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2022-12-31-accounts

CROMWELL DISTRICT SCOUT COUNCIL

Trustee's Annual Report & Accounts for the year ending 31st December 2022

TRUSTEES: Ex- Officio – Appointment

District Chair District Commissioner District Treasurer District Explorer Scout Commissioner District Youth Commissioner

Name

Mr M Wenham Mrs S Best Mr D Kerr Mr P Graham Miss C Hitchins

TRUSTEES: Elected

Mrs S McConnachie-Kessel Mrs M Perryman Mr D Stevens Mr O Hucklesby Mr T Best DDC

TRUSTEES:Nominated – Appointment

Name

Mr J Traynor Ms Maddi Ferries Mrs L Smith

BANKERS: Barclays Bank PLC, Huntingdon Business Centre,The Pavement, St Ives Branch, Huntingdon, Cambs, PE27 4AQ

CUSTODIAN TRUSTEES : The Scout Association Trust Corporation in respect of District Campsite and Headquarters.

District Registration Number with the Scout Association : 10713

Charity Registration Number: 1030974

Contact: Mr Michael Wenham, 34, Ashton Close, Needingworth, Huntingdon, Cambs, PE27 4UA

Page 1

Cromwell District Scout Council -Trustees Annual Report for the year ended 31[st] December 2022

The annual census taken at the end of January saw our young people membership increase by 6% but still not back to pre-covid levels. We have 722 young people supported by 280 adults. Adult volunteer recruitment continues to be a an problem we still face. The exciting newes is that during late 2022 one of the groups (RAF Wyton) were the first group within our District opened up a new Squirrel Drey and there are further plans for another in the new year. There are still Groups that are struggling to get their Sections up and runing after covid.

Our 3 Explorer Units continue to flourish and we had 22 Young Leaders working with 10 of our District Group's giving them the support during section meetings.

We currently have 21 Network members that take part in planned activities subject to fitting in with their careers and further education commitments.

Our District Lead Volunteer (DC) and her deputy have now completed their 2nd term and my thanks go to them both for all the work they have been doing and providing the necessary support to the Groups.

The District Badge Secretary has sold over 8,000 badges during the year and our young people have gained 43 Bronze, 36 Silver & 20 Gold Awards. Not leaving out the adults 3 were awarded with the Chief Scout Commendations, 5 their Award for Merit, 2 the Silver Acorn & 1 the Silver Wolf.

The AAC panel held 13 meetings, saw 33 new leaders, considered 21 change and additional roles and considered 21 reviews.

St George's Day Event was very well attended and enjoyed by all with lots of activities taking place at Copley after the renewal of promise ceremony. The refreshements being provided by the young people due to attend the WSJ together with their supporters.

CMC have provided 3 trips this year, to Coppermines, Glenbrook & Cornel giving the chance for our young people and adult volunteers to get out and about on the hills.

The Beavers have enjoyed their annual sausage sizzles & nights away with Beavers in Tents.

The Cubs have had another very active year again with sausage sizzles, night hike, and the water fun event

Our thanks goes to 2nd St Ives for providing the water activites via the WOW weekends

The District has now purchased a minibus and is available for use by Scout & Guide groups

Copley has had a very succesful year with over 1,500 camp / sleep over nights achieved. It is so good to see the site being used especially after laying dormant during the covid restrictions.

It just remains for me to thank all of you that make Scouting happen in Cromwell, The commissioners, the ASU's, the Copley Site Managers and Maintenance Crew, the secretaries, the leaders, the exective members, the supporters. Without you we would not be the successful District we are.

The District is a Trust established under its rules that are common to all Districts, and the Trustees are appointed in accordance with the Policy, Organisation & Rules of the Scout Association and The accounts have been drawn up on the receipts and payments basis that is consistent with the previous year and approved by the Trustees on the 20th February 2023 and signed on their behalf by the District Chair

Cromwell District Scout Council -Trustees Annual Report for the year ended 31[st] December 2022

Financial Report

The end of year accounts for 2022 confirmed that we were back to normal times after Covid. It actually turned out to be a real growth year with the overall District Accounts (including Explorer and support units, which are self -controlled) showing an increase in net surplus in banks and similar funds of over 2021 by 20% plus.

