￿ble members and the average age ofthe cororegation r￿naInS high.
The Tru3tee5 consider the cAJrrerrt levd 0freSer￿ to be alyw1￿ glven th• 8trt)ve pdicy.

DAUGHTERS OF DMNE CHARITY, CHESTERFIELD
TRUSTEES. REPORT FOR THE YEAR ENDED 31 OECEIIBER2020
Inv•slm•nt powors pollcyand objectlveg
Under the Orderfs Trust Deed there are no limitatrons in the TnBtees' PfAver5 of In￿strnenl
The Trustees have considered the rnost appTcpfi8te policy for investing funds and conduded
that hokjing monies in bank deposit accounts and shortterni brKLds meets IhÈ requirement to generale
Income whilst min5mislng risk and maintaining IN]u*Jty. Given ts nattjre of the8e nve¥trTbgnt thg
Tru$toe$ ¢onsid$r retum to be satsfatxory.
FUTURE PLANS
Our key Objec￿ for the fijture remain th8 same as atrthe for thLs year.
The ongoing develOpme￿t of St Joseph's Littte Stholars Nursery Sch￿1 will o)ntinuè to bè thè Trustees
main ￿leCt[￿6 in arderto M8￿MIse the use of faolibes and resw
The aver8ge age of memtors ofthe CoThJregation remwns lugh the ts)nWuenli￿ rwwj to mainlain
pension provisions for future y8ar5.
STATEME￿ OF TRUSTEES. RESPONSIBILMES
trust985 are responslble for preparing Trustees, Annu￿ Report and the fin8nrAd st8t8ments
in acwrdance with applirAblè law arKI United lQrW)m ACct￿￿ng StaThJards (Uniied Kingdom Generally
A￿pted Accounting Practilx).
The law applicabte lo charitEs in England & Wales requirB5 thètrust88S to Fxepare financaal statements
for èach financtal year vA)ich gwe a true and fair view of the stste of affair5 of the thartty and of the
incx)ming resOUTf￿ and appiicAtion olresouitss of the charity forthat Feriod. In preparing these finanaal
statements. the trustees are required to..
• selerl Suitab￿ aCr￿n11ThJ poli(aes and then apply than ¢))nSL$￿ty.
• observe the methods and prin1]￿e$ in the Chwiti85 SORP 2019 (FRS 11r21'.
' make judgements and estrnates th8t arè raasona￿tr and NU￿n¢
. stats whether applicable acrA)untirvJ st8nd8rds have teen Idl￿￿E￿. subJ'eLato any
material deparbjres dlsdowj and explained in the finanryd ststements.,
' prepare the finanaal Stateme￿ on the goiry (gnwn basis urkn r(
Inappro￿8￿ to presume that the charitywll continue in Op￿￿'On.
The Trustee5 are responslble for keeping proper aco)unl(ng ￿)rts that dwaoge with
reasonable accuracy. at any time. tt5e finandal position of the congregab.on and enabje thwn
to ensure that the finan￿￿ statements (￿Ptyvth thè Chariti6s Attt 2011, the Charity (A￿Unts
and Reports) Regul8tions 2008 and th8 PThTsions ofthe trust dee(l. They are also respon￿ble for
safeguarding the assets ofthe Charity and for tsking re8sonab18 Steps fortt￿ preventi￿7
8nd detection ol fraud and other irregularrbes.
Approved by the Tr￿￿tOeS
01 Octob8r 2￿21 and SVJrt￿ as authorised cfft their tehalfby.
Sr K M Prgntl¢¢
fTUStee
stb J Ridler
Trustse

