Notes to the Financial Statements for the year ended
31st January 2023
l.Accounting Policies
Set out below are the principal accounting policies which have been
adopted in the compilation of the Receipts and Payments Account and
Statement of Assets and Liabilities.
Receipts and Payment Account
All items of the Income and Expenditure included within the Receipts and
Payments Account have been accounted for on a cash receipts basis.
Statement of Assets and Liabilities
Assets Retained for Parish's own use
The assets of the Parish, retained for its own use comprises:
.Church Building and Graveyard
.Church Halls
.Rectory
.Glebe Land
The Church Building and Graveyard, Church Hall, Rectory and Glebe Land
are valued at current market value.
Investments
Investments of RCB/CIT Unit Trusts are stated at fair value at the year end
date.
2. Reconciliation of Cash Funds
Current Account
Total Cash Funds at 1.2.22
£41,226.20
£45,510.89
£34,131.80
£52,605.29
Receipts for the Year
Payments for the Year
Total Cash Funds at 31.1.23

Church Repair Fund Account
Total Cash Funds at 1.2.22
£88,068.34
£13,511.36
£2,968.96
£98,610.74
Receipts for the Year
Payments for the Year
Total Cash Funds at 31.1.23
Rectory Account
Total Cash Funds at 1.2.22
£6,300.31
£11,255.68
£11,798.29
£5,757.70
Receipts for the Year
Payments for the Year
Total Cash Funds at 31.1.23
Hall Building Fund Account
Total Cash Funds at 1.2.22
£5,070.07
£17,249.18
£10,877.85
£11,441.40
Receipts for the Year
Payments for the Year
Total Cash Funds at 31.1.23
Wilson & Robinson Account
Total Cash Funds at 1.2.22
£1,036.27
£1,036.27
Total Cash Funds at 31.1.23
3. Movement in Funds
Name
Balance
Allocation
Endowment
Bequest
Endowment
2720.88
148.21
60.48
Stipend/General Fund
Stipend/General Fund
Kildarton Vestry
Kildarton Vestry
Bequests
836.92

4. Collections for Third Parties Year Ended 31.01.2023
Southern Area Hospice
Church Missionary Society
LEMOS
£215.00
£620.00
£457.00
Bishops Appeal
Danny Mills
Sands NI
£490.00
£720.00
£200.00
Waterdrops
Air Ambulance
£305.00
£iooo.00
5. Transactions with the Trustees
No trustee or a person related to a trustee had any personal interest in
any contact or transaction entered into by the charity during the year.
6. Governance Costs
There were no governance costs incurred during the year.

INCOME FOR 2022
EXPENSES FOR 2022
F.W.O
Gift Aid claimed on all giving
Gift Aid claimed on loose collections
and donations
After accounts dosed
24928.97
6413.00
Assessment and Diocesan Fund
Organist
Electricity
Heating Oil
Insurance on Church Buildings
31381.97 F.W.O Envelopes
Postage Stationery & Printer Ink
Church Reports
Lisnadill PC (for copying Newsletter)
Ulster Gazette Advertising
Ambassador Magazines
SUNDAY SCHOOL EXPENSES
Selections Boxes &
3692.30 Gifts for Senior Citizens
Sunday School Prizes
Children's Bibles
DONATIONS TO:
Southern Area Hospice
Church Missionary Society
L.E.M.O.S.
Bishops Appeal (Ukraine)
1060.00 Dany Mills
Sands Nl
Water Drops
Air Ambulance
Other Expenses
Visiting Clergy
Gift for Mrs E Black
Linen Purifiers
Churchyard Expenses 2 Years
Repair to Lawn Mower
8101.94 Servicing Fire Equipment
Repairs to Church Boiler
M Lutton (pruning trees)
Bank Fees
21936.29
800.00
708.78
495.00
2150.00
172.79
68.48
109.00
50.00
56.00
45.00
40.00
CHURCH COLLECTIONS
Loose Collection
Orange Service
Southem Area Hospice
Harvest for Church Missionary Society
Gift Sunday
Sands (Nl)
Bishop's Appeal
590.30
457.00
215.00
620.00
1175.00
145.00
490.00
26591.34
45.60
DONATIONS
In memory of the late Mr & Mrs Wm Douc
Mr J Lennox (For fire wood)
Mr G Calvin (For fire wood)
Mr G Hennuing
Mrs R Hunniford
Water Drops
OTHER INCOME
Big Breakfast
Craft Fair
Sun Flowers
Profit from Jubille Tea
Quiz Night
Power N.1. Equipment on Glebe land
Recycled Clothes
Payment for the Ambassador
Energy Tech (Retumed from Repair alc)
BE
UEST
From the Late G Thompson
CIT special Divd RCB
DFC Investments
RCB Investments
Interest
23.38
68.98
225.00
150.00
150.00
100.00
130.00
305.00
215.00
620.00
457.00
490.00
720.00
200.00
305.00
1000.00
2740.00
1679.90
2660.95
355.00
250.00
26.69
104.40
45.00
240.00
4007.00
50.00
46.00
150.00
140.00
107.28
240.00
2450.00
1000.00
2.35
62.10
101.40
108.83
3333.28
131.20
Total Expenses
34131.80
1274.68
Bank Balance at 31st January 2022
£45.510.89 Income
41226.20
45510.89
86737.09
34131.80
52605.29
Income
Less Expenses
Balance 31st January 2023

