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2021-03-31-accounts

17th Whitley Bay Scout Group Receipts and Payments Account

Year start date Year start date Year end date
31-Mar-21
For the year
from
01-Apr-20 To 31-Mar-21
Receipts and payments
Receipts Unrestricted
funds
£
4,651.50
2,605.50
2,046.00
27.50
2,073.50
-
19,717.00
19,717.00
2,428.00
Brantwood Ave
Brantwood Ave
joint
£
£
-
-
-
-
-
-
-
-
1,264.00
-
124.52
-
1,388.52
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
2020/21
Total funds
£
4,651.50
2,605.50
2,046.00
27.50
1,264.00
-
124.52
3,462.02
-
-
19,717.00
19,717.00
-
-
-
2,428.00
-
-
-
2019/20
Total funds
£
Donations, legacies and similar
income
Membership subscriptions 4,651.50 6,291.00
Less: Membership subscriptions paid on
(National/County/Area/District)
2,605.50 3,422.25
Net membership subscriptions retained 2,046.00 2,868.75
neckers 20/Donation 19 27.50 2,006.00
Brantwood Rental Income 8,385.50
Gift Aid 1,125.86
Refund Utility Warehouse
Sub total 2,073.50 14,386.11
Maintenenace grant - -
North Tyneside Council 19,717.00 -
Sub total 19,717.00 -
Fundraising (gross)
Wintercamp 19 1,380.00
Coffee evening 20/19 213.36
Kirknewton 19 1,805.00
Marra 20 2,428.00 1,310.00
Dist Scout/Cub camp19 2,015.00
Beaver Activity day 96.00
Other Activities & neckers 131.00

1 LT700003

Sub total 2,428.00 - - 2,428.00 6,950.36
Investment income
Unpresented cheque - - - 75
Sponsorship - - -
The Scout Association Short Term
Investment Service - - - - -
Hire out of Brantwood
- - -
Other investment income
- - - - -
Sub total - - - - 75.00
Total Gross Income 24,218.50 1,388.52 - 25,607.02 21,411.47
Asset and investment sales, etc. - - - - -
Total receipts 24,218.50 1,388.52 - 25,607.02 21,411.47

2 LT700003

17th Whitley Bay Scout Group Receipts and Payments Account

Year start date Year start date Year end date
31-Mar-21
For the year
from
01-Apr-20 To 31-Mar-21
Receipts and payments
Payments Unrestricted
funds
£
-
17.60
17.60
1,420.00
Restricted funds
Brantwood
Avenue
£
£
-
1,376.53
-
50.40
-
142.53
-
693.90
-
1,200.10
-
1,947.80
-
-
-
-
-
-
-
-
-
-
95.86
5,411.26
95.86
-
-
-
-
2020/21
Total funds
£
-
1,376.53
50.40
142.53
693.90
-
1,200.10
1,947.80
17.60
-
-
-
-
95.86
5,524.72
-
1,420.00
-
-
2019/20
Total funds
£
Charitable Payments
PRS/PPL - - 121.20
Building Insurance 1,376.53 1,376.53 1,311.64
Liability Ins 50.40 50.40 50.40
Water and Sewerage 142.53 142.53 553.10
Electricity and Gas 693.90 693.90 1,363.23
50%Expenses Brantwood -
Repairs/Service 1,200.10 1,200.10 362.04
Materials and equipment 1,947.80 1,947.80 1,894.49
Postage 17.60 - 17.60
Uniforms/neckers/woggles - -
AGM and trustee expenses - - 111.83
Badges - - 300.00
Legal costs -
Cleaning /Refund overpay rental inc 95.86 160.00
Sub total 17.60 5,411.26 5,524.72 6,227.93
Fundraising expenses
Dist Sout & Cub camp 19 - 1,632.10
refunds Marra/Marra 20 1,420.00 - 1,420.00 2,318.00
Wintercamp 19 - 1,261.27
Kirknewton 19 - - 1,497.70

3 LT700003

Activities 250.00 - - 250.00 467.44
Wintercamp 19 - - -
Sub total 1,670.00 - - 1,670.00 7,176.51
Total Gross Expenditure
Asset and investment purchases,
etc.
Total payments
Net of receipts/(payments)
Transfers between funds
Cash funds last year end
Cash funds this year end
13,404.44
-
13,404.44
22,530.90 8,007.03
- -
16,776.21 12,146.58
39,307.11 20,153.61

