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NEWTOWNABBEY/Mallusk/St Brigid's,<br>NIC102650<br>Glengormley/Connor/Church Of Ireland<br>Receipts and Payments Account<br>For the period<br>01/01/2022 To 31/12/2022<br>from<br>Section A Receipts and payments<br>Unrestricted  Restricted<br>Total funds Last year<br>funds funds<br>A1 Receipts<br>FWO Envelopes                46,532.36                                 46,532.36                50,525.05<br>Building Fund                  3,712.00                                   3,712.00                             -<br>Loose Collection                  1,222.12                              -                                     1,222.12<br>Gift Aid                  9,897.22                              -                                     9,897.22                12,060.26<br>Gift Days                     646.39                              -                                        646.39                  1,310.30<br>Use of Premises                12,652.00                   7,068.00                                 19,720.00                  2,076.25<br>Fundraising - Mission                  1,315.82                              -                                     1,315.82                     219.43<br>Fundraising - General                     505.40                              -                                        505.40                     107.30<br>Other Receipts                  2,160.00                   4,348.37                                   6,508.37                  6,006.17<br>Bank Interest                     105.91                              -                                        105.91                       38.76<br>COVID 19 Fund                             -                                -                                                -                    9,640.35<br>Insurance Claim                             -                                -                                                -                    5,702.10<br>A1 Sub total  (Gross income for the Annual Return)                 75,037.22                 15,128.37                                 90,165.59                87,685.97<br>A2 Asset and investment sales  (see tables 1 and 2 in section 7<br>of the guidance).<br>Proceeds from sale of fixed asset                             -                                -                                                -                               -<br>Loan repayments received                             -                                -                                                -                               -<br>A2 Sub total                              -                                -                                                -                               -<br>Total receipts            75,037.22             15,128.37                           90,165.59           87,685.97<br>A3 Payments                                  -<br>Salaries and Wages                32,811.13                                 32,811.13                28,657.22<br>Diocesan General Fund                  7,805.38                                   7,805.38                  9,184.72<br>Rectory Costs                     990.05                              -                                        990.05                  1,188.85<br>Church Overheads                  8,469.79                              -                                     8,469.79                  9,268.50<br>Office Expenses                       80.38                              -                                          80.38<br>Church and Halls Maintenance                  2,356.75                              -                                     2,356.75                13,440.51<br>Other Curch Costs                     718.13                                      718.13                  4,626.70<br>Teaching and Resources                     249.00                                      249.00<br>Outreach                     180.00                                      180.00                  3,940.43<br>Charitable Donatations                  1,123.00                                   1,123.00                     150.00<br>Miscellaneous Donation                                             -                       100.00<br>Vacancy Costs                  4,418.80                                   4,418.80<br>Rectory Alterations                16,766.36                                 16,766.36<br>                            -                                -                                                -                               -<br>A3 Sub total               53,660.61                22,308.16                                75,968.77               70,555.93<br>A4 Asset and investment purchases  (see tables 1 and 2 in<br>section 7 of the guidance)<br>Purchase of investments                             -                                -                                                -                               -<br>Loans made                             -                                -                                                -                               -<br>A4 Sub total                            -                               -                                               -                              -<br>Total payments             53,660.61              22,308.16                            75,968.77            70,555.93<br>Net of receipts/(payments)             21,376.61  -            7,179.79                            14,196.82           17,130.04<br>A5 Transfers between funds              1,118.84  -            1,118.64  -                         -<br>A6 Cash funds last year end               9,601.27             20,515.00                           30,116.27           12,987.23<br>Cash funds this year end             32,098.72              12,216.37                            44,315.09           30,116.27<br>**----- End of picture text -----**<br>


CCXX R1 accounts (SS) 

05/02/2023 

1 




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NEWTOWNABBEY/Mallusk/St Brigid's, Glengormley/Connor/Church Of Ireland -  Period end date: 31/12/2022<br>Section B Statement of assets and liabilities at the end of the period<br>Unrestricted  Restricted<br>Categories  Details   funds funds Total funds  Last year<br>B1 Cash funds  Current account               32,098.72               32,098.72               9,601.27<br> Deposit account                            -                   12,216.37               12,216.37             20,515.00<br>                          -                             -                           -<br>Total cash funds             32,098.72              12,216.37           44,315.09          30,116.27<br>(agree balances with receipts and payments account(s)) OK  OK  OK  OK<br> Unrestricted   Restricted<br> Total funds    Last year<br>funds funds<br>B2 Other monetary                              -                             -<br>assets                           -                                -                             -                            -<br>                          -                                -                             -                            -<br>                          -                                -                             -                            -<br>                          -                                -                             -                            -<br>                     -                        -<br>Fund to which  Current value<br> Details  asset belongs  (optional)  Last year<br>B3 Investment                           -                            -<br>assets                          -                            -<br>                         -                            -<br>                         -                            -<br> Total                       -                        -<br>Fund to which  Current value<br> Details  asset belongs  (optional)  Last year<br>B4 Assets retained                           -                            -<br>for the charity’s own                           -                            -<br>use                          -                            -<br>                         -                            -<br>                         -                            -<br>                         -                            -<br>                         -                            -<br>                         -                            -<br> Total                       -                        -<br> Fund to which   Amount due<br> Details  liability relates  (optional)  Last year<br>B5 Liabilities  Reimbursement of Expenses   Deposit                    666.15<br>                         -                            -<br>                         -                            -<br>                         -                            -<br>                         -                            -<br>             666.15                      -<br>**----- End of picture text -----**<br>


Copy of 2022 YE Accounts Final / Statement of balances 

2 

December 2007 

