## Trustees' Annual Report 

## For the period 

From (start date) **0 1 0 1 2 1** to end date **3 1 1 2 2 1** 

|**Section A**|**Reference and administration details**|**Reference and administration details**|**Reference and administration details**|**Reference and administration details**|**Reference and administration details**|**Reference and administration details**|**Reference and administration details**|**Reference and administration details**|
|---|---|---|---|---|---|---|---|---|
|Charity name<br>Other names the charity is known by<br>Registered charity number (if any)<br>Charity’s principal address|||||||||
||2ND COPYTHORNE(STANLEYS OWN)SCOUT GROUP||||||||
||STANLEYS OWN SCOUT GROUP<br>1<br>0<br>1<br>5<br>5<br>8<br>3<br>CHARLES KING HALL<br>ROMSEY ROAD,COPYTHORNE<br>SOUTHAMPTON<br>Postcode<br>S<br>O<br>40<br>2 P<br>B||||||||
||CHARLES KING HALL||||||||
||ROMSEY ROAD,COPYTHORNE||||||||
||SOUTHAMPTON||||||||
||Postcode|S|O|40|2|P|B||



Names of the charity trustees who manage the charity 

|1<br>2<br>3 <br>4 <br>5 <br>6 <br>7 <br>8 <br>9<br>10<br>11<br>12 <br>13 <br>14<br>15<br>16|**Trustee Name**|**Office (if any)**||
|---|---|---|---|
||MICHAEL GURD|PRESIDENT||
||JOY SELLWOOD|CHAIRMAN||
||THERESE ZANETTI|SECRETARY||
||DEBORAH PARVIN|TREASURER||
||WARREN TURVEY|||
||KATRINA STONE|||
||KEVIN HARMER|||
||JACQUELINE HEATH|||
||ROBERT GOOD|||
||CHRISTINE DEAMER|||
||MICHAEL FERRIS|||
||TRACY HOGAN|||
||TONY CARTER|||
||SHARON HARRIS|||
|||||
|||||



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## **Section A Reference and administration details (continued)** 

Names and addresses of advisers (optional information but encouraged as best practice) 

Type of advisor Name Address 

## **Section B Structure, governance and management** 

Description of the charity’s trusts 

|How the charity is constituted<br>(e.g. trust, association, company)<br>Trustee selection methods<br>(e.g. appointed by, elected by)<br>(e.g. trust deed, constitution)<br>Type of governing document|The Group's governing documents are those of the The Scout<br>Association. They consist of a Royal Charter, which in turn gives<br>authority to the Bye Laws of the Association and The Policy,<br>Organisation and Rules of The Scout Association.|
|---|---|
|||
||The Group is a trust established under its rules which are<br>common to all Scouts.|
|||
||The Trustees are appointed in accordance with the Policy,<br>Organisation and Rules of The Scout Association.|



Additional governance issues (optional information but encouraged as best practice) 

|Policies and procedures adopted for:<br>a) the induction and training of trustees;<br>b) trustee' consideration of major risks<br>and the systems and procedures to<br>manage them<br>You may choose to include<br>additional information, where<br>relevant, about:|The raising of funds and the administration of Group finance;<br>Group public occasions;<br>The insurance of persons, property and equipment;<br>The Group is managed by the Group Executive Committee, the<br>members of which are the ‘Charity Trustees’ of the Scout Group<br>which is an educational charity. As charity trustees they are<br>responsible for complying with legislation applicable to charities.<br>This includes the registration, keeping proper accounts and<br>making returns to the Charity Commission as appropriate.<br>The Committee consists of independent representatives, Chair,<br>Treasurer and Secretary together with the Group Scout Leader,<br>individual section leaders (if opted to take on the responsibility)<br>and parent’s representation and meets every 2 months.<br>The Group Executive Committee exists to support the Group<br>Scout Leader in meeting the responsibilities of the appointments<br>and is responsible for:<br>The maintenance of Group property;<br>Members of the Executive Committee complete_'Essential_<br>_Information for Executive Committee'_training within the first few<br>months of joining the Committee.<br>Assisting in the recruitment of leaders and other adult support;<br>Appointing any sub committees that may be required;<br>Appointing Group Administrators and Advisors other than those<br>who are elected.|
|---|---|