DAUGHTERS OF t)MNE CHARifi, CHESTERFIELD
INDEPENDENT EXAMINER'S REpoKr
TO THE TRUSTEES OF DAUGHTERS OF DMNE CHARrrY. CHESTERFIELD
I réport to thè charity trustees an my examination of the ac%￿nts of the tharity for thè year en￿1 31st Deeern￿r
2019 whith are set out on pages 8 to 16.
Responsibilitieg and basis of report
A8 the th8rsty'8 tnjstees you are respon8lbk for the prewation offv 8LXXMJnts kn ac(x¥dant* ￿ thè requiraments
of the Charftles Act 2011 Ilhe Arf).
I report in respect of my examinalion of the d)arity's a￿O￿nts carried out Lmder sec*on 145 of the Ac* and in
carrying (xrt my exarrinalion I havè follth¥8d an apF4icablè Direcbons given by the Charity Commission under
section 145151{bl of thé AL#.
Indopond•nt oxamln*s statwnent
Sln(* the o)mpany'8 gross In￿me exceeded £250.000 yourexaminer must be a m￿ber of a listed in secl(on
145 ofthe 2011 Art. I confim th* l am qualffied to undertake the examination because l am a member of ICAEW.
which is one of the listed Ix#Jie&
I have completed my examination. I confirm that no mataial matters coffR to my atiention in CL￿neCtIon wth
the ex4nwnat¥￿ giving rng causè to that tn any matwia rèsp
accounling records not kept in respeLI of the dwity as required by ser*on 130 of the Ai£ or
the accounts do not acojrd wrth those rerAJrrts", o
the a(tounl$ do not c¢mpty wlh th¢ appli¢&le requIw￿nts ￿*n¢¢m1ng the forni and cxjntent of accounts Set
out in the chariti.es (Attounts 8nd Rap￿ts) Regulations 2008 otherthan any r￿UIreMent that thg a￿)Unts give a
'Irue and far vi￿£ whlch is not a matter considered as part ofan Inde￿ndent examinab"on.
I have no ojncems and have come acTC*$ no cthw mattets in cxJnr*caion the examination to vthich attention
should be drawn in this report in order to enable a proper undwstanding of the acEounts to be reathed.
Hdena W¢lklnson FGI DChA
PRICE BAILEY LLP
Q*8rtere<l A￿0￿tsnts
Anglia House
6 centr￿ Avenue
st Andrèws Busin￿ Park
Thorpe St Andrew
Norwith
NR7 OHR
Dats.. 13 October 2021

DAUGHTERS OF DMNE CHARITY. CHESTERFIELD
STAT&IENT OF F114ANCIAL ACTIVIW FOR YEAR ENDED 31 DECEIIBER 2020
Unrestrtctod Unrnstricted
Fund$
Funds
31 Do¢ 2020
31 D•¢ 2019
INCOME
Donations and legaaes
Income from charitatle acbvrbes
Investment Irts)me
88.179
189.291
194
7.796
194.054
2.706
TOTAL INCOME
277,864
204.556
Expendiwre on chariF* adiwlRs
291.848
428,234
TOTAL EXPEND￿uRE
291.848
428,234
Net expendithre for the year
b•lng not M0￿ment in fund8
{14.184)
(223.6781
Reeoneillatson of fvn(ts..
Totsl funds broughiforward
924.379
1.148.057
Total funds cathed forward
910.195
¥24,379
All amounts retale to ￿￿tinUing at*wties of the tharity.
The Statèment ol Financial Acbiubes indudes all gains and losses reccgni8ed in the year.
The notes on pagès 10 10 16 fomi part ofthese statem￿.

DAUGHTERS OF DMNE cHAR￿Y, CHESTERFIELD
BALANCE SHEET AS AT 31ST DECE118ER 2020
2020
2019
FIXED ASSETS
T8ngit40 Fixed Assats
633.074
645,823
CURRENT ASS￿8
Debtors & Prepa￿￿ents
Cash at Bank & in Hand
6,1SI
286.32¥
292.495
8.181
276,635
284,816
CRED￿oR8. AMOUNTS FALLING DUE
HIN ONEYEAR
10
374
NET CURRENT ASSETS
277,121
278.556
TOTAL NET ASSErs
910.195
924,379
FUNDS
Unrestricted Funds..
G¢ner
91Q.195
924.379
910.195
924,379
The financta slatements pages 8 to 16 were ¥pro￿d bythe Tntstees authorisad ftr on
01 October 2021 and are signed on their behalf by:
Trustse Sr. K M Prenlice
Sr. D J Ridler
The notes pages 10 to 16 femi part of thase firkan1?￿ statèmènt

