Tab1
’ - ARUN YOUTH AQUA CENTRE CHAIRMAN S ANNUAL REPORT FOR AGM
FOR THE FINANCIAL YEAR ENDED 31st OCTOBER 2025
WELCOME ALL TO THE 2025 AGM FOR THE ARUN YOUTH AQUA CENTRE
OBJECT OF CHARITY
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To help and educate young people FROM 8-18 through water-based activities and later on to train them to standards of sailing and dingy instruction.
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To support young people in developing their physical and mental capabilities as individuals and as members of society.
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The management committee strives to provide the necessary resources for all activities to be achieved.
ABOUT THE AYAC CHARITY
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Our charity is entirely run by volunteers without whom the centre could not operate. I would like to re-iterate the point that there are always jobs that need doing around the compound and as well as water based assistance. If you feel you have some time or specific skills, and may be able to assist with general maintenance please do let one of the committee know.
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With this in mind I would like to say thank you to everyone involved in the committee, and the wider group of AYAC who contribute a lot of time and effort behind the scenes before during and after the sailing season
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Thank you to Andy Wilson, a true hero, in his role as treasurer, and many other things he does for us.
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A final thank you to our centre Principle Rob and Chief Instructor James for keeping the centre running smoothly. Along with Tony, who does an exceptional amount for the club, mostly unnoticed!
EVENTS THIS YEAR
TRACTOR
- After a lot of hard work trying to raise funds for a much needed new tractor, we couldn't reach our target of £15,000.00, we eventually managed to get together around £8,500.00 including a generous donation from a former participant who still pops down occasionally.
Tony Found a tractor at auction, and with 30 mins to go to the end and a few hectic messages we decided to bid, and as you all now know we won the auction. And thanks to some phone calls and a generous trailer hire company, Andy and I headed off to deepest darkest Wales to collect it.
I have to say this was a huge relief to us all, as the old tractor has been on her last legs for what feels like the last few years.
COMPOUND WORKS
- From Jan-April- Many of our team were hard working in the compound, for the second year running. Works included, completing cladding to the centre building, toilet bases completed, and toilets re installed on an even keel, no more of that sinking feeling.
Windows and doors installed and a new decking area which proved essential for the summer tuck shop and family events
SOCIAL EVENTS
- Bowling evening, with a great attendance from both parents and kids
WATER BASED ACTIVITIES
- We have enjoyed a range of water based activities this year and events have included:
A very successful Family day
The WSSYSA Regatta held at Itchenor
Residential weekend to Cobnor.
A final thanks and congratulations to our dinghy instructors who have led a successful year and have grown in confidence and ability.
More information from Rob to follow…
This is my second full year since taking over as chairman, and my third AGM. I have been extremely proud of our efforts to build the centre, to fundraise and to attract new members. We have done so well this year and we should all be proud of our successes, many of which were outlined in our recent newsletter.
Thank you all for your continued support.
I would now like to hand over to Andy our Treasurer.
Tab2
ARUN YOUTH AQUA CENTRE RECEIPTS AND PAYMENTS ACCOUNT FOR THE YEAR ENDED 31 OCTOBER 2025
| RECEIPTS Donatons, Grants and Sponsorship Operatng Income Membership Fees Gif Aid Refunds Equipment Hire Fund Raising Other Income TOTAL RECEIPTS LESS PAYMENTS Cost of Generatng Funds Fund Raising Social Events Actvity Costs Courses and Training Dinghy, Tractor & Safety Boat Maintenance Small Equipment Items New Equipment Used Tractor Building and Ramp Maintenance Fuel for Safety Boat & Tractor Publicity Sundry Administraton Expenses Rent, Water, Electricity and Insurance Professional Fees General Administraton Expenses TOTAL PAYMENTS Excess of Receipts over Payments Balance at Bank as at 1 November 2024 Balance at Bank as at 31 October 2025 |
Restricted Unrestricted 0 0 3105 395 3500 1930 1756 1860 1860 8053 8053 1758 377 IONOS CLOUD 200 trailer parking & harb dues 42 15976 5528 me 75 245 5848 9913 0 |
2025 2024 TOTAL TOTAL 11394 16618 5464 4340 1920 0 500 450 6465 3935 56 30 25799 25373 2828 440 3268 358 2278 1391 9832 5406 159 185 0 19609 5507 75 289 5871 25324 28748 475 -3375 8081 11456 8556 8081 |
2025 2024 TOTAL TOTAL 11394 16618 5464 4340 1920 0 500 450 6465 3935 56 30 25799 25373 2828 440 3268 358 2278 1391 9832 5406 159 185 0 19609 5507 75 289 5871 25324 28748 475 -3375 8081 11456 8556 8081 |