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|**Section B**|**Structure, governance and management (continued)**|
|---|---|
||**Risk and Internal Control**<br>The Group Executive Committee has identified the major risks to<br>which they believe the Group is exposed, these have been<br>reviewed and systems have been established to mitigate against<br>them, including two signatories for all payments. The other main<br>areas of concern that have been identified are:<br>Reduction or loss of members. The Group provides activities for<br>all young people aged 6 to 18. If there was a reduction in<br>membership in a particular section or the group as a whole then<br>there would have to be a contraction, consolidation or closure of<br>a section. In the worst case scenario the complete closure of the<br>Group.<br>Damage to the building, property and equipment. The Group<br>would request the use of buildings, property and equipment from<br>neighbouring organisations such as the church, community<br>centre and other Scout Groups. Similar reciprocal arrangements<br>exist with these organisations. The Group has sufficient buildings<br>and contents insurance in place to mitigate against permanent<br>loss.<br>Injury to leaders, helpers, supporters and members. The Group<br>through the membership fees contributes to the Scout<br>Associations national accident insurance policy. Risk<br>Assessments are undertaken before all activities.<br>Reduced income from fund raising. The Group is primarily reliant<br>upon income from membership fees and fundraising. The group<br>does hold a reserve to ensure the continuity of activities should<br>there be a major reduction in income. The Committee could raise<br>the value of membership fees to increase the income to the<br>group on an ongoing basis, either temporarily or permanently.<br>Reduction or loss of leaders. The group is totally reliant upon<br>volunteers to run and administer the activities of the group. If<br>there<br>was<br>a<br>reduction<br>in<br>the<br>number<br>of<br>leaders<br>to<br>an<br>unacceptable level in a particular section or the group as a whole<br>then there would have to be a contraction, consolidation or<br>closure of a section. In the worst case scenario the complete<br>closure of the Group.|



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|**Section C**|**Objectives and activities**|
|---|---|
|Summary of the main activities in<br>relation to these objects<br>Summary of the objects of the charity set<br>out in its governing document|<br>The objectives of the Group are as a unit of the Scout<br>Association.<br>The Aim of The Scout Association is to promote the development<br>of young people in achieving their full physical, intellectual, social<br>and spiritual potentials, as individuals, as responsible citizens<br>and<br>as<br>members<br>of<br>their<br>local national<br>and<br>international<br>communities.<br>The<br>method<br>of<br>achieving<br>the<br>Aim<br>of<br>the<br>Association is by providing an enjoyable and attractive scheme<br>of progressive training, based on the Scout Promise and Law<br>and guided by adult leadership.|
||The promotion of and the co-ordination of the six Sections to<br>ensure that they provide Scouting in accordance with the Policy,<br>Organisation and Rules of the Scout Association.   This ensures<br>that a well balanced programme is delivered to the young people<br>in the Association by the Leaders of the Association.  The main<br>activities are regular weekly meetings of the various Sections of<br>the Group, camps and day activities.|



Additional details of the objectives and activities (optional information but encouraged as best practice) 

|You**may choose**to include further<br>statements, where relevant, about:<br>• policy on grantmaking;<br>• contribution made by volunteers.<br>Public benefit statement||
|---|---|
|||
||The Group meets the Charity Commission's public benefit criteria<br>under both the advancement of education and the advancement<br>of citizenship or community development headings.|
|||
|**Section D**|**Achievements and performance**|
|Summary of the main achievements of<br>the charity during the year||
||Please see our AGM report pack which is available on request|



4  LT700001 



|**Section E**|**Financial Review**|
|---|---|
|Quantify and explain any designations<br>Details of any funds materially in deficit<br>(circumstances plus steps to eliminate)<br>Further financial review details (optional information)<br>You**may choose**to include additional<br>information, where relevant, about:<br>• the charity’s principal sources of funds (<br>• investment policy and objectives<br>**Investment Policy**<br>The Group's Income and Expenditure is very small and as a<br>consequence does not have sufficient funds to invest in longer-<br>term investments such as stocks and shares. The Group has<br>therefore adopted a low risk strategy to the investment of its<br>funds. All funds are held in cash using only mainstream banks or<br>the COIF Charities Deposit Fund.<br>The Group's policy on reserves is to hold sufficient resources to<br>continue the charitable activities of the group should income and<br>fundraising activities fall short. The Group Executive Committee<br>considers that the group should hold a sum equivalent to 2 years<br>average potential carnival income in unrestricted reserves. Any<br>excess unrestricted reserves would be used to help fund the<br>refurbishment of the Scout Headquarters.<br>• how expenditure has supported the key<br>objectives of the charity;<br>Brief statement of the charity’s policy on<br>reserves<br>The Group Executive regularly monitors the levels of bank<br>balances and the interest rates received to ensure the group<br>obtains maximum value and income from its banking<br>arrangements. Occasionally this may involve using an account<br>that requires a period of notice before funds may be withdrawn,<br>before doing so the Group Executive considers the cash flow<br>requirements.<br>The Group held reserves of £26,000 against this at year end<br>thus meeting the Group aim.<br>**Reserves Policy**|The Group's policy on reserves is to hold sufficient resources to<br>continue the charitable activities of the group should income and<br>fundraising activities fall short. The Group Executive Committee<br>considers that the group should hold a sum equivalent to 2 years<br>average potential carnival income in unrestricted reserves. Any<br>excess unrestricted reserves would be used to help fund the<br>refurbishment of the Scout Headquarters.<br>The Group held reserves of £26,000 against this at year end<br>thus meeting the Group aim.<br>**Reserves Policy**|
|||
|||
||<br>**Investment Policy**<br>The Group's Income and Expenditure is very small and as a<br>consequence does not have sufficient funds to invest in longer-<br>term investments such as stocks and shares. The Group has<br>therefore adopted a low risk strategy to the investment of its<br>funds. All funds are held in cash using only mainstream banks or<br>the COIF Charities Deposit Fund.<br> <br>The Group Executive regularly monitors the levels of bank<br>balances and the interest rates received to ensure the group<br>obtains maximum value and income from its banking<br>arrangements. Occasionally this may involve using an account<br>that requires a period of notice before funds may be withdrawn,<br>before doing so the Group Executive considers the cash flow<br>requirements.|