DAUGHTERS OF DMNE CHARrrY, CHESTERFIELD
NOTES TO THE FINM¢￿L STATEMEp¥fs FOR THE YEAR EM)ED 31 DECEMBER 2020
I ACCOUNTING POUCIES
The wncipal ￿jUr￿Jng Fdiaes adopted. JUdg￿nts and key ofestimation
uncertairty in the preparation ofthe financia slatem&)ts are as fdJ(sVts'.
1.1 BASIS OF ACCOUNTING
The financia] Stat￿￿ts have been prepared tn arxtthce th AKrunting and Reporting
by Charities.. Statement of Recommended Pwlio aF￿1¢a￿e to tharibos tryaring their
accounts in acLordance with the Finana4 Repo￿ng Stsndard applicabJ6 in tho UK and
Republic of Ireland (FRS 1021 leffecbve 1 January 2019)- {Charibes SORP IFRS 10211, the
Financid Repor￿ThJ Standard app]icable in the UK Republic of Irdand IFRS 1021 and the
Chariknes Act 2011.
The finanaal ststements have been prepared to give us a 7rue and fatff Maw and hav8 d&parted from th
Charities (Auxunts and Rep￿ts) Reg￿ationS 2008 ￿ to the extent required to provide a'true and
frdir ¥1￿. Thi8 departure has involved fdlcfftmng At))JJnbng and Reporting by Charibe5 prepariThJ iheir
a￿oUnts in a¢c4)rdanc¢ with the Finants￿ Rerrtwb"ng StarKl8r(l applicable n the UK arHJ ReputrAi¢ of
Ireland IFRS 1021 iSsL￿d on 16 Juty 2014 rathèr than A￿xIn1]ng and Rep)tting by Charitles..
Statement of Rec4)mmended Pradic£ effectNe from 2005 vthich since withdrawn.
Daughters of DI￿ne Charity. Chesterfield meets the definilion of a PLknltc benefft antity under FRS 102.
Assets and liabilities are inib'alty recoJnised at his1￿]Cal ￿st or transaL*on value unless otherwsa
stated in the relevant aoxunting polsry note(s).
The tharty, being Sm￿1 in sEe. has used the exemption wowéed by Charitses SORP IFRS 1021
under which it 18 not required to indude a cashftow statenknt as part of U)e finanoaf statements.
The acC￿nts are p￿pare<l In Fthmds sterliig and rUUnd￿ to the nearest p￿nd.
12 GOING CONCERN
The trustees ccmiderthat there are no rrAterial unC￿aInlieS about the charit¢$ ability to contlnue as
a wng ￿nce￿. Wth Tegard to the folkmng year. the most sgniffcant areas of uncertalnty ofthe
arity are the ￿Ve1 of donati￿ inc4)rne and numbers of PUFrfls to the sthod vknich is needed to
>)veT the cost ofthe tharity.
At 31 0ecemlx2020 net CLwrent a53ets anKJunbJ to £277.121.
Tha Tru5t8es have wwderwj the period 0112 monlts from the balance sheet date and have
eonduded that thè tsjmpany will ractnts suffic>ènt funds to the foreseeable fiJture.
Bas&J on the atove the TTUSteeg c4)nskler to prepare the flnandal st*ments on the
golng concwn b8*.
1.3 FUND AccoupillNG
Unrestrtcted funds are avaiJat4e to Sper￿ on *p4ibes thatfijrther ofth• purFrt)ses of tharity.

