an
Terrace Row Presbyterian Church
(a congregatlon of the Presbyterlan Church In Ireland)
Charity Accounts
(for the year ended 31 December 2022)
Reglstered wlth the Charlty Commlsslon for Northern Ireland
Reglstratlon Number NIC105552

srATEMEKf OF FINANCIAL ArnviTY
Ilor th¢ yeaf ended 31 DEcember 20221
Ir￿)rne •nd Endowmenis frnm:
Donatlons4nd legades
Charltable ocilvjiles
Other tradin8 4ctlvltles
Inveslments
oih•r
142,770
57.744
7.256
21J).514,
7,256
J7,183
1348
.034,
192.904
1,544
27,689
1,402
7,753
37,183
1,726
4,014
622
11.020
Tot41
Its.693
16.612
261335
23L292
Expendliure on:
R•tslni lunds
Chult4ble artivillts
oihqf
765
169,694
765
750
226.395
26.560
69251
27,660
27,660
Tolal
170A59
96.911
167.370
253.71
Incom•llExpendllurnl
JS,234
-20,269
-5,035
-22J13
Nèt VIn￿lIO￿t$> on
.3￿74
-3.674
2,897
Tr•nslers bfjtW￿ funds
-355J
of fmed a&￿tr
N•1 mtyMm•nl In funds
4007
.16,716
4709
-19,516
Re¢on¢illatlon of funds:
Tot•1 fvnds browht f0Th￿rd
264,566
367.091
631,657
65J,ITJ
Total fvnds Cifrled fo￿1￿￿
272.573
350.375
622,948
631,657
172,573
350,375
IIP
Tefrace Row Pr¢*terfan thu

BALANCE SHEEr
A$ at 31 December 2012
Flxed assetL'
Tanglble 355ets
Herltage assets
Investments
180,441
180.441
199.698
46,610
46.610
Totsl flxed wsets
46,610
180,441
227,051
234,278
Current ￿ets
Debtors
Current Inveslmerrts
Cash at bank and In hand
14
16.550
16.550
17,000
209.413
169.934
379.347
380379
Tot•1 current assets
225,963
169,934
395.897
397,379
Ll•bllftles:
Credltors: Amounts fallln8
due wlthln one year
16
Net cuffent •ssels or
Iljbllltles
225.963
169,934
395,897
397.379
Totsl lus current
Ilabllltles
Credltois: Amounts falllng
due after more than one
vear
272.573
350,375
622,948
651.657
17
Total nel •ssels or Ilabllltlei
272 573
350 375
631657
21P•
Trn Row Piesbylerf•ft thurth

BALANCE SHEET
ot 31 December Z022
Fund$ of the charlty
Endowment funds
Restrkted funds
Unreslr1ct￿ lund$
18
18
350,375
350?75
272.573
367.091
264566
272.573
Total th•rlty fuhdi
272 573
350 375
631657
Approved by Ihe KI￿ Sesslon at 4 rnoetlr% on 20 March 2023 and slBned on Its behalf by
Geor8e Scott
Clerk of Sesslon {2022)
Torn Moore
Church Treasurer
3IPrye
T•rrKe Raw Presbyiert•n Churth

ACCOUNTING pouaE
BA515 OF FINANaAL STATEMENT5
The flnanclal ststements have been prepared In aCCOfd4nce wllh Accounllng and Reportlryq by Charttle
Statement of Recommended Pracllce appltcable lo charltles preparlng thelr accounts In accordan￿ wlth Flnanclal
Report1￿4 Standard applkoble In the UK and Ireland IFRS1021 lelfedlve l January 20151.
The flnanclal ststemeftts hève been prepared under Ihe hlstorlcol cost comffjnllon eKcepi for Investrn8nt assets,
whlch are shown at market value. The linancial stalements Include ill transactlons. assels and Ilabllltlos for whkh
the cor4re8atlon Is responslbte In law. They do not Include thÈ accounts of church groups that owe thelr afflllatlon
to another body, nor those that are InfomMI 8atherln8s of churth members.
FUND ACCOUNTING
Endowm•nt funds funds. the capltal ol whkh must be fel01n￿ elther perrnanently or at thfj con8re8atlon'
dlscrellon: the Income derlved Irom the endowment Is to be used eliher as re5trlcted or unreslrlcled Incorne
funds dependlnq upon the wrpose for whkh th• endowment was e5tsbllshed In the fifst place.
Restrkted lunds comwlse lal Income from endowments whldi ts to be expended only on the restrl¢ted purposes
Intended by Ihe donor and (bl r•venue donations or 8rants for a speclfic con8re8atlonal artlvlty Intended by the
donor.
Llnfestrlcled funds are Incorne lund$ whlch ar# lo be spent on th• CO￿1¢41t10n,l Wbw•I wtrp05•5, I)￿1¢nal¢d ar•
lonel￿ lund5 Sot •dde by the con8re8•llon for In the luturo.
41P
Toff•¢¢ Row Pre*rterf•n Churth