5  LT700001 



|**Section F**|**Other Optional Information**|
|---|---|
|Plans for future periods (details of any<br>significant activities planned to achieve<br>them)||
|||
|||
|**Section G**|**Declaration**|



The trustees declare that they have approved the trustees’ report above Signed on behalf of the charity’s trustees 

|Full name(s)<br>Date<br>Position (eg Secretary, Chair)|JoySellwood|JoySellwood|JoySellwood|JoySellwood|JoySellwood|JoySellwood|Deborah Parvin|
|---|---|---|---|---|---|---|---|
|||||||||
||Chair||||||Treasurer|
||0<br>9<br>0<br>5<br>2<br>2|||||||
||0|9|0|5|2|2||



6  LT700001 



## **2nd New Forest North (Stanley's Own) Scout Group Receipts and Payments Account** 

Year start date 

Year end date 


**----- Start of picture text -----**<br>
For the year<br>01-Jan-21 To 31-Dec-21<br>from<br>Receipts and payments<br>2021 2020<br>Unrestricted  Restricted  Endowment<br>Total funds Total funds<br>funds  funds funds<br> £  £ £ £ £<br>Receipts<br>Donations, legacies and similar<br>income<br>Membership subscriptions                       3,835                              -                                -                          3,835                       4,394<br>Less: Membership subscriptions paid on<br>(National/County/Area/District)                       3,962                              -                                -                          3,962                       4,626<br>Net membership subscriptions retained<br>-                        128                              -                                -    -                        128  -                      232<br>Donations<br>                    12,274                              -                                -                        12,274                     15,397<br>Legacies                               -                              -                                -                                -                                -<br>Gift Aid                       1,779                              -                                -                          1,779                       1,978<br>Section Accounts                     12,686                              -                                -                        12,686                     11,489<br>Jamboree                               -                              -                                -                                -                                -<br>Sub total                      26,611                              -                                -                        26,611                     28,632<br>Grants<br>Other grants                               -                              -                                -                                -                              -<br>Sub total                                -                              -                                -                                -                              -<br>Fundraising (gross)<br>Carnival Week & Xmas fair                          635                              -                                -                             635                            30<br>HQ Building Project - Fundraising and<br>donations                               -                           190                              -                             190                       3,495<br>Other fundraising activities                                -                              -                                -                                -                              -<br>Sub total                           635                           190                              -                             825                       3,525<br>Investment income<br>COIF Charities Deposit Account Interest<br>                             5                              -                                -                                 5                            69<br>Property Rent income - external                       7,082                              -                                -                          7,082                       2,298<br>Property Rent income - Girl Guiding etc                          328                              -                                -                             328                          608<br>Sub total                        7,415                              -                                -                          7,415                       2,975<br>Total Gross Income                     34,661                           190                                -                      34,851                     35,132<br>Asset and investment sales, etc.                               -                              -                                -                                -                             -<br>Total receipts                     34,661                           190                              -                        34,851                    35,132<br>**----- End of picture text -----**<br>


