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2023-12-31-accounts

Armagh Road (Portadown) Congregation of The Presbyterian Church in Ireland

1. Accounting Policies

Basis of Financial Statements

As the total income of the congregation is less than £250,000 the congregation have elected in accordance with the provisions in the Charities (Accounts and Reports Regulations) (Northern Ireland) 2015 to prepare its accounts on a receipts and payments basis.

Fund Accounting

Endowment funds are funds, the capital of which must be retained either permanently or at the congregation’s discretion; the income derived from the endowment is to be used either as restricted or unrestricted income funds depending on the purpose for which the endowment was established in the first place.

Restricted funds comprise (a) income from the endowment which is to be expended only on the restricted purposes intended by the donor and (b) revenue donations or grants for a specific congregational activity intended by the donor. Where these funds have unspent balances, interest on their pooled investment is apportioned to the individual funds on an average basis.

Unrestricted funds are income which is to be spent on the congregation’s general purposes.

Designated funds are general funds set aside by the congregation for use in the future.

Armagh Road congregation of the Presbyterian Church in Ireland

STATEMENT OF FINANCIAL ACTIVITY (Receipts and Payments Accounts)

for the year ending 31[st] December 2023

Note
Receipts Unrestricted Restricted Total funds Total funds 2022
£ £ £ £
Regular direct giving 1 90,559 20,980 111,539 111,248
£ £ £ £
Donations and Legacies 2 3,710 4,300 8,010 124,077

1

£ £ £ £
Activities that generate Income 3 1,212 540 1,752 1,281
£ £ £ £
Investment income 4 1,060 738 1,798 1,307
£ £ £ £
Other 5 1,303 3,367 4,670 2,621
£ £ £ £
Total Income 97,844 29,925 127,769 240,534
Payments
£ £
£
£
Central church assessments 6 11,269 - 11,269 17,940
£ £
£
£
Ministry and support Staff 7 38,186 - 38,186 61,388
£ £
£
£
Life and Work 8 1,866 - 1,866 1,894
£ £ £ £
Governance 9 10,345 15,403 25,748 17,188
£ £ £ £
Grants to Charities and Missions 10 1,764 12,264 14,028 16,012
£
£
£ £
Other 11 - 3,427 3,427 3,216
£ £ £ £
Total Payments 63,430 31,094 94,524 117,638
£ £ £
Net Receipts/(Payments) 34,414 1,169 33,245 122,896
£ £ £ £
Transfers to / (from) funds 300 173 473 1,481
£
- 473 473 2,731
£
£

£

£
Gains/Losses on investment assets - - - -
£ £ £
Surplus/ (deficit for year) 34,714 1,469 33,245 121,646
Reconciliation 31/12/2023
Cash at bank & in hand 31st Dec. £ £ £ £
2022 63,902 273,271 337,173 215,527
£ £ £
Surplus(deficit) this year end 34,714 1,469 33,245 121,646
Cash at bank & in hand 31st Dec. £ £ £ £
2023 98,616 271,802 370,418 337,173

Bank balances 2023

2

£ £ £
No1 General 98,616 193 98,809
£
£
£
No2 Property - 265,296 265,296
£
£
£
Organisational - 6,313 6,313
£ £ £
98,616 271,802 370,418

Fixes Assets

The congregation owns the property at 27 Church Street Portadown and the associated fixtures, fittings, plant and machinery.

These have an insurance value of £2,189,944 for the church and £1,610,252 for the halls. The manse currently unoccupied has an insurance value of £431,548.

Investments

Investments
Unrestricted Restricted Total funds Total funds 2022
£
£
£ £
General Investment Fund - 43,538 43,538 39,926
£
£
£ £
Other - 2,378 2,378 2,875

Statement of assets and Liabilities

Assets

Assets
Unrestricted Restricted Total funds Total funds 2022
Cash at bank
£ £ £ £
General account 98,616 193 98,809 64,095
£
£
£ £
Property account - 265,296 265,296 266,232
£
£
£ £
Other - 6,313 6,313 6,846
£ £ £ £
98,616 271,802 370,418 337,173

Liabilities NIL

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