ACCOUNTING POUCIESl¢onVd)
INCOMING RESOURCES
RecoRnftlon of IncomlnB re￿UrCeS
These are Included In the Statemeiil of Flnanclal Acttvltles (SOFA) when;
the con8re8atlon becomes entitled to the resouTce5;
the trustees are vlrtublly certaln they wlll re￿1ve ihe res¢)urce$: and
• the rnnetsry valuo can be mea5urÈd wlth sulflclent rellably.
Incomlng resources wlth related expendlture
Where Incomlng resources have relaled expendltuie las wlth fundralslng Income) the Incomlng resources and
related expendlture are reported gfOSS In the SOFA.
iu
Grnnts and donotlons
Grants and donatlons are only Included In the SOFA whon the con8re8atlon has uncondlt¢onal eniltlement to the
resources.
(Iv) Tax redalrns on donatlons Jnd 81ft$
IncomlNd r•sourre5 from lax redalms are Induded In the SOFA at the same tlme as the 81ft to whlch they relat•.
Contractual In￿rne and perfomiance rel•ied grnnts
Thls Is only Induded In the SOFA On￿ the relatèd gcods or 5ervlces have been dellvered.
Gffts In klml
Glfts In klnd are accounted for at a rea50noble estlmate of thelr value to the charlty or the arnount actu8lly
re3llsed. Gllts Sn kind for use by the charity are included In the SOFA as Incomin8 resources when fecelvable.
(¥lD Donated *r¥lces and hdlltley
These are only included In Incomlng resources {wllh an equlvalent amount In resource5 expended) whore the
benefll to the chaflty Is reasonably quaDtlfi#ble. measurablè and materEal. The value placed on these rtsouices Is
the estlmated value to the tharlty of the seNlce or faclllty recelved.
Volunleer help
The valuo ol •ny wlunlary help le(•l￿dIS Imrt Included In the •ccounts but Is de¥uob¢d th ihe trustet¢ •nthu•l i•POfL
SIP•8e
Tofrnce Row PfesbyiffF•n Chwth

Investment Income
Thb Is Included In the account5 when recelvable.
Inveslment 8alns and losses
Thls Includes any gain or loss on the sale of Investments and any galn or loss resultlnB from rev?￿l￿a inveslmpnts
to market v8lue at the end of the year.
EXPENDITURE AND UABIUTIES
(Ilry U•blllty re(￿nItIon
Llabilitles are reco8nlsed as soon as therels 4 legal or constwctlve oblEgatlon commlttlwA the congre8atlon to pay
out resource
Ilv) Govtrnance costs
These are shown wlthln charltable actlvltles #nd Include the costs of preparatk>n and examlnatlon of accounts. the
Costs of trustee meetlng5 and cost of any le8al advke to trustees on govern1n￿ or con5tllutlonal malters.
Iv)
Grartts wlth performance tt+ndltlons
Wheie the C￿lIty glves a grant wllh condftlons fof Its payment belnB a spe¢lftc level of servlce or output to be
provlded. such 8rants are only recognised In the SOFA ¢Jnce the reclplent of ihe grant has provlded the speclfied
servlce or oulput.
Granls payable wlthout perfomiance condltlons
These are only rocognlsed In the accounts when a commltment has been nmde and there arn no condlttons to be
met relatSnq to the 8rant whlch romaln In the conlrol of the charlty.
{vll) Support corts
Support costs Include central functlon5 and have been ollocated to actlvlty cosl cate8orfes on a basls conslstent
wlth Ihe use of resources, e.8. allocatln8 propertv Costs by floor areas, or per capita, staff costs by the 15me spent
and other costs by thelr usage.
61P
Terrace Aow fvethiwl•n Churdb