DAUGHTERS OF DIVINE CHARrrY, CHESTERFIELD
NOTES TO THE FINANCIAL STATEIIEKfs FOR THE YEAR ENDED 31 DECEMBER 2020
q. ACCOUNTING POUCIES (eontlnuèd)
IA INCOME
Income is recognised vthen thè dwity has enUYÈmentlo the fvn¢J4 any perf(¥mance
condibons attached to ts itemlsl of in¢ome have been it 1$ pr¢babJe that the incumg will
Nursery fees rece￿ble are accounted for in the perhjd in ￿1c￿ Ihe rel￿t sentices are provided and
are stated nel of any bur3aries and amcftwances.
Donab"ons. grants and grts are recognised when reC￿Vab￿. In the event that a donabon is
subjeca to fulfilling perfornWn￿ conditions before the tharity is entrtled to the fvnds, the income
deferr&J and not recognised until it is wobable that those ccThJtttcffls te fijlfilkd in the repor￿ng
period.
Inte￿5t on deposit fvnds hdd i8 indLKled when receivable and Ihe arn￿nt can be measured relkibly
by the chariiy vthi¢h normalty upon notsfi¢8tion of Ihè inlerost pid or pay8trAe by the bank.
Ineome tax recoverable in relati￿ to irwestmant incomts is rewrtTs&d atthe timè thè
investment In￿Me is reLaivable
1.6 DIRECT AND OVERHEAD EXPENDITURE
Dlrec* chaTitatle exwditiwe ¢)Jn&sts ofdl ewditure dire* rdating to the objects ofthe Charity.
Certain ￿nts31 cA)sts ￿]ch cannot tse directty apportioned are allocated betr￿n direct charitabbe
expenditure and governan￿ cosls the basis of the Trustees, estimate of the time spent on the
relevant fvnctions. Supplies of games equipmenL tr*x4(s. stationery and ￿ndry materials are written
off to the Statement of Finan¢ia] Acts￿l￿eS as as the eX￿dIture is [r￿Tre￿I.
Grants are rnade al the dIs(Xeti(￿ ot the Twstees.
G0veM￿{* (*Jmprise thè (*Jsts of njnnthg the dwity Indudlrvj audiL any legal or profe88ional
ad￿1￿ aNI all costs of comp￿.ng ￿nSblu￿0naj and statutory reqUI￿}ents suth as
the cost of preparing statutory accounts.
IrreoJver*e VAT is indLKled with the category of exEense to it rdates.
1.6 FINANCIAL INSTRUMEp¥rs
The tharity (￿ty has financAal assets and liab1T￿eS of a knnd that qualfy as ba&cfinanual
InStru￿EntS. Basic ffnancaal Instruments are initialty recognk8ed at 1[a￿￿On Yalue and
sub8equenYy meaSUTed at thwr sduement Ydlue.
The financia assets ofthe tharrty indude at bank and the sc*ool
fees debtors. Prepayments are not i*nsidered a fiftan(ial asset. The fin8nci81 IKgbilltie$
of the tharity indude accruals and ots cre(frtor
10

