Presbyter
an
NG
ERI
CH
STATEMENT OF FINANCIAL ACTIVITY
FOR YEAR ENDED 31 DECEMBER 2023
UNREsfRIcfED
FUNDS
RESTRicfED
FUNDS
TOTAL
TOTAL
2023
2022
Income and endowments from
Donations and legacies
Charitsble actSvitles
Investments
Other Income
104,587
941
124
2,940
231,924
27,889
6,792
604
336,511
28,830
6,916
3,544
286,165
16,135
1,527
837
Totsl
108,592
267,210
375,803
304,664
Expendlture on:
Ralsing funds
Charitable activitie5
117,416
62,478
179,894
183,396
Total
117,416
62,478
179,894
183,396
Net income/(expenditure)
Transfers between funds
Net movement In funds
(8,824)
5,465
(3,359)
204,732
(5,465)
199,267
195,909
121,267
195,909
121,267
Reconciliation of funds:
Total funds brought forward
23,979
1,360,010
1,383,989
1,262,722
Total funds carried forward
20,620
1,559,277
1,579,897
1,383,989
12

Presbyter
an
X1LJII4'.
BALAN¢ESHEEr
ASAT31 DECEMBEk2023
TOTPL
PJNDS
I￿AL
TrueDASSErs
.161118
123J60
116•,118
CUAREKfAgSETS
Del*or5
C*h Itb￿kIndlrt hand
Toul avrnnta5$015
12
16,950
203
44207
214.992
eo 1.263,iWJ
tiethlotr. •mtyJnb thinn9
14
39S,16D
1.260.629
ToThi rnt0$5tl•
1579A97
1.383.989
FUN￿ OFTHE CHAIITri
UnreSt￿￿j rL¥
23,979
IJGD,OJO
Is
1,559,2TI
1.5S9277
Toial ¢hJrlVI lunds
579.8YI
1.5S92n ￿ a3kn989
IhBlJrtSe55k>n at• medlngon
•nd5tyll¢d on ts t•haiftrr.
{ClykolSesslM)

an
NA
ESB
LAND
NOTES TO THE ACCOUNTS
31 DECEMBER 2023
ACCOUNTING POLICIES
Basls of financial statements
The finanaal ststements have been prepared in accordan￿ wlth Accounting and Reportlng by
Charities'.Ststements of Recommended Practi￿ applicable to charlties preparlng their accounts
in accordan￿ wlth Flnanclal Reportlng Standard appllcable In the UK and Ireland (FRS102)
(effective l January 2015).
The financlal statements have been prepared under the h15torlcal cost conventlon except for
investment assets, whlch are shown at market value. The financial statements include all
transactions, assets and Ilabilities for which the congregation Is responsible in law. They
do not Include the accounts of church groups that owe thelr affiliatlon to another body, nor
tho* that are informal gatherings of church members.
Fund accountlng
Restricted funds comprlse revenue donatlons or grants for a specific congregational activity Intended
by the donor. Where these funds have unspent balantr, Interest on thelr pooled Investment is
apportioned to the Individual funds on an average basls.
Unrestricted funds are Income funds whlch are to be spent on the congregatlon's general purposes.
Designated funds are general funds set aside by the congregatlon for use in the future.
Income resources
ofl
in
These are Included In the Statement of Flnanclal Actfvities (SOFA) when:
the congregatlon becomes entitled to the resources.
the trustees are virtually ￿rtain they will recelve the resources. and
the monetary value can be measured wlth sufflcient rellably.
(i)
(11)
res
rel
endlture
Where Incomlng resour￿ have related expendlture (as wlth fundralslng Income) the Incomlng
resources and ￿lated expenditure are reported gross in the SOFA.
(iii)
an
Ions
Grants and donations are only Induded in the SOFA when the congregatlon has unconditional
entitlement to the resources.
(iv)
on
and
Incoming resour￿ from tax reclalms are Included Sn the SOFA at the same time as the gift to
whlch they relate.
14