ASSErs
ID
Tan￿bkn Flxed A￿ets
Tan8lble ftxed assets for use by charlty are capltalljed If they can be used for more Ihan one ye•r. and c03t at
leasl £2500. They are v8lued at cost or, If 8lfted, at the value to the tharlty on iecelpt.
Depreclatlon Is recorded on all t8nglble Ilxed assets other than Ireeholdlgnd, at rates ￿kulated lo wwlle of the
cost less ¢Stlmated re51dual value, ol each a55et over Its expected useful Ilfe, on a stral8ht15ne basls. as follows
ulldlngs..
Flxtures, Itttln85 and equlpment
Motor Vehkles
Computers. so(Iware and technlcal equlpment
- over SO years
- 0￿r 10 years
- t)ver 4 years
- over 4 year5
- over SQ years
- over 4 years
Investments
Investn*nts quoted on • rwnlsed stock exchange are valued at mafket value ot the year end. Other Investrnent
3sset$ 8re Induded at truslees, best e5tlmate of rn4rket value.
71P•
T*Yrnce Row PreW•fi thurth

DONATIONS AND LEGACIES
Recorded glvln8
L005e collectlons
Donatjons and gifts
Glft Ald
LegaclES and bequest
119,042
953
46,785
1,824
918
8,217
165,827
2,777
918
30.942
50
155.895
2,733
33376
22,725
CHARITABLE ACTIVITIES
Income from charltable
actlvltles
Fees from weddlngs and
funerals
Membershlp fe85
FundraIs1r￿ events
1,961
5.295
1.961
5,295
1,514
Ip4•
Teff•ee ftow Piethtefl•n Churth

OTHER TRADING AcfiviTIES
Property Rental
TTadlnd Incoffle
36,000
1.183
36,000
1,183
27,000
689
INVESTMENTS
Deposlt Interest
General Investment Fund
Other Investment Inmme
923
622
1,545
803
928
474
622
91Pa8e
Tmce Row Prtsbyl•Jlan Churth

OYHER INCOME
Insurance dalths
Other Income
Grants
4,014
2.356
6.370
1.466
6287
RAISING FUhlDS
FWO envelops
Fundralslnq evènts
765
765
750
765
765
750
Ip4e

CHARITABLE AcfivrnES
Genernl Assembly
Assessments
Prèsbytery fees
Ministry and 5UPPOTt 5tsff
Costs
Olher runnlng expenses
Donatlons to Mlsslons and
charliies
Gover￿nCe costs
14.993
14.993
16,389
1,020
1,020
783
105,419
105,419
102,633
44,134
31632
76.766
77.145
3.3(K)
36,619
39,919
28,665
828
828
226 395
OTHER EXPENDMJRE
Deprecljtknn
Investment propertles
expense$
27,660
27.660
26.560

io.
EMPLOYEES
Employrnent Costs
Wages and Sakrle5
Soclal Securlty Costs
Ponslon conirlbutlons
88,667
5.949
10.803
8fj540
5.534
10,559
105
102 633
Number of Employees
The avera8e number of employees. IncludlnB the mlnlster of the roneregallon. durln8 the yoar was..
Average numb•T of
employees
There were no employee$ In recelpt of employee beneflts In excess of £60,￿0.
TwT•te Row Pfesbyterl•n Churth