DAUGHTERS OF DMNE CHARITY. CHESTERFIELD
NOTES TO TrfE FINhNCIALSTATEMEIWS FOR THEYEhR ENDED 31 DECFJIBER 2020
1. ACCOUNTING POUCIES (continued)
1.7 FIXED ASSErs
The freehold land and buildings remain in uv)stant use In fvrtheran￿ of the Congregations's charrtable
ot¥'ectNes and are property mati)tained to *andards that ena￿e the Trt￿ to ctsndude thatthe
residual value of the propety exceeds the value.
Tangible F￿ed assets are stated at o)st ￿ValuatiOn kn deprecYatiC￿.
DepreaatKJn is provided at rates cak￿lated to write off the ¢Tht assets. less their estimated
re￿dUal value, over their expecae(l ernrIo￿1C usefvl on the foNcw*ing basis..
Land
Bulldirrfjs
Fumiture & Frtbngs
Ol￿VehIdeS
NN
2% straKJht line
10% reduang balan
25% reducing balan
Assets dmated for use bythe tharity are recc¥ani*J as intsyne kn r&elvable and
prtalIs￿ * th*r markèt vduè.
hems costing than £250 are*Y1lt￿ off as an &XFer¢é as a4uIr￿.
1.8 DEBTORS
Debtors are re￿nised atthe settlement arTh￿nI due after any trade discount
offered. Prepayments aTe va]ued at the amount prepad net of any trade discKJunts due.
1.9 CASH AT BANK AND IN HAND
Cash at bank and cash in hand indudes cash and short tem) highfy fiquid InvestsY￿ with
short maturity of three months or less fr(#n date ofacquisibon or opening oftha deF>)sit LY
similar account
1.10 CREDITORS
Credrtors are recognised where the tharity has a present otligation resulting from a past event that
will probabiy result in the transfer of fvnds to a third party and the amount due to settle the obligation
can be ￿asured or estirnated rdialAy. Creditorn are ThThally reo)3nised atth￿r sethemenl amount
after allwng for any th8(￿nts due.
1.11 PENSIONS
Emptoyees ofthe tharity are entiued tojoin a defined contribjbon'money purchase. stheme. The
¢harty Cor￿IbU￿"an is rèstrided to thè &￿In"but10nX dtsdcJ#Éd in nolè 14. Thè casts Of thè dèfinèd
eontribLttion sd)eme are induded the assotiattsj staff c¢)sts and allocatad thereforè to raising
funds, charitable support gO￿n3￿ costs and C￿r9ed to the unresthded funds
ofthe tharity.
11

DAUGHTERS OF DIVINE CHARITY. CHESTERFIELD
NOTES TO TrIE ANANCIALSTATEMEKfs THE YEAR ENDED 31 DECEUEER 2020
2 INCOME FROM t)ONAnoNS AND LEGACIES
2020
2019
Donat￿)nS
Legacy donat&J by th6 Sisters
Sal8ri¥ penslons don*8d byth8 SIS
1.163
79.216
1,0
6.7
88.179
3 INCOME FROM CHARrrABLE ACTivrnES
2020
2019
Nurnery fees receiwat4e
189291
194.054
4 INVESTMENT INCOME
2020
2019
Bank intere
194
2.7C
5 ANALYSIS OF EXPENDMIRE ON CHARifABLE ACTMTIES
2020 Expgndliwe
Staff
Costs
2020
t)epreciation Totsl
Charttabje Nzllv]tles
Dire¢* Running Ccéts
Premises and EquiWn￿rt
Support Costs
138.867 38.484
8,624
13.&)7
60.395
1TI,331
20,913
12289
138.867
12.749 212,011
prnwn￿ 8nd Communibas
Mi88K)ns and Charit8bie GT8nts
7,LM18
72,829
72,829
138.867
140.232
12 749 291848
Stsff
Cos
2019
Other Depradatton Totat
2019 Expenditure
CharitableAcliwtie5
School
DireLt Runntng Cc6ts
Prernises and Equipment
Support Co8ts
131.571
40.486
7.185
12,726
60,397
172,057
19,503
12.318
614
12,932 204,900
131.571
Province and C(mmLM￿eS
Missions and Charitable Grants
213.
213.850
131.571
283.731
12 932 428 234
12