1  LT700003 



## **2nd New Forest North (Stanley's Own) Scout Group Receipts and Payments Account** 

Year start date 

Year end date 

**For the year 01-Jan-21 To 31-Dec-21 from** 

## **Receipts and payments** 


**----- Start of picture text -----**<br>
2021 2020<br>Unrestricted  Restricted  Endowment<br>Total funds Total funds<br>funds  funds funds<br> £  £ £ £ £<br>Payments<br>Charitable Payments<br>Youth programme and activities inc                           124                              -                                -                             124                       2,602<br>badges<br>HQ - Cleaning<br>                      2,964                              -                                -                          2,964                       1,723<br>HQ - Utilities<br>                      2,000                              -                                -                          2,000                       3,649<br>HQ - Insurance<br>                      4,540                              -                                -                          4,540                       4,487<br>HQ - Repairs and Renewals<br>                      2,882                              -                                -                          2,882                       1,543<br>HQ - Licences<br>                         560                              -                                -                             560                          723<br>Equipment<br>                      4,719                              -                                -                          4,719                          130<br>Printing, postage, stationery & sundry<br>expenses                          187                              -                                -                             187                          442<br>Uniforms<br>                              -                              -                                -                                -                                -<br>Donations<br>                              -                              -                                -                                -                            400<br>Section Accounts<br>                    10,484                              -                                -                        10,484                     10,009<br>Jamboree<br>                              -                              -                                -                                -                                -<br>Tree works<br>                      1,308                              -                                -                          1,308                            -<br>HQ Building Project                               -                           450                              -                             450                       2,140<br>Sub total                     29,767                           450                              -                        30,217                     27,848<br>Fundraising expenses<br>Carnival Week & Xmas fair                          288                              -                                -                             288                          120<br>Other fundraising costs                               -                              -                                -                                -                                -<br>Payment fees<br>                           74                              -                                -                               74                            72<br>Sub total                          362                              -                                -                             362                          192<br>Total Gross Expenditure                     30,129                           450                                -                      30,579                     28,040<br>Asset and investment<br>purchases, etc. - - -                             -    -<br>Total payments                     30,129                           450                                -                      30,579                     28,040<br>Net of receipts/(payments)                       4,532  -                        260                              -                         4,272                      7,092<br>Transfers between funds<br>                           50  -                          50                              -                                -                             -<br>Cash funds last year end                      39,201                      15,776                              -                        54,977                    47,885<br>Cash funds this year end                     43,783                      15,466                              -                       59,249                    54,977<br>**----- End of picture text -----**<br>


2  LT700003 



## **Statement of assets and liabilities at the end of the year** 


**----- Start of picture text -----**<br>
31-Dec-21 31-Dec-20<br>Unrestricted  Restricted  Endowment  Total funds  Total funds<br>funds funds funds<br>£ £ £ £ £<br>Cash funds<br> Bank current account                        4,276                              -                                -                          4,276                       3,896<br> COIF Charities Deposit Account                      20,895                      15,466                              -                        36,361                     34,356<br> Held by Sections                      17,612                              -                                -                        17,612                     15,409<br> Cash in Hand                        1,001                              -                                -                          1,001                       1,316<br> Total cash funds                       43,784                      15,466                              -                        59,250                     54,977<br>Other monetary assets<br> Tax claim                              -                                -                                -                                -                              -<br> Debts due from the<br>County/Area/District/Group                              -                                -                                -                                -                              -<br> Insurance claim                              -                                -                                -                                -                              -<br> Sub total                          -                            -                            -                            -                           -<br>Investment assets<br> Investment property - detail                               -                                -                                -                                -                              -<br> Quoted investments                              -                                -                                -                                -                              -<br> Other investments - detail                              -                                -                                -                                -                              -<br> Sub total                          -                            -                            -                            -                           -<br>Non monetary assets for<br>charity's own use<br> Badge stock                              -                                -                                -                                -                              -<br> Shop stock                              -                                -                                -                                -                              -<br> Other stock                              -                                -                                -                                -                              -<br> Land and buildings                              -                                -                                -                                -                              -<br> Motor vehicles                              -                                -                                -                                -                              -<br> Scouting equipment, furniture etc                              -                                -                                -                                -                              -<br> Other                              -                                -                                -                                -                              -<br> Sub total                          -                            -                            -                            -                           -<br>Liabilities<br> Accounts not yet paid                              -                                -                                -                                -                              -<br> Expenses incurred but not invoiced                              -                                -                                -                                -                              -<br> Subscriptions not yet paid                              -                                -                                -                                -                              -<br> Loan - detail                              -                                -                                -                                -                              -<br> Other liabilities                              -                                -                                -                                -                              -<br> Sub total                          -                            -                            -                            -                           -<br>**----- End of picture text -----**<br>