The funds directly managed by the District showed a similar picture, with receipts up by 22% against 2021 (38% up on the buddget for 2022), largely coming from a full and busy year of Copley site lettings at £13,245.

The extra activity levels also added to payments, which went up 45% on 2021 (28% over the 2022 budget). The resulting net surplus figures ended up at £10,666 (68% more than budgeted expectation) , ironically down on the 2021 surplus which had been boosted by a large government Covid grants and little activity. The overall balances still look healthy over 2022, an 18% increase to £68,656.

Other significant movements in our accounts involved:

A somewhat unwelcome receipt in April when the District received the balances from the bank account of the 1st Ramsey Scout Group, which had unfortunately ceased operation. The amount (£11,507) was placed in a segregated fund to be retained until Scouting in Ramsey can be re-established. A small proportion of the fund has been spent on necessary electrical works to bring it up to to a standard for possible future use for Scouting and has been let in the short term producing an income to boost the fund.

An allocation of £8,000 to planned maintenance for forthcoming projects- sourced from the property reserve. As it happened two major projects - a new mower for the Copley site and renewing the corridor flooring in the building - did not happen in 2022 and only just over £2,000 was spent in the last year. The two outstanding projects are now coming to fruition with the mower bought in April 2023 and the flooring works being contracted as I prepare this report.

A large element of our balances was transferred to a savings account in the Redwood Bank in December in order to avoid exceeding the government guaranteed £85,000 in the Barclays current account during membership fee collection. The savings account will also add interest to the £40,000 held in it, which the current account does not produce. We will however have to carefully monitor planned future spending as the attractive interest rate is dependant on a 95 day notice of withdrawals.

Thus the overall picture is one of higher income and expenditure following activity growing back to pre-covid levels. Total balances remain healthly following an increased net surplus.

Reserves:

Our reserve policy have been re-structured to match the changing circumstances now that we no longer need a Covid reserve. The unspent Covid reserve of £17,154, which had been split between District and Group support, has been used to:

A) re-establish the pre- Covid Contingencies Reserve at £12,000, raised from its historic £10,000 level

B) adjust the depleted Property Reserve back to £20,000. This reserve was originally established at £30,000 but had been halved over recent years by a series of projects - car park resurfacing and the two projects projects approved for Planned Maintenance funding in 2022, now happening this year. Reserves are, of course, there to be used when needed and we still have a substantial reserve, but the original sums were built up over many years of small annual surpluses. The drop of £10,000 in the property reserve over 3 years should be a reminder of the need to keep our annual budgeting at a level which will, on average, produce a small annual surplus that will gradually rebuild reserves to cover longer term future demands David Kerr District Treasurer

Page 2A

CROMWELL DISTRICT SCOUT COUNCIL RECEIPTS AND PAYMENTS ANNUAL ACCOUNT SUMMARY FOR THE YEAR END 31ST DECEMBER 2022

Total Receipts for the Year
Total Payments for the Year
Net Surplus / Deficit for the year
Cash, Bank and similar funds brought forward
Cash, Bank and similar funds carried forward
This Year
Total
£
63,714.51
48,024.36
15,690.15
86,659.09
102,349.24
Previous
Year
Total
£
42,757.49
29,871.21
12,886.28
73,772.81
102,349.24 86,659.09

The above accounts and accompanying statement(s) of assets and liabilities were approved

by Trustees on 20th February 2023 and signed on their behalf by M wenham Mike Wenham

Independent Examiners Statement

I have independently examined the records and the accounts as set out on pages 3 to 8 and in my opinion the accounts are in accordance with the records produced to me.

Name Graeme Huttley

Signed G Huttley Date:- 2nd May 2023

NOTE Figures for all 3 Explorer Units, Network, both Active Support Units, Badge Secretary are separate activities but are included in the general fund for audit purposes.