Presbyter
an
RE
ATI
FTHE P
IA
IN IRELA
NOTES TO THE ACCOUNTS
31 DECEMBER 2023
ACCOUNTING POLICIES- CONfD
(v)
In
ran
Thls Is only Included In the SOFA once the related goods or servlces have been dellvered.
(vl)
te
hel
The value of any voluntary help recelved Is not Included in the accounts but Is descrlbed In the
trustees, annual report.
Expenditure and Ilabilties
Llabllitles are recognlsed as soon as there Is a legal or construct￿e obligation commlttlng the
congregation to pay out resour￿.
(viii)
The* are shown within charitable attlvlties and Include the costs of preparation and
examlnatlon of accounts, the costs of trustee meetings and cost of any legal advi￿ to trustees
on governan￿ or constltuttonal matters.
(Ix)
an
IA
dltlon
Where the charlty gives a grant with condltlons for its payment belng a specific level of Serv1￿ or
output to be provided, such grants a￿ only recognised in the SOFA once the recipient of the grant
has provided the specified Se￿1￿ or output.
(x)
ran
with
rform
ce
These a￿ only recognised in the accounts when a commitment has been made and there are no
condltlons to be met relating to the grant whlch remaln In the control of the charlty.
ed
Tangible flxed assets for use by charfty are capitslised if they can be used for more than one
year, and cost at least £500. They are valued at cost or, if gifted, at the value to the chartty on
re￿ipt.
Depreclatlon Is recorded on all tanglble f￿ed a55ets other than freehold land, at rates calculated
to wrlte off the cost, less estimated resldual value, of each asset over its expected useful life
as follows:
Flxtures, fittlngs and equipment
Computers, Softwa￿ and technical equlpment
over 10 year5
over 4 years
15

Presbyter
an
REGA
IA
NOTES TO THE ACCOUNTS
31 DECEMBER 2023
INCOME FROM DONATIONS AND LEGACIES
UNREsfRicfED
FUNDS
RESTRICTED
FUNDS
TOTAL
FUNDS
TOTAL
FUNDS
2023
2022
Recorded glving
Loose collettions
Donations and gifts
Legacies and bequests
Gift aid
90,505
189,707
1,914
1,120
4,930
34,253
231,924
280,212
1,914
1,220
4,930
48,235
336,511
228,344
5,610
1,591
5,254
45,366
286,165
100
13,982
104,587
INCOME FROM CHARITABLE ACTIVITIES
UNREsfRIcfED
FUNDS
REsfRIcfED
FUNDS
TOTAL
TOTAL
FUNDS
FUNDS
2023
2022
Organlsation income
Sale of study books etc
Grants
22,689
22,689
941
5,200
28,830
941
11,815
920
3,400
16,135
5,200
27,889
941
INCOME FROM INVESTMENTS
UNRESTrICTED
FUNDS
RESTRICTED
FUNDS
TOTAL
TOTAL
FUNDS
FUNDS
2023
2022
Bank Interest and galn on investment
124
6,792
6,916
1527
OTHER INCOME
UNREsfRIcfED
FUNDS
RESTRICTED
FUNDS
TOTAL
TOTAL
FUNDS
FUNDS
2023
2022
Other Income
2,940
604
3,544
837
16

an
NOTES TO THE ACCOUNTS
31 DECEMBER 2023
EXPENDITURE ON RAISING FUNDS
uN￿E￿RIctED
REsfRxcfED
TOTAL
TOTAL
FUNDS
FUNDS
FUNDS
FUND5
2023
2022
PNO envelopes
EXPENDrruRE ON CHARITABLE ACTivrriES
UNRESTRICTED
RESTiucfED
TOTAL
TOTAL
FUNDS
FUND5
FUNDS
FUNDS
2023
2022
General assembly
assessments
Presbytery fees
Mlnlstry and support
staff costs
Congregauonal running
expenses
Donations to Mlsslons
and charltyes
Governan￿ costs
Depreckition charge
8,985
2,527
8,985
2,527
8,651
2,497
79,371
79371
70,938
25,859
62,378
88,236
98,910
675
675
2,400
loo
62,478
loo
179,894
117,416
183,396
EMPLOYEES
TOTAL
TOTAL
FUNDS
FVNPS
2023
2022
Wage5, salarfes and expense allowan
Sodal securlty costs
Penston contrlbutlons
63,317
5,006
9,160
77,482
56,808
4,899
8,724
70,431
The average number of employee5, Indudlng the mlnlster of the congregatlon, during the
year was:
2023
2022
Average number of employees
There were no employees In recelpt of emptyee benefits In excess of £60,000.
17

Presbyter
an
PRESB
NOTES TO THE ACCOUNTS
31 DECEMBER 2023
PENSION COSTS
The mlnister of the congregation is a member of the Presbyterian Church In Ireland Pension Scheme (2009).
This Is a scheme operated by the Presbyterlan Church In Ireland, a separate reglstered charlty. The
congregation pays an assessment to the Presbyterian Church In Ireland equlvalent to the employevs
pension contribution for the Scheme and based on the stipend paid to the minster. The Presbyterian
Church In Ireland Penslon Scheme (2009) Is a funded scheme of the deflned beneflt typei providlng
defined benefits based on cartrr average revalued salary. The scheme has assets held In a separately
administered fund managed by a board of trustees. The Presbyterian Church and the Scheme Trustees
have agreed a fundlng plan to ensure the Scheme Is sufflclently funded to meet current and future
obligations. A formal schedule of contributions was drawn up on 25 November 2015 whereby
the Presbyterian Church agreed to pay from 31 December 2015 contributlons of 24% of pen51onable
salarles to cover the accrual of benefits for future seNS￿, expenses, the cost of Insurlng death in
seNlce benefits and funding the scheme deficit.
The contributlons made by the congregatlon during the year were:
TOTAL
TOTAL
FUNDS
FUNDS
2023
2022
Contrlbutions
9,160
8,724
18

