CHURCH OF THE EPIPHANY PARISH OF UPPER MALONE
Recelpts and Payments Account for the year ended 31 December 2025
Unrestsirt￿ -7 Restrfcted I
Funds
Funds 1
2025
2025 i
Totsl
2025
Total i
20241
Re¢el
F.W.O. and General offerfn8S
Other donatlons
Tax Rellef on Glft-Alded don•tlons
Hlre of Halls
Rertory Rent
Investment Income
Bank Interest
Donatlons for 3wd party charftles
SL Polycarp'5 contrlbution to cost of Rector
Smartles Appeal
Elertrlclty Refund
Fundralslng
Cremation plot
Fabric fund
20326
no
4654 .
2899
10240
20326
720
4654
, 2899
18375
5024
21
374
676
209
244
960 ..
32795
32795
2176
175
2176 1
175
915
TotslR I ts I
74504
1765
76269
Pa
ments
Cler8y Costs- stlpend, io¢omotory, offlce and
Employerf$ NIC
48170
48170
44358
aer8y Costs- penslon
i Clergy tover
t Or8anlst
i Equlpment and repalrs
Stationery and prlnting
Utllltles and Rates
Dlocesan Assessment
Insurance
Independent Examlner
Refund of St. Polycarp's share of overpald NIC
Bank charges
Repairs to St. Polycarp's rertory
i Accountlng fees
I Payroll processlng
I Incldental runnlng costs
Charitable donatlons
10447
10447
Iso
1500
2498
10242
1500
2498
850
4964 .
1620
421
4964
7083
2191
6784
2088
300
2191
123
2365
858
139
2013
2365
858
425
695
85518
114810)
ments
Excess of Payments over Recelpts for the year
Transfers
Openlng Bank balances
aoslng Bank balances
82368
(7864)
960
805
83328
(7059)
1884
10981
2282
21127
35937
21127
3087
On Behalf of the Trustees
Trustee I
15[¥
Trustse 2

CHURCH OF THE EPIPHANY PARISH OF UPPER MALONE
Statement of Assets and Liabilities as at 31 December 2025
Note
Unrestrlcted
Funds
2025
Restrlcted
Funds
2025
Endowment
. Funds
2025
Total
2025
Total
2024
Cash Funds
Bank Accounts
Total Cash Funds
10981
10981
3087
3087
14068
14068
21127
Z1127
Investment Assets
Rectory
Total Investment Assets
27501J)
2750(M)
275000
275000
2751X)O
275000
Gift Aid
Debtors-Total
5278
5278
5278
5278
4620
4620
Accountancy services
Payroll services
Independent Examiner
PAYE/NIC
Creditor5- Total
382
120
300
2336
3138
382
120
300
2336
313
3C
2280
3288
Restricted funds
Restricted funds are monies which have been 8lven to the charity forthe express purpose of the rnaintenance of the
buildings. Further details can be found in note 3.
On Behalf of the Trustees
Trustee I
Trustee 2
a- E£US

**CHURCH OF THE EPIPHANY PARISH OF UPPER MALONE Notes to the financial statements for the year ended 31 December 2025** 

## **1. Accounting policies** 

Set out below are the principal accounting policies which have been adopted in the compilation of the Receipts and Payments Account and the Statement of Assets and Liabilities 

## **(a) Receipts and Payments Account** 

All items of income and expenditure included within the Receipts and Payments Account have been accounted for on a cash receipts basis. 

## **(b) Statement of Assets and Liabilities** 

## **(i)** _**Assets retained for the Parish’s own use**_ 

The assets of the Parish, retained for its own use comprise of: - 

- Church Building 

- Church Hall 

The Church Building are deemed to be Heritage assets as defined by the Charities SORP (FRS102). These Heritage assets are not included in the statement of assets and liabilities as information on the cost or valuation is not available and such information cannot be obtained at a cost commensurate with the benefit to the users of the accounts and to the parish. 

The Church Hall is physically attached and on the same grounds as the Church Building, as such is not separable as an individual asset. Therefore, it is deemed to be a Heritage asset and no value is ascribed to it in the statement of assets and liabilities. 

## **ii) Investment property** 

The Rectory, which is currently rented out, is recognised at a current value of around £275,000. Depreciation is not provided on investment property measured at fair value. 

## **2. Reconciliation of Cash Funds** 

|**Reconciliation of Cash Funds**||
|---|---|
||£|
|Total Cash Funds at Beginning of the Year|21,127|
|Receipts for the Year|76,269|
|Payments for the Year|(83,328)|
||------------|
|Total Cash Funds at End of the Year|14,068|
||------------|



**3. Movements in Funds** 


**----- Start of picture text -----**<br>
Restricted Funds  At 1 [st]  Jan  Incoming  Outgoing  Transfer to  At 31 [st]  Dec<br>2025 Resources Resources 2025<br>£ £ £ Unrestricted  £<br>funds<br>£<br>Fabric Fund  2282  805  -  -  3087<br>Collections for 3 [rd]  Party Charities  - 960 960 - -<br>Total Funds  2282 1765  960 - 3087<br>**----- End of picture text -----**<br>


## Purposes of Restricted Funds 

- Income for the Fabric Fund is to be used for expenditure on buildings. 

- Church Collections for various 3[rd] party charities as detailed in notes 4 and 5. 

8 



**CHURCH OF THE EPIPHANY PARISH OF UPPER MALONE** 

**Notes to the financial statements for the year ended 31 December 2025 (continued)** 

## **4. Collections for Third Parties** 


**----- Start of picture text -----**<br>
Charity  Donations  Donations<br>received received<br>2025 2024<br>£ £<br>CMSI  400  431<br>Christian Aid  335  245<br>NI Hospice  75  -<br>Salvation Army 75  -<br>Alzheimer’s Society 75  -<br>Total Donations  960 676<br>**----- End of picture text -----**<br>


**5. Charitable Donations** 


**----- Start of picture text -----**<br>
Charity  Donations  Donations<br>made made<br>2025 2024<br>£ £<br>CMSI  400  450<br>Christian Aid  335  245<br>NI Hospice  75  -<br>Salvation Army 75  -<br>Alzheimer’s Society 75  -<br>Total Amount Donated  960  695<br>**----- End of picture text -----**<br>


## **6. Transactions with the Trustees** 

The Rector was paid a stipend of £40,295 (2024 - £39,504), locomotory expenses of £7,000 (2024 - £7,000) and office allowance of £925 (2024 - £925).  The Parish also paid the employer’s and employee’s contribution to the Church of Ireland’s centrally administrated Pension fund of £10,447 (2024 - £10,242).  The rector is also provided with free accommodation in order to fulfil her responsibilities. 

55% of the costs of the rector are paid by St. Polycarp’s, the parish with which we are grouped. 

No other trustee or person related to a trustee received remuneration, benefits or reimbursement of expenses nor had any personal interest in any contract or transaction entered into by the charity during the year. 

## **7. Governance costs** 

Governance costs of £300 (2024 - £300) were paid during the year in respect of fees to the independent examiner. Independent examiner’s fees for 2025 will amount to £300 (2024 - £300). 

9 