2024 TOTAL 16618 4340 0 450 3935 30 |
|
|---|---|---|---|---|---|
| 25799 | 25373 | ||||
| 440 | 3268 | ||||
| 358 2278 1391 9832 5406 159 185 0 19609 |
|||||
| 19609 | |||||
| 5507 75 289 5871 |
|||||
| 5871 | |||||
| 25324 | 28748 | ||||
| -3375 11456 |
|||||
| 8081 |
| Donatons | 11394 | |||||||
|---|---|---|---|---|---|---|---|---|
| Membership | 5664 | Equip Hire | ||||||
| less refund | -200 | rib safety arun | swim | |||||
| 5464 | 500 | |||||||
| fundraising | paypal | 440 | ||||||
| tuck shop | 680 | |||||||
| regata | 230 | |||||||
| dinghy inst | 1010 | other | ||||||
| cobnor | 3285 | 40 | lloyds bank comp | |||||
| bbq | 10 | 16 | books | |||||
| ist aid | 810 | 56 | ||||||
| 6465 | ||||||||
| fundraising | lotery lic | 20 | ||||||
| cobnor | 2618 | |||||||
| Course & Training | Social Events | regata ent fee | 260 | |||||
| dinghy inst training | 1180 | agm hall refund | -25 | bbq & fun day | 207 | |||
| 1st aid | 750 | agm food etc | 74 | 3105 | ||||
| 1930 | hall | 138 | ||||||
| trophies | 208 | |||||||
| 395 | ||||||||
| rent etc | edf | 436 | Gen Admin | ofcom | 75 | |||
| water | 155 | rya afl | 170 | |||||
| rent | 830 | 245 | ||||||
| ins | 4107 | |||||||
| 5528 |
ARUN YOUTH AQUA CENTRE RECEIPTS AND PAYMENTS ACCOUNT FOR THE YEAR ENDED 31 OCTOBER 2025
| RECEIPTS Donatons, Grants and Sponsorship Operatng Income Membership Fees Gif Aid Refunds Equipment Hire Fund Raising Other Income TOTAL RECEIPTS LESS PAYMENTS Cost of Generatng Funds Fund Raising Social Events Actvity Costs Courses and Training Dinghy, Tractor & Safety Boat Maintenance Small Equipment Items New Equipment - Tractor Building and Ramp Maintenance Fuel for Safety Boat & Tractor Publicity Sundry Administraton Expenses Rent, Water, Electricity and Insurance Professional Fees General Administraton Expenses TOTAL PAYMENTS Excess of Receipts over Payments Balance at Bank as at 1 November 2024 Balance at Bank as at 31 October 2025 |
Restricted Unrestricted 11269 125 5464 1920 500 6465 56 11269 14530 3105 3105 395 395 3500 1930 1930 1756 1756 1860 1860 8053 8053 1758 1758 377 377 200 200 42 42 15976 5528 5528 75 75 245 245 5848 9913 15411 |
2025 2024 TOTAL TOTAL 11394 16618 5464 4340 1920 0 500 450 6465 3935 56 30 25799 25373 2828 440 3268 358 2278 1391 9832 5406 159 185 0 19609 5507 75 289 5871 25324 28748 475 -3375 8081 11456 £8,556 £8,081 |
2025 2024 TOTAL TOTAL 11394 16618 5464 4340 1920 0 500 450 6465 3935 56 30 25799 25373 2828 440 3268 358 2278 1391 9832 5406 159 185 0 19609 5507 75 289 5871 25324 28748 475 -3375 8081 11456 £8,556 £8,081 |
2024 TOTAL 16618 4340 0 450 3935 30 |
|
|---|---|---|---|---|---|
| 25799 | 25373 | ||||
| 440 | 3268 | ||||
| 358 2278 1391 9832 5406 159 185 0 19609 |
|||||
| 19609 | |||||
| 5507 75 289 5871 |
|||||
| 5871 | |||||
| 25324 | 28748 | ||||
| -3375 11456 |
|||||
| £8,081 |
Independent examiner's report on the accounts
Section A Independent Examiner’s Report
| Report to the trustees On accounts for the year ended Set out on pages |
Charity Name Arun Youth Aqua Centre |
Charity Name Arun Youth Aqua Centre |
Charity Name Arun Youth Aqua Centre |
|---|---|---|---|
| 31 October 2025 | Charity no (if any) |
1001294 | |
| One to six |
I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended 31/10 /2025. Responsibilities and As the charity's trustees, you are responsible for the preparation of the basis of report accounts in accordance with the requirements of the Charities Act 2011 (“the Act”).
I report in respect of my examination of the Trust’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.
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Independent I have completed my examination. I confirm that no material matters have
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examiner's statement come to my attention in connection with the examination (other than that disclosed below *) which gives me cause to believe that in, any material respect:
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the accounting records were not kept in accordance with section 130 of the Charities Act; or
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the accounts did not accord with the accounting records; or
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the accounts did not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a ‘true and fair’ view which is not a matter considered as part of an independent examination.
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.
.
Signed: E.B.Pope Date: 11 November 2025 Name: Edward Pope Relevant professional F.M.A.A.T qualification(s) or body (if any):
Address: 18 Beaumont Park Littlehampton West Sussex BN17 6PE
Oct 2018
2
IER
Section B Disclosure
Only complete if the examiner needs to highlight material matters of concern (see CC32, Independent examination of charity accounts: directions and guidance for examiners).
Give here brief details of any items that the examiner wishes to disclose .
Oct 2018
2
IER