St Mark’s Church, Dundela, Belfast
Charity Trustees’ Financial Report
for the Year ended 31[st] December 2024
Charity Registration Number NIC102090
1
Parish of St Mark's, Dundela General Fund 31 December 2024 (Unrestricted)
| Balance b/fwd 31 December 2023 | £53,290.84 | |
|---|---|---|
| FY2024 | ||
| Receipts | ||
| FWO | £127,776.18 | |
| Goodbox contactless giving | £1,603.29 | |
| Easy fundraising | £229.60 | |
| Hall use | £8,691.00 | |
| Church use | £2,050.00 | |
| Filming | £1,250.00 | |
| Floodlighting | £585.00 | |
| General Donations | £245.00 | |
| Bank Interest | £604.83 | |
| RCB Investment income | £1,891.53 | |
| Gift Aid Refund | £27,937.45 | |
| Tower Rental income | £7,310.75 | |
| Mums & Chums | £607.77 | |
| Children's Ministry | £329.50 | |
| Tours | £1,882.14 | |
| Merchandise | £638.33 | |
| Church Flowers | £630.00 | |
| Warm Hub | £857.48 | |
| Energy payments | £0.00 | |
| Outreach Worker | £26,171.96 | |
| Organ Fundraiser | £22,414.17 | |
| Christmas Tree Festival & Bazaar | £5,890.80 | |
| Play | £1,467.63 | |
| Music Ministry donation | £350.00 | |
| Gift Aid to be received | £23,964.16 | |
| £265,378.57 |
2
| Expenditure | ||
|---|---|---|
| Payroll | £87,077.15 | |
| Diocesan Assessments | £22,902.00 | |
| Organ Repairs, Organist Fees, Music, | ||
| Choral, Tuner | £24,161.00 | |
| Children's Ministry & YF | £145.48 | |
| Confirmation & Baptism presentations | £1,018.69 | |
| Rates | £1,572.14 | |
| Ground Rent | £92.10 | |
| Entertainment and software licences | £1,575.36 | |
| Magazine/Communication | £2,032.60 | |
| Insurances | £1,294.74 | |
| Gas | £16,596.62 | |
| Oil | £1,665.89 | |
| Electricity | £8,706.11 | |
| Water Charges | £1,232.44 | |
| Photocopying | 1,015.96 | |
| Alarm systems | £1,355.22 | |
| Telephone | £1,754.57 | |
| Office Consumables | £651.45 | |
| Caretaking & Cleaning | £579.85 | |
| Bank Charges | £308.11 | |
| Sound System & TV Screens | £144.00 | |
| Warm Hub | £41.34 | |
| Events & Concerts | £811.26 | |
| Servery Expenses | £195.20 | |
| Merchandise Costs | £352.80 | |
| IT Equipment | £1,103.82 | |
| Gardening Costs | £1,143.21 | |
| Legal Fees | £540.00 | |
| White Goods | £1,460.99 | |
| Other | £2,023.77 | |
| £183,553.86 | ||
| Excess income/ Expenditure for year | £81,824.71 | |
| Balance carried forward | £135,115.55 | |
| Transfers between funds | -£14,700.00 | |
| Total after transfers c/fwd | £120,415.55 |
3
Parish of St Mark's, Dundela Property Fund 31 December 2024 (Restricted)
Balance b/fwd 31 December 2023
| Balance b/fwd 31 December 2023 | £43,558.88 | |
|---|---|---|
| Receipts | ||
| FWO Property Envelopes | £1,586.00 | |
| FWO Standing Order | £11,935.00 | |
| New Spring | £20,593.69 | |
| General Donations | £200.00 | |
| Gift Aid to be received | £2,535.84 | |
| VAT Grant to be received (Mar 25) | £408.00 | |
| Beresford Grant (Jan 25) | £6,400.00 | |
| £43,658.53 | ||
| Expenditure | ||
| Building Repairs - church | £3,950.04 | |
| Building Contractors - rectory | £120.00 | |
| Building Contractors - hall | £92.40 | |
| Building Contractors - Old Rectory | £4,438.00 | |
| Rectory boiler | £335.88 | |
| Church boilers/plumbing | £1,770.00 | |
| £10,706.32 | ||
| Excess income/ Expenditure for year | £32,952.21 | |
| Balance carried forward | £76,511.09 | |
| Transfers between funds in 2024 | £14,700.00 | |
| Total | £91,211.09 |
4
Parish of St Mark's, Dundela Charity Fund 31 December 2024 (Restricted)
Balance b/fwd 31 December 2023
£5,189.78
| Receipts | FY2024 | ||
|---|---|---|---|
| CMSI | £3,735.25 | ||
| Poppy Appeal | £3,816.64 | ||
| Larder | £865.00 | ||
| Corrymeela | £37.39 | ||
| Trussell Appeal | £70.00 | ||
| Scripture Union | £831.76 | ||
| £9,356.04 | |||
| Expenditure | |||
| Larder | £2,601.10 | ||
| CMSI | £5,244.15 | ||
| Poppy Appeal | £3,291.64 | ||
| Down Catherdral Appeal | £200.00 | ||
| Diocesan Bike funds | £600.00 | ||
| Ukraine Appeal | £334.00 | ||
| Scripture Union | £831.76 | ||
| £13,102.65 | |||
| Excess income/ Expenditure for year | -£3,746.61 | ||
| Balance carried forward | £1,443.17 | ||
| Transfers between funds in 2024 | £0.00 | ||
| Total | £1,443.17 |
5
| Parish of St Mark's, Dundela | |
|---|---|
| Trustees Fund 31 December 2024 | |
| (Restricted) | |
| Balance b/fwd 31 December 2023 | £85,252.21 |
| Receipts | FY 2024 |
| Total | £0.00 |
| Expenditure | |
| Total | £0.00 |
| Excess income/ Expenditure for year | £0.00 |
| Balance carried forward | £85,252.21 |
| Transfers between funds in 2024 | £0.00 |
| Total | £85,252.21 |
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Balance Sheet
----- Start of picture text -----
General Fund Property Fund Restricted Fund Trustees Fund Total
Bank & Cash in Hand 91,510 83,867 4,535 85,252 265,164
Debtors
Gift Aid 23,964 2,536 - - 26,500
Prepayments 7,012 - - - 7,012
Accrued Income 404 6,808 - - 7,212
Total Debtors 31,380 9,344 - - 40,724
Total Current Assets 122,890 93,211 4,535 85,252 305,888
Creditors
Deferred Income 2,474 - - - 2,474
Accruals - 2,000 3,092 - 5,092
Total Creditors 2,474 2,000 3,092 - 7,566
Total Assets less Liabilities 120,416 91,211 1,443 85,252 274,358
Retained Earnings 53,291 43,559 5,190 85,252 187,292
Profit/(Loss) in the year 67,125 47,652 (3,747) - 87,066
Total Reserves 120,416 91,211 1,443 85,252 274,358
----- End of picture text -----
7
Parish of St Mark's
Dundela Hon Auditor Statement
I have examined the attached Receipt and Expenditure accounts for the General, Property, Charity, and Trustees funds, of the Parish of St Mark's, Dundela for the year ended 31 December 2024, and also the Summary of funds and bank reconciliation at that date, and confirm that they are in accordance with the Parish books and records.
Mark Eakin
Hon Auditor
Date
8