## **Contingent liabilities and future obligations** 

**The above receipts and payments account and statement of assets and liabilities were approved by the Trustees on 1 February 2022 (the date of the Executive Committee meeting that approved the accounts) and signed on their behalf by** Signature Print Name Chair Joy Sellwood Treasurer Deborah Parvin 

3  LT700003 



## **2nd New Forest North (Stanley's Own) Scout Group Section Accounts** 


**----- Start of picture text -----**<br>
For the year  01-Jan To 31-Dec<br>from 2021 2021<br>Section Accounts<br>2021<br>Balance  Balance<br>Subscriptions Other Income Spent<br>01/01/21 31/12/21<br>£ £ £ £ £<br>Cadnam River Beavers 600.23 305.00                       -  506.71 398.52<br>Bartley Waters Beavers 390.65 85.00                       -  189.12 286.53<br>Dyak Cubs 2,367.75 570.00 140.00 1,781.22 1,296.53<br>Zulu Cubs 21.60 318.00 450.00 323.26 466.34<br>Everett Scouts 436.39 404.00 2,636.49 2,772.54 704.34<br>King Scouts 1,780.60 315.00 518.97 1,184.17 1,430.40<br>Stanley's Own Magazine 7,560.43 4,300.62 2,643.08 3,705.52 10,798.61<br>Stanley's Own Scout & Guide Band 2,028.69 0.00                       -  21.00 2,007.69<br>Centenary Band 222.58                       -                        -                        -  222.58<br>Totals 15,408.92 6,297.62 6,388.54 10,483.54 17,611.54<br>**----- End of picture text -----**<br>


4  LT700003 



Independent Examinerfs Report to the Trustees of th•
2ND NEW FOREST NORTH (STANLEYS OWNI SCOUT GROUP
I report on the acc(KJnts of the Group for the year ended 31 D￿mber 2021, whth compnse the Receipts and
Payments Account. Statement ofAssets and kn.a￿"1￿.es and related notes.
This report is made wiely to the trustees in aCc￿￿1￿e th ￿.0ft 145 oftsw ChantiosAct 2011. My work has been
undertaken so that I might state lo the thanty's tnjstees those matters l am required to ststeto them in an Indepen¢Jenl
Examinerfs report and for ￿ other purpose. To the fvllest extent pernirtled by law. I do not accept or assume
responsibility lo anyone other than ts charity and the chanty's trustees fcrf my examination work.
Respgctive responslbllltlo¥ of TnMte•s and Ex¥mln•r
The Grcwp's tnjstees ore r88ponsible for Ihe wep0rall￿ of the a￿(￿nts. They consbder th* an a￿111 is nol required
for this yeaf lunder Section 144 of th8 Charities Act 20111thg Charili8s A￿1> and that an indep8nd8nt examination 1$
needed.
11 is my reSpon￿lMI1ty to..
Examine the a￿Unts (under sect￿ 145 of the Chaiities Act);
To follow the procedure8 laid dcmn in the General Directions given by the Charity CoMmis￿onerS (under Section
14515)Ibl of the Charitses Act). arKI
To slate partscular matters have come to my attents￿.
8a8lJ of Indtwndent Examlnefs feport
My oxamination was carried out in accord￿ wih ￿ General Directions gr4en by the Charity C￿mis￿onerS. An
examination includes a feview of the accounting rewds kept by the Group and a comparison of the accounts
presented wlh those records It also indudes c￿￿￿eratI￿ of any unusual rtems or disclosures in the accounts and
seeking explanats'ons from Y￿ as trustees c0￿Mil¥j any such matters. The procedures undertaken do r￿1 providg
all the evidence that would be required in an au(Jrt. and consequently no opnion is given as lo lthether the &counts
Pfesent a 'lrue and fai¢ view and the rep)rt is limited to those matters set out in the statement below.
Ind•p•nd•nt Examln•rf• statsm•nl
In conn•clI￿ my examinati￿, rKI matter has c(ffie lo my altenti￿..
1. which gives me reasonable cause lo bdieve tr￿t in, any material respect, the requirgmgnts
to keep accwnting rec￿d8 in aCCOTd8rKe Section 130 of ts Charities Act., and
to prepare accounls vthich accor(I accountsrvj reccvds arvj cOm￿Y ￿ the accounting requirements
of th8 Charrties A￿ have not boen mgt; or
2. to whith, in my wnion, attenti￿ slK*ld be drawn in order lo enable a wjper underslanding of the xcounts to
be reathed.
Name..
ohJi
Qualifieatson..
Address..
Dale..
Lf100006 {1•t Febrnary 20171