4 LT700003

Statement of assets and liabilities at the end of the year

31-Mar-21

Unrestricted
funds
£
Cash funds
Bank current account
35,284.37
50% Joint Bank a/c with 20th Whitley Bay
re use of Brantwood HQ
The Scout Association Short Term
Investment Service
-
Total cash funds
35,284.37
Other monetary assets
Tax claim
-
Debts due from the
County/Area/District/Group
-
Insurance claim
-
Sub total
-
Investment assets
Investment property - detail
-
Quoted investments
-
Other investments - detail
-
Sub total
-
Non monetary assets for charity's
own use
Badge stock
1.63
Shop stock
-
Other stock
-
Land and buildings
-
Motor vehicles
-
Scouting equipment, furniture etc
-
Other
-
Sub total
1.63
Restricted funds
£
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
31-Ma
Brantwood
Avenue
£
3,281.54
-
-
-
3,281.54
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
r-21
Total funds
£
35,284.37
3,281.54
-
-
-
38,565.91
-
-
-
-
-
-
-
-
1.63
-
-
-
-
-
-
1.63
31st Mar 20
Total funds
£
Cash funds
Bank current account 35,284.37 35,284.37 16,853.20
50% Joint Bank a/c with 20th Whitley Bay
re use of Brantwood HQ
- 3,281.54 3,281.54 3,377.40
- - -
The Scout Association Short Term
Investment Service
- - - - -
- - -
Total cash funds 35,284.37 - 3,281.54 38,565.91 20,230.60
Other monetary assets
Tax claim - - - - -
Debts due from the
County/Area/District/Group
- - - - -
Insurance claim - - - - -
Sub total - - - - -
Investment assets
Investment property - detail - - - - -
Quoted investments - - - - -
Other investments - detail - - - - -
Sub total - - - - -
Non monetary assets for charity's
own use
Badge stock 1.63 - - 1.63 77.66
Shop stock - - - - -
Other stock - - - - -
Land and buildings - - - - -
Motor vehicles - - - - -
Scouting equipment, furniture etc - - - - -
Other - - - - -
Sub total 1.63 - - 1.63 77.66

5 LT700003

Liabilities
Over payment by hirer - - -
Expenses incurred but not invoiced - - - - -
Unpresented cheques - - - 76.99
Loan - District - - -
Other liabilities - - - - -
Sub total 35,284.37 - 3,281.54 38,565.91 20,153.61

The above receipts and payments account and statement of assets and liabilities were approved by the Trustees on 14th April 2021 (the date of the Executive Committee meeting that approved the accounts) and signed on their behalf by

Signature Print Name
John Jeffs Chair
Julie Stafford Treasurer

6 LT700003

17th Whitley Bay Scout Group Receipts and Payments Account

1 LT Year start date Year start date Year end date
31-Mar-21
For the year
from
01-Apr-20 To 31-Mar-21
Receipts and payments
Receipts Unrestricted
funds
£
4,651.50
2,605.50
2,046.00
27.50
2,073.50
-
19,717.00
19,717.00
Brantwood Ave
Brantwood Ave
joint
£
£
-
-
-
-
-
-
-
-
1,264.00
-
124.52
-
1,388.52
-
-
-
-
-
-
-
-
-
2020/21
Total funds
£
4,651.50
2,605.50
2,046.00
27.50
1,264.00
-
124.52
3,462.02
-
-
19,717.00
19,717.00
-
2019/20
Total funds
£
Donations, legacies and similar
income
Membership subscriptions 4,651.50 - 4,651.50 6,291.00
Less: Membership subscriptions paid on
(National/County/Area/District)
2,605.50 - 2,605.50 3,422.25
Net membership subscriptions retained 2,046.00 - 2,046.00 2,868.75
neckers 20/Donation 19 27.50 - 27.50 2,006.00
Brantwood Rental Income 1,264.00 1,264.00 8,385.50
Gift Aid - 1,125.86
Refund Utility Warehouse 124.52 124.52
Sub total 2,073.50 1,388.52 3,462.02 14,386.11
-
Maintenenace grant - - - -
North Tyneside Council 19,717.00 - 19,717.00 -
Sub total 19,717.00 - 19,717.00 -
Fundraising (gross)
700003
Wintercamp 19
- - 1,380.00
Coffee evening 20/19 - 213.36
Kirknewton 19 - - - 1,805.00
Marra 20 2,428.00 - - 2,428.00 1,310.00
Dist Scout/Cub camp19 - 2,015.00
Beaver Activity day - - - 96.00
Other Activities & neckers - 131.00
Sub total 2,428.00 - - 2,428.00 6,950.36
Investment income
Unpresented cheque - - - 75
Sponsorship - - -
The Scout Association Short Term
Investment Service - - - - -
Hire out of Brantwood
- - -
Other investment income
- - - - -
Sub total - - - - 75.00
Total Gross Income 24,218.50 1,388.52 - 25,607.02 21,411.47
Asset and investment sales, etc. - - - - -
Total receipts 24,218.50 1,388.52 - 25,607.02 21,411.47

