Glena
Parlsh Church Accounts
47.111.70 59.asi83
n93
47.41UI J•AOI.UI
IM74 4W66
•3.101.32 11)15.455.12


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Glenavy Parish Church<br>Income and Expenditure Report<br>Unrestricted  Restricted<br>Year ended 31st December 2023 Funds Funds Total Total<br>2023 2023 2023 2022<br>£ £ £ £<br>Income<br>Voluntary giving 66,543.90 3,322.00 69,865.90 67,786.62<br>Gift Aid 11,411.93 11,411.93 13,021.52<br>Extraordinary general income 2,459.88 2,459.88 23854.15<br>Investment income 84,991.99 84,991.99 81,209.56<br>General parish income 2,020.00 2,020.00 3,095.00<br>Property related income 3,459.68 3,459.68 3,943.50<br>Other funds raised 1,482.84 1,482.84 114.48<br>Total Income 172,370.22 3,322.00 175,692.22 193,024.83<br>Expenditure<br>Repairs / Upkeep 46,941.98 46,941.98 35,432.13<br>St John's Restoration 22,338.37 22,338.37<br>Staffing costs - Clerical 59,620.22 59,620.22 55,168.39<br>Staffing costs - Other 5,886.18 5,886.18 4,185.00<br>Rates and Water 2,506.36 2,506.36 2,206.01<br>Diocesan Levies 15,975.24 15,975.24 16,750.18<br>General parochial overheads 12,458.46 12,458.46 11,780.22<br>Parochial ministry overheads 3,462.06 3,462.06 6,821.43<br>Financial and professional costs 4,525.15 4,525.15 4,535.74<br>Special project costs 0.00 0.00 0.00<br>Donations to Charities and Missions 10,510.00 3,322.00 13,832.00 11,189.00<br>Total Expenditure 184,224.02 3,322.00 187,546.02 148,068.10<br>Surplus / (Deficit) for the year (11,853.80) 44,956.73<br>Reserves brought forward 105,455.12 60,498.39<br>Reserves carried forward 93,601.32 105,455.12<br>**----- End of picture text -----**<br>




## **Glenavy Parish Church** 

## **Investment Assets held with RCB Dublin at 31 December 2023** 

|**Bank Accounts**|**2023**|**2022**||
|---|---|---|---|
||**£**|**£**||
|Deposit Account (Crumlin Wayleave)|5,448.39|5,281.07||
|RB General Unit Trust NI|3,006,579.00|2,928,988.00||
|**Total Investment Assets**|3,012,027.39|2,934,269.07||