CHURCH REPAIR FUND 2022
Balance at 31 January 2022
88068.34
INCOME
Repair Envelopes
Gift Aid
Daera Grant
Donation
8958.92
3191.60
1344.84
16.00
13511.36 101579.70
EXPENSES
Repair Fund Envelopes
Mr D Knox
New Audio System
Repairs to hall heating system
Energy Tech (Nl)
Interest
172.79
100.00
1922.17
485.00
240.00
49.00
2968.96
98610.74
The Repair Fund balance
includes the £10000 Bequest
from the late Miss Doreen Pillow
Wilson & Robinson Account
Balance at 31st January 2023
1036.27

HALL BUILDING FUND
Balance at 31st January 2022
5070.07
INCOME
Gift Aid claimed
V.A.T Claimed on Hall Building
Rent from Aspire gymnastics
Donation Mccrory Family
Donation T Lennox
Donation Bowling Club
Interest
9604.60
6806.72
600.00
100.00
30.00
100.00
7.86 17249.18 22319.25
EXPENSES
Heating Oil
Water Rates
Replacing heating valve
820.00
226.29
180.00 1226.29 21092.96
Gift Aid trans. to church account
Gift Aid trans. to church Repair Alc
6413.00
3191.60
9604.60 9604.60 11488.36
46.96
11441.40
Bank Fees
Balance at 31 st January 2023
11441.40
Note: Gift Aid on sunflowers to be
transferred to repair fund (£1125) and
church alc £654,25
1779.25

RECTORY ACCOUNT
Balance at 31January 2022
INCOME
Rectory Rent
Glebe Land Rent
Interest
6300.31
8929.46
2320.00
6.22
11255.68
17555.99
EXPENSES
Loan Repayment
8422.92
2490.00
840.00
45.37
Bank Fees
Balance at 31January 2023
11798.29
£5,757.70
RECTORY LOAN ACCOUNT
Balance at 31 st January 2022
Loan Repayments
Debit Interest
Balance at 31s January 2023
59461.30-
51058.38-
8422.92
2539.85
53578.23-
BEQUESTS PAID TO PARISH FUND
Miss M Callan
Mrs E Kelly
Mr G Crozier
Mr T Rountree
Mr G Stinson
Miss H Hamilton
RCB
0.60
0.65
9.12
6.53
43.00
37.03
2.25
£99.18
BEQUESTS PAID DIRECT TO STIPEND
J B Houston
Mr T Albin
Rev. P Magee
The Irwin Perpetual Annuity
Mrs L Carson
G Lambert
27.00
10.80
8.86
30.89
0.98
2.54
0.63
1.06
DWKane
D Heaslet
RB Unit Trust anonymous Endowment
RB Unit Trust Church Officers Composition
Anon End
9.80
205.97
11.33
£309.86

Statement of Assets and Liabilities as at 31st January 2023
Cash Funds
Current Bank Account
52,605.29
98,610.74
11,441.40
5,757.70
1,036.27
Church Repair Fund Account
Hall Building Fund
Rectory Account
Wilson & Robinson Account
TOTAL CASH FUNDS
169,451.40
Investment Assets
Investment in RCB Trusts
3,766.49
3,766.49
Assets Retained for
The Parish's Own Use :_
Church Building/Contents
New Church Hall/Contents
Church Hall/Contents
Rectory
Glebe Land
663, 439
559, 960
132, 470
527,690
170, 000
TOTAL ASSEfs REfAINED
FOR THE PARISH'S OWN USE
£2,053,559
On Behalf of the Trustees the Accounts ( Pages I to 4) and Statement of
Assets and Liabilities as at 31st January 2023.
Trustee I
Trustee 2 61.
Mrs Ray Calvin
Miss Mary Hamilton