Page 3

CROMWELL DISTRICT SCOUT COUNCIL RECEIPTS FOR THE YEAR END 31ST DECEMBER 2022

MEMBERSHIP SUBSCRIPTIONS
Less paid to HQ\County\Rebates
INVESTMENT INCOME RECEIVED
Building Society Interest
DONATIONS/GRANTS
Donations
Grants HDC - Covid 19
ACTIVITIES
Copley Scouting Centre
Beavers
Cubs
Young Leaders
All Sections District Camp
International Trips
Eurojam
Midas, D1 Train, Insurance Excess
Cygnet
Safety
Cromwell Explorer Scout Unit & Network
Nulli Secundi Explorer Sea Scout Unit
Cromwell Mountain Club ASU
Cromwell District Active Support Unit
Ramsey Scout group
FUND RAISING
District
St Georges Day
OTHER INCOME
Gift Aid Rebate
Rates Refund HDC - Covid
SUNDRY RECEIPTS
Phone
Badges
TOTAL RECEIPTS FOR THE YEAR
This Year
Total
£
35,378.00
29,241.00
6,137.00
0.00
0.00
0.00
0.00
13,245.10
420.00
631.50
0.00
0.00
612.07
0.00
60.00
2,805.46
0.00
12,987.31
2,444.68
6,402.62
0.00
11,507.23
51,115.97
0.00
0.00
0.00
0.00
0.00
0.00
0.00
6,461.54
6,461.54
63,714.51
Previous
Year Total
£
35,299.50
29,358.00
5,941.50
2.99
0.00
18,708.00
18,708.00
4,295.03
0.00
554.00
0.00
0.00
215.00
0.00
0.00
1,185.00
672.00
7,758.83
593.22
0.00
204.50
0.00
15,477.58
0.00
0.00
0.00
0.00
0.00
0.00
0.00
2,627.42
2,627.42
63,714.51 42,757.49

Page 4

CROMWELL DISTRICT SCOUT COUNCIL PAYMENTS FOR THE YEAR END 31ST DECEMBER 2022

PREMISES
New Equipment / Repairs
Cleaning
Rates
Water & Septic Tank
Electricity - Light and Heat
Insurance
BT - Phone & Internet
Fire Extinguishers
DONATIONS/GRANTS
Donations
ACTIVITIES
Copley Scouting Centre
Planned Maintenance
Beavers
Cubs
Young Leaders
All Sections District Camp - Refunds
International Trips
Safety
Midas, D1 Training, Insur excess
Cygnet
Network
Cromwell Explorer Scout Unit & Network
Nulli Secundi Explorer Sea Scout Unit
Cromwell Mountain Club ASU
Cromwell District Active Suport Unit
Ramsey Scout Group
FUND RAISING EXPENSES
District
ADMIN/ESTAB EXPENSES
TRUSTEE / DISTRICT EXPENSES
OTHER EXPENSES
AGM
St Georges Day
Covid 19 Group Payments
PURCHASE OF BADGES
SUNDRY PAYMENTS
TOTAL PAYMENTS FOR THE YEAR
This Year
Total
£
0.00
2,178.64
176.64
466.85
2,121.52
1,737.30
984.86
130.36
7,796.17
0.00
0.00
1,283.91
2,035.07
505.12
891.11
41.15
0.00
612.07
110.27
518.21
2,339.96
0.00
10,322.35
2,112.08
4,356.83
19.00
2,444.84
27,591.97
0.00
0.00
176.90
27.02
515.18
5,537.00
6,079.20
6,380.12
0.00
48,024.36
Previous
Year Total
£
0.00
1,646.38
90.17
104.48
375.64
1,635.55
638.94
104.29
4,595.45
0.00
0.00
2,186.57
7,733.17
0.00
484.76
84.00
0.00
0.00
1,217.12
0.00
1,614.30
390.00
6,004.23
2,141.02
9.00
262.15
0.00
22,126.32
0.00
0.00
421.27
23.00
0.00
476.14
499.14
2,229.03
0.00
48,024.36 29,871.21

