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2023-12-31-accounts

dRummauL paRish chuRch sc bRigid's ACCOUNTS 2023

Drummaul Parish Church:

Honorary Treasurer's Report to the parishioners of Drummaul Parish Church.

I have pleasure in presenting the financial statements for the year ending 31st December, 2023.

The accounts have been prepared on a receipts and payments basis and in accordance with applicable accounting standards and under the historical cost convention and in accordance with Charities Law.

The surplus of income over expenditure for the year was £6,010.91

The income, with respect to Freewill Offerings, increased by almost £3000 over the previous year. There were several bequeathals that totalled over £10,000 and a substantial one-off donation of £7,200, which helped boost the annual income. In addition, several fund-raising events including several Table Top Sales events and the Christmas Concert raised over £3,500 for parish funds.

However, expenses also increased in 2023. While many expenses increased slightly with respect to the previous year, we did incur a significant expense of £4,900 to replace the boiler for the Church Hall as well as further increase in the cost of Heating and Lighting, Church Insurance and Parish Wage costs by an additional £4,400 compared 2022.

The £69,324 held in the Ulster Bank Trust Accounts cannot be used by the church as this would be a breach of the Trust conditions.

William Spillane Honorary Treasurer

26th February 2024

Drurnm3uI Parish Financial Statements for the year ending 3111212023 Income Freewill Offerings & subscri￿10nS Harvest Collection Grfi Aid Special Collections Down and Connor and Dromore Diocesan Board of Education Trust Income and Interest Contributions from Duneane and Ballyscullion Churches towards Vicarfs Stipènd & Expenses Other Income Donations Maintenance Fund Subscriptions 42.782.19 514.85 5.885.85 3.349.74 2.681.60 1.985.84 16.212.08 3.718.91 17,900.00 280.00 95.311.06 Expenditur¢ Rev Derek P. Ke Stipend Locomolory Expenses National Insurance (including EmF4oyee share) Pension Fund H*ating and Office Expenses Allowance Wages & Se￿ices hired R.C B General Fund Levy Property Expenses - Church Vicarage Mission & Charitabl8 Gmng General Exp&ns8s Insurance Heat & Light Telephone Water Rates Stationary. Printin9 & ph￿0C0Pyin9 Licenses Bank Charges & Interest 32.370.12 6.031.56 3.039.05 5.852.52 1.800.00 2.923.08 .114.36 6.177.63 345.00 4.859.63 3.035.09 5.046.94 6.518.00 254.72 1.161.07 1.025.02 177.30 569.06 89.300.15

Drummaul Parish Church

Statement of Affairs at 31st December 2023

Assets
Ulster Bank Limited
Investment Accounts held in Trust
Current Account
Total Assets
Capital at 1st January 2023
Addition
Surplus for Year
Balance at 31st December 2023
£
Trust Assets
69,324.00
Church Assets
-9,232.51
Badminton Club Accounts 2023
Capital at 1stJanuary 2023
£
Weekly Fees Received
135.00
Expenses
(250)
Balance at 31stDecember 2023
£
69,324.00
-9, 232.51
60,091.49
-15,243.42
6,010.91
-9,232.51
60,091.49
£
262.50
135.00
(250)
147.50

Bowling Club Accounts 2023

Capital at 1stJanuary 2023
£
Member Fees Received
220.00
Tea Money Surplus
0
Fees Paid
(155)
Expenses
(50)
Balance at 31stDecember 2023
£
176.28
0
15
191.28
Maintenance Fund Accounts 2023
£
Capital at 1stJanuary 2023 £ 1551
Subscriptions Received 280 280
Expenses 0 0
Balance at 31stDecember 2023 1831

Note: The maintenance fund monies are included within the main Current Account figures and have been separated out here for information only