Presbyter
an
PRE
RE
NOTES TO THE ACCOUNTS
31 DECEMBER 2023
io
TANGIBLE FIXED ASSETS
BUILDINGS
FJxfuRES
FrrrINGS &
TOTAL
EQUIPMENT
cosr OR VALUATION
At start of year
Addltions
Disposals
2,233,643
1,040,858
20,980
2,254,623
1,040,858
At end of year
3,274,501
20,980
3,295,481
DEPRECIATION
At start of year
Provision for year
Dlsposals
2,111,283
19,980
loo
2,131,263
loo
At end of year
2,111,283
20,080
2,131,363
NET BOOKVALUE
At start of year
122,360
1,000
123,360
At end of year
1,163,218
900
1,164,118
19

an
SB
HURC
ND
NOTES TO THE ACCOUNTS
31 DECEMBER 2023
li
INVEsfMENTS
2023
2022
Value at 31 December 2023
12
DEBTORS
UNREsfRicfED
REsfRICYED
TOTAL
TOTAL
FUNDS
FUNDS
FUNDS
2023
FUNDS
2022
Gift Aid Recoverdble
Prepayments
13,982
2,967
34,253
48,235
2,967
45,365
2,842
16,950
34,253
51,203
48,207
13
CASH AT BANK AND IN HAND
UNREsfRICTED
REsfRicfED
TOTAL
TOTAL
FUND5
FUNDS
FUNDS
FUNDS
2023
2022
Bank current accounts
Bank deposit account
Cash in hand
5,071
410,906
415,978
1,214,982
5,071
410,906
415,978
1,214,982
14
CREDITORS: amounts falling due wlthln one year
UNRESTRICTED
RESTRicfED
TOTAL
TOTAL
FUNDS
FUNDS
FUNDS
FUNDS
2023
2022
Accruals
Interest free loans
Bank loan
1,400
1,400
2,560
50,000
50,000
50,000
51,400
1,400
2,560
20

Presb
an-
UCKN
REG
RIA
CHI
NOTES TO THE ACCOUNTS
31 DECEMBER 2023
15 | IFUND BALANCES AND RECONCIUATION OF FUNDS
| Fund
BALANCE
INCOME
EXPEND
TRANSFER |
BALANCE
AT
AT
ART
END
UNRESTRIcfED FUNDS
General account
23,9791
108,592
(117,416)
5,465
20,620
| | 23979
108,5921
117,416)
20,620
RESTRICTED FUNDS
1 1united Appeal
l Ukraine
.Amounts received for others
PSNI
Buckna LOL
RBP
, Mi551onary
',Choir
l Building
Gir15 Brigade
i lsunday School
Junior Christian Endeavour
Maintenance & Repair
902
1,233
6,274
(6,000)
{232)
(1,233) |
944
168
(139)
170
(140)
238
(196)
25,709 | 1 {23,588)1
29
31
42
8,954
264
359,154
6,134
1,492
445
35,648
737
2,298
449
2,571
5,173
1,134,913
6,833 |
2631
| | 1,200,699
4,249 |
1,975 | |
229 |
39,258
1,012 |
1,920
514
1,907
3,680
95,3361
170,490
7,689
698
759
33,424
4,336
2,934
185 |
7,632
6,502
(1,012,036)
(5,804)1
(1,181)
(5,478)
(4,611)
(2,556)
(250)
(6,968)
(5,009)
(31,556)
I |vIBE
Youth Club
Bowling aub
| Ipw
Boys Brig3de
Building No 5
1,039,592
11,360,010 | 1 267,2101 1 (62,478)1
{5,465)',
1,559,277
|TOTAL FUNDS
| 1,383,9891
375,802 | 1 (179,894)
1,579,897
21

Presbyter
an
NOTES TO THE AccOUP￿s
31 DECEMBER 2023
16
RELATED PARTY TRANSAcfIoN
One of the Trustees, the minister of the congregation re￿iVed remuneration of £38,168
and wenses of £8807 for adng In the capacity. Pension contributions of £9,160 were pald
by the congregatlon In resFect of the mlnister to the p￿sbYterIan Church In Ireland Penslon
Scheme (2009). None of the other trustees received any remunerntlon.
During the year the congregation contributed the following amounts to Fund5 of the General
A￿mblY of the Presbyterlan Church In Ireland a separate charity
£8,985 for congregational assessments
£6,000 towards the United Appeal
The congregation contributed £391 towards Presbytery Assessments during the year.
There were no other related paty transactions.