Page 5

CROMWELL DISTRICT SCOUT COUNCIL

STATEMENT OF ASSETS AND LIABILITIES AT 31ST DECEMBER 2022

MONETARY ASSETS
Cash Bank and similar funds
Bank Current Account ( s )
Bank Deposit Account ( s )
Building Society Account ( s )
Cash in hand
NON-MONETARY ASSETS Assets for Charities own use
Badge Secretary's stock
Land and Buildings
Scouting Equipment, Furniture etc
This Year
Total
£
60,633.75
41,714.71
0.00
0.78
102,349.24
2,800
2,800
407,196
1,050
Previous
Year
Total
£
84,936.20
1,713.60
0.00
9.29
86,659.09
3,147.00
3,147.00
407,196.00
1,235.00

Page 6

CROMWELL DISTRICT SCOUT COUNCIL - OPENING BALANCES

1
District
2
CESU
3
Nulli Secundi Explorers
4
CMC Active Support
5
CD Active Support
6
Badge Secretary
7
Young Leaders
Allocated of District Funds
Property Refurbishment Reserve
Covid 19 Grant
District Camp
Planned Maintenance
D1 Train, Midas,insur excess
Beavers
Cubs
Scouts
International Trip Support
Cygnet
Ramsey Scout Group
Non Allocated Funds
£
Opening
Balance
01.01.2022
58,072.08
12,702.47
2,667.53
9,956.09
205.36
3,055.56
0.00
86,659.09
15,156.44
22,690.72
2,097.02
7,376.85
584.00
997.10
59.34
1,020.81
1,075.00
80.70
0.00
6,934.10
58,072.08
£
Closing
Balance
31.12.2022
68,656.46 * see below
15,367.43
3,000.13
12,001.88
186.36
3,136.98
0.00
102,349.24
32,000.00
0.00
2,097.02
13,341.78
125.79
911.98
-200.27
1,020.81
1,075.00
546.20
9,062.39
8,675.76
68,656.46
58,072.08 68,656.46

Page 7

CROMWELL DISTRICT SCOUT COUNCIL - CLOSING BALANCES

1
District
2
CESU & Network
3
Nulli Secundi Explorers
4
CMC ASU
5
Active Support Unit
6
Badge Secretary
7
Young Leaders
£
Bank
Current
Account
31-Dec-22
28,656.46
15,367.43
1,790.86
12,001.88
185.58
2,631.54
0.00
60,633.75
£
Bank
Deposit
Account
31-Dec-22
40,000.00
0.00
1,209.27
0.00
0.00
505.44
0.00
41,714.71
£
Building
Society
Account
31-Dec-22
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
£
Cash
in
Hand
31-Dec-22
0.00
0.00
0.00
0.00
0.78
0.00
0.00
0.78
£
Total
31-Dec-22
68,656.46
15,367.43
3,000.13
12,001.88
186.36
3,136.98
0.00
60,633.75 41,714.71 0.00 0.78 102,349.24

Page 8

CROMWELL EXPLORER, RAMWELL NETWORK SCOUT UNIT ACCOUNTS FOR PERIOD 1ST JANUARY TO 31ST DECEMBER 2022

1
Subscriptions
2
Membership
3
Insurance
4
Rent
5
Gift Aid
6
Activities
7
Trips Totals
8
Donations
9
Badges
10
Misc
11
Equipment
12
Ramwell
13
Network
Total
Opening Balance 01.01.2022
Receipts
Payments
Closing Balance 31.12.2022
Receipts
2,800.00
819.37
2,211.00
5,194.00
592.44
462.00
0.00
778.50
130.00
12,987.31
12,702.47
12,987.31
-10,322.35
15,367.43
Payments
1,503.50
385.26
672.00
2,502.26
3,837.71
581.42
183.01
212.91
334.00
110.28
10,322.35
15,367.43