DAUGHTERS OF DMNE CHARITY, CHESTERFIELD
NOTES TO THE FINaP4¢￿STAyEUE1￿rS FOR ThE YEAR ENDED 31 DECEMBER 2020
S ANALYSIS OF EXPENDrruRE ON CHARrrA8LE AcmvmES I￿ntInU•d)
J20
2019
Support Cl￿ts ojnwse..
Printing, Postage & Statiwy
Telephone
Motor & Travd
Bank Charges
Depreoation
Bad Debts
Professional Fee
Indep￿ent examinabon fee
39
1.050
8.209
245
8.887
272
614
1,109
830
2,934
13,767
1,490
13,340
2020
2019
Missions and Charitable Grants (*mK¥i8e.'
Grant to the Daughters of Diwne Charrty. Romè
Grant to the D8ughters of DiTr&ine Charity, Uganda
Grant to the Daughte[5 of Divine Charity. Poland
DOn￿"On to Swatham Communty
Sundry Grants
1,000
250
1.300
210.000
1.300
213,850
959
71.500
370
72.829
6 ANALYSIS OF STAFF COSTS AND I(EY PAAMAGEmE1￿ PERSONNEL
2020
2019
Wages and sal8rles
Soaal security costs
pensi￿ cosls
136.019
128,409
1,790
1,372
131,571
138.867
The averag¢ number of employees in the yearwas:
- Sthool teathers
- Other
12
12
14
14
No ernploy￿ recdved ern￿ee tenefits exdJdirNJ ￿slo￿ wrdrityjtiong olpr £60,￿lo{2019. £NIl).
The Charity Con￿derS that the W M*agaI￿rt personnel o)mprise the trustees and the sen5Cf
managwnent tea
The totsl emkloyee be￿fits ofthe key m￿￿ement personnel ofthe chaiity were £25.204
(2019: £23.4831.
As members of the Congregation, the four Twstees. liwng ey4>enses during thè yè8r. 8mounling to £5.221
(2019: four trustees totallirrfJ £5.788) were tr*)me by the charrty. The Trust￿ recerved no remuneration or
other benefrts or reimbursement ofexpenses in ￿ne￿[On their duties a5 T￿￿ during the
year12019= £NiD.
13

DAUGHTERS OF DMNE CHARITY, CHESTERFIELD
NOTES TO THE FINANCIAL STATEMEKf8 FOR THE YEAR ENDED 31 DECEMBER 2020
7 NET EXPENtfftlRE
2020
2019
Net expendrtLtye ts stated 8fter ch￿ing..
DepYea8tion
Independent examiner3 fees
12.749
1,750
12.932
1.490
8 TANGIBLE FLXED ASSETS
Fre8hold
Furni￿
Land and
and
Motor
Buiklings Equipment Vehlc166
Total
At Start and end of yoar
901.585
785
970 158
Depreclatlon
At start of year
Charge for the y
260,175
12,032
$2212
257
11.948
324,335
12.749
At end of J*ar
271207
51469
11408
337.084
Net book value at the end of the
629.378
1316
633,074
Net book walue at Ihe start of the y
641.410
2,573
645,823
The cost of depreuable assets in¢**Jed in freehold land and I￿1&￿IngS at 31 D￿rnber 2020 18
£601.58512019- £601.585).
9 DEBTORS
X120
2019
School Fees
Prepayrrwts
1.032
5.135
2.033
6.148
6.167
8.181
14

DAUGHTERS OF DMNE CHARrrY. CHESTERFIELD
NOTES TO THE FINANCIALSYAIEMENTS FOR THEYEPJI ENDED 31 DECEMBER 2020
10 cRED￿oR8. AMOUNTS FAWNG DUE WITHIN ONE YEAR
2020
2019
Accruals
Other creditor5
Pension COntrik￿tic
Taxation and ¥￿al security
4,910
58
248
1.044
8.932
419
1,019
15,374
6.260
11 RELATED PAm TRANSAcnoNS
During the year the tharity made a dC￿3110n of £71.5(￿12019.. £210.000) to Daughters of l)Nine
Charity Shwdffftam. Daughters of Dimne Swaffiwn and Daughters of Dmne Chesterfietd are re(ated parties
as tL>Jelher. they (￿nstitUts the English PmMnc8. Tha Eryllsh provir￿ is administered by the
Provinaal Superior togelherwth a Counal ￿n$th"ng of 3 rx)unc#llors.
These financial statements are also consolidated irrto the finanual stslements of Daughters of Divine
Charity Swaffftam as this thwrty eortrot3 D3ughter8 of tivine Charity CFwterfield.
12 PENSIONS
The tharity operates a defined cc*rtritMrtion perts]c￿ stheme. The totat pen￿on cost in the yearwas
£1.592 (2019.. £13721. Tho amourt due to the scheme at the year end was £41912019.. £248>
15