PENSI(hN COSTS
The rnlnlster ol the con8regatlon Is a member of the Presbyterlan Church In Ireland Penslon Schemo (20Q9), Th1515
a scherne operated by Iliè Pre5byterlan Churth Sn IreEBnd. a separate re815tered charlty. The con8re8aili)fi pays an
aSSe55mfjnt to the Presbwerlan Church In Ireland equ￿aleftt to the employerf5 penslon contrlbutk+n lor the
5cherne and based on the stlpend pald to the mlnlster, The Pre5byterlan Church In Ireland Penslon Srheme12009
Is a funded Scheme of ihe d¢flned b¢neflt type, provldln8 doflned benefits based on career average revalued
salary. The Scheme ha5 assets held In a separately admlnlstered fund rnana8ed by a board of truslees. The
Presbvterlan Church and the Scheme Tnislees have agfeed a fundlng plan to ensure the Scheme Is suffficlentlv
funded to meet current and luture obllgalions. A formal scliedule ol contrlbutlons was drawn up on 25 Novemb8r
2015 whereby the Presbyterlan Churth a8reed to pay from 31 December 2015 contrlbutlon5 of 24% of
penslonable salarles to covèr the accrual of benefits lor future servlce, expenses, Ihe cost of InsurlnR death In
Serv1￿ bonefits and fund1￿ the xlwme d•fkiL
Th6 contrlbutlons made by the con8reaafion dvrlno the year were
Contrlbullons
10.109
9.887
Other employees ère, where •pproprlate, enfolled In an Aulomatlc Enrolment Scheme
operaled by NEST
Contrlbuibn5
694
672
IP•
Torrn¢e Aaw Prn*yterf•n thu

TANGIBLE FIXED ASSETS
Cost or valuatlon
At start of yeai
Addltlons
Dlsposals
386350
417,826
8,403
31,648
804,176
8,403
31.648
At end of year
386J50
394,581
7aO.931
Oepredatlon
At Start ofyear
Provlslon for year
D15posa15
270,650
6.Q80
333.828
21,580
31,648
604.478
27,660
31.648
At end of year
276.730
323,760
600,490
Net Book Value
At start ol year
115,700
83,998
199.698
At end of ye•r
Ipryo
Teryate Row Prtsbyterlan thurth

2022
46,610
2021
34.S80
General Investment Fund
Inveslment Properlles
Value at Start of year
Addlilons
Dlsposals
Impalrment
Galns I (Losses) on
revaluatlon
34,580
15.704
16209.
15.474
-3.674
2,897,
Value at end of year
o￿ToRs
2022
11,050
5,500
2021
12.(100
S.¢X)D
Glft Ald Recoverable
Insurance Prepald
Other prepayments
15. CASH AT BANK AND IN HAND
2022
491,173
20n
267,643
85,(XJO
27,736
l)anske current accounts
Hampshire Trust Bank
Or8anlsJtlon Accounts
30,225
Ip

16 CREDITORS: amount fallln8 due wlthln one year
2022
2021
Rent Recelved In Ad￿n
Sundry Accruals
17 CREDITORS: •mount falllni due after more than one year
2022
2021
IP4
Tomce Row IWerl•n thurth

FUND BALANCES ANO RECONOUATION OF FUNDS
Fund
Balance
at siart
Income
Empend.
Galnsl
Transfer
Balance al
Unrtstrkted Funds
General Fund
264,566
185.693
170A59
-3,674
-3.553
271573
264,566
185.693
170,459
-3,674
-3,553
272,S73
Restrlcted Funds
Property Fund
331.767
23,241
46,815
308,193
Unlted Mlsslonory appeal
nday School
8enevoleDt Fund
Churth OrBanlsatlons
Special Co[￿tionS
UV Funds
1.875
515
5,198
27,736
18,874
19.000
2,078
S64
12,884
10,032
5,538
1,749
873
5,203
30,225
I￿53
569
11.837
11,568
9.670
3.536
.1536
4,132
367,091
76,642
96,911
3,553
350375
OThER aALANCES AND RECONCIUATIONS
Endowment Fundj
Tolal
17ip

RELATED PARTY TKANSAcfioNS
Two of the TNstee5. the mlnlster of the congre8atlon and tho Youth & Famlly worker recelved remuneratlon of
£70,658 and expenses of £6.904 for acting In their capacity, Penslon contributlon5 were £10.803. None of the
other trustees recelved any remuner4tlon.
Durln8 th• yeai the congregatlon contrlbuted the followlng amounts to Fund5 of the General Assembly of the
Presknerlan Church In Ireland a separate charltv
£14.993 fof congrngatlonal assessmènts
£19,LN)O towards PCI Unlted Mlsslons Apppal
£2.225 toward PCI World Dev Appeal
£S.189 toward PCI Spedal Ukralne Apeal
The CO￿[egatIoN contrlbuted £1.020 towards Presbytery during the yeai
Thefe were no other rehted party transa¢tk>ns.
I P•8e