2 LT700003

17th Whitley Bay Scout Group Receipts and Payments Account

3 L~~T~~ Year start date Year start date Year end date
31-Mar-21
For the year
from
01-Apr-20 To 31-Mar-21
Receipts and payments
Payments Unrestricted
funds
£
-
17.60
Restricted funds
Brantwood
Avenue
£
£
-
1,376.53
-
50.40
-
142.53
-
693.90
-
1,200.10
-
1,947.80
-
-
-
-
-
-
-
-
-
-
95.86
2020/21
Total funds
£
-
1,376.53
50.40
142.53
693.90
-
1,200.10
1,947.80
17.60
-
-
-
-
95.86
2019/20
Total funds
£
Charitable Payments
PRS/PPL - - 121.20
Building Insurance 1,376.53 1,376.53 1,311.64
Liability Ins 50.40 50.40 50.40
Water and Sewerage 142.53 142.53 553.10
Electricity and Gas 693.90 693.90 1,363.23
50%Expenses Brantwood -
Repairs/Service 1,200.10 1,200.10 362.04
Materials and equipment 1,947.80 1,947.80 1,894.49
Postage 17.60 - 17.60
Uniforms/neckers/woggles - -
AGM and trustee expenses - - 111.83
Badges - - 300.00
Legal costs -
~~700003~~
Cleaning /Refund overpay rental inc
95.86 160.00
Sub total 17.60 5,411.26 95.86 5,524.72 6,227.93
Fundraising expenses
Dist Sout & Cub camp 19 - 1,632.10
refunds Marra/Marra 20 1,420.00 - - 1,420.00 2,318.00
Wintercamp 19 - 1,261.27
Kirknewton 19 - - - 1,497.70
Activities
250.00 - - 250.00 467.44
Wintercamp 19
- - -
Sub total 1,670.00 - - 1,670.00 7,176.51
Total Gross Expenditure 1,687.60 5,411.26 95.86 7,194.72 13,404.44
Asset and investment purchases,
etc. - - - - -
Total payments 1,687.60 5,411.26 95.86 7,194.72 13,404.44
Net of receipts/(payments) 22,530.90 - 4,022.74 - 95.86 18,412.30 8,007.03
Transfers between funds
- **- ** - - -
Cash funds last year end 16,776.21 3,377.40 20,153.61 12,146.58
Cash funds this year end 39,307.11 - 4,022.74 3,281.54 38,565.91 20,153.61

4 LT700003

Statement of assets and liabilities at the end of the year

31-Mar-21

31st Mar 20

31-Ma r-21 31st Mar 20
5 LT 700003
Unrestricted
funds
£
Cash funds
Bank current account
35,284.37
50% Joint Bank a/c with 20th Whitley Bay
re use of Brantwood HQ
The Scout Association Short Term
Investment Service
-
Total cash funds
35,284.37
Other monetary assets
Tax claim
-
Debts due from the
County/Area/District/Group
-
Insurance claim
-
Sub total
-
Investment assets
Investment property - detail
-
Quoted investments
-
Other investments - detail
-
Sub total
-
Non monetary assets for charity's
own use
Badge stock
1.63
Shop stock
-
Restricted funds
£
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Brantwood
Avenue
£
3,281.54
-
-
-
3,281.54
-
-
-
-
-
-
-
-
-
-
Total funds
£
35,284.37
3,281.54
-
-
-
38,565.91
-
-
-
-
-
-
-
-
1.63
-
Total funds
£
Cash funds
Bank current account 35,284.37 35,284.37 16,853.20
50% Joint Bank a/c with 20th Whitley Bay
re use of Brantwood HQ
- 3,281.54 3,281.54 3,377.40
- - -
The Scout Association Short Term
Investment Service
- - - - -
- - -
Total cash funds 35,284.37 - 3,281.54 38,565.91 20,230.60
Other monetary assets
Tax claim - - - - -
Debts due from the
County/Area/District/Group
- - - - -
Insurance claim - - - - -
Sub total - - - - -
Investment assets
Investment property - detail - - - - -
Quoted investments - - - - -
Other investments - detail - - - - -
Sub total - - - - -
Non monetary assets for charity's
own use
Badge stock 1.63 - - 1.63 77.66
700003
Shop stock
- - - - -
Other stock - - - - -
Land and buildings - - - - -
Motor vehicles - - - - -
Scouting equipment, furniture etc - - - - -
Other - - - - -
Sub total 1.63 - - 1.63 77.66
Liabilities
Over payment by hirer - - -
Expenses incurred but not invoiced - - - - -
Unpresented cheques - - - 76.99
Loan - District - - -
Other liabilities - - - - -
Sub total 35,284.37 - 3,281.54 38,565.91 20,153.61

The above receipts and payments account and statement of assets and liabilities were approved by the Trustees on 14th April 2021 (the date of the Executive Committee meeting that approved the accounts) and signed on their behalf by

Signature Print Name
John Jeffs Chair
Julie Stafford Treasurer

6 LT700003

7 VIA I rèport on the accounts of the GrouplDistrict for the year ended 31st March 2021. As the Group's trustees you are responsible for the preparation of the accounts: you consider that neither the audit nor independent examination requirements of the Charities Art 2011 apply. It is my responsibility wf(hout carrying out an udit or independent exatnin3tion to scrutinise the accounts and to reptsrt to yotj. In accordance with the directions given in the Group'slDistrict's constitution. I have scrutinised the records and the accounts set otrt on pages I to 3 In my opinion the accounts are in accordance WTth the records produced to me and comply with the constitution. Name: Address David Stafford 5 Westem Court Whitley Bay Tyne and Wear NE26 IJR Date- April 9" 2021 7 LT700003