Page 9

NULLI SECUNDI EXPLORER SEA SCOUT UNIT ACCOUNTS FOR THE PERIOD ENDING 31ST DECEMBER 2022

1.0
Subscriptions
2.0
Membership
3.0
Hall Hire
4.0
Donations
5.0
Fundraising
6.0
Activities
7.0
Camps
8.0
Uniform/Clothing/Badges
9.0
Insurance / Registration
10.0
Equipment
11.0
Misc
12.0
Interest (Deposit Account)
Opening Balance 01.01.2022
Receipts
Payments
Closing Balance 31.12.2022
Current account
Deposit Account
Overall Balances
Receipts
799.00
0.00
0.00
315.00
130.00
75.06
915.00
210.00
0.00
0.00
0.00
0.62
2,444.68
2,667.53
2,444.68
-2,112.08
3,000.13
2021
Open Balance
1,458.88
1,208.65
2,667.53
Payments
0.00
0.00
0.00
0.00
18.00
190.66
865.77
62.90
811.39
20.60
142.76
0.00
2,112.08
2022
Close Balance
1,790.86
1,209.27
2,667.53 3,000.13

Page 10

CMC ACCOUNTS FOR PERIOD 1ST JANUARY TO 31ST JANUARY 2022

1.0
Trips
1.1
Coppermines
1.2
Glenbrook
1.3
Cornel
1.4
Trip Refunds
1.5
Glenbrook 2023
1.6
MK Big Rock 2023
1.7
Meggernie 2023
2.0
Miscellaneous
2.1
MIDAS
2.2
FA kits
2.3
Polo Shirt Sales
Opening Balance 01.01.2022
Current Account
Receipts
Payments
Closing Balance 31.12.2022
Current Account Barclays
Receipts
1,247.76
1,130.00
1,430.00
150.00
0.00
532.00
1,525.00
329.86
58.00
6,402.62
9,956.09
9,956.09
6,402.62
-4,356.83
12,001.88
12,001.88
Payments
1,008.91
877.66
1,048.71
60.00
152.50
0.00
420.00
566.11
32.00
190.94
4,356.83
12,001.88

Page 11

CROMWELL DISTRICT ACTIVE SUPPORT UNIT

ACCOUNTS FOR PERIOD 1ST JANUARY TO 31ST DECEMBER 2022

1.0
Receipts
1.1
Membership Fees
1.2
Founders Meal
1.3
Aboretum Visit
1.4
Boat Trip
1.5
Donations
2.0
Payments
2.1
Founders Meal
2.2
BBQ
2.3
Activities Boat Trip
2.4
Uniform, Scarves, Badges
2.5
Donation
2.7
Quiz Expenses
3.0
Summary
3.1
Opening Balance 01.01.2022
3.2
Receipts
3.3
Payments
3.4
Closing Balance 31.12.2022
Bank
Cash in Hand
2022
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
19.00
0.00
0.00
19.00
205.36
0.00
-19.00
186.36
185.58
0.78
186.36
2021
0.00
204.50
0.00
0.00
0.00
204.50
204.50
36.40
0.00
0.00
0.00
0.00
240.90
186.36

Page 12

BADGE SECRETARY ACCOUNTS 1ST JANUARY TO 31ST DECEMBER 2022

2022 Badge Secretary Accounts Summary

Closing Balance 31st Dec 2021
Bank Deposit
Bank Current
Cash in hand
Open Balance 1st Jan 2022
Receipts:
Badge Sales Cash
Badge Sales Cheques
Badge Sales Direct Payments
Premium Account Interest
Total
Payments
Closing Balance 31st Dec 2022
Bank Deposit
Bank Current
Cash in hand
Total
Debtors C/F 31/12/2022
Badges Stock
Less old stock written off
504.95
2,542.10
8.51
3,055.56
3,055.56
183.29
33.47
6,244.29
0.49
9,517.10
-6,380.12
3,136.98
505.44
2,631.54
0.00
3,136.98
0.00
3,527.58
-727.12
2,800.46

Page 13