## **Annual Trustees’ Report** 

## **Leeds Templars District Scout Council** 

Trustees’ Annual Report and Accounts for the Year Ended 31st March 2021 

## **Trustees** 

## _**Ex-Officio:**_ 

District Commissioner 

## Mr C McIntyre 

Chair Mr K Whitfield Secretary Mrs M Lindley Treasurer Mr J Ashton District Explorer Scout Commissioner Ms C Wilson District Youth Commissioner Mr K Mallory 

## _**Elected:**_ 

## _**Nominated:**_ 

Mrs J Anker Mr I Farquharson-Welsh Mr R Lindon Ms J Brereton Ms H Harris 

## _**Bankers**_ 

Barclays Bank Plc Lloyds Bank Plc Yorkshire Bank Plc 

_**Custodian Trustees**_ Corporation 

The Scout Association Trust 

_**District registration number with the Scout Association**_ 

16206 

## _**Charity registration number**_ 

1031961 

Contact name and address 

Mrs M Lindley 378 Selby Road, Whitkirk, Leeds LS15 0PG 



**Leeds Templars District AGM Wednesday 8[th] September 2021** 


## **Annual Trustees’ Report** 

## **LEEDS TEMPLARS DISTRICT SCOUT COUNCIL TRUSTEES ANNUAL REPORT FOR THE YEAR ENDED 31ST MARCH 2021** 

## **Structure, Governance & Management** 

The District’s governing documents are those of the Scout Association. They consist of a Royal Charter, which in turn gives authority to the Bye Laws of the Association and the Policy, Organisation & Rules of the Association. The District is a trust established under its rules which are common to all Scout Districts. The District is registered with the Charity Commissioners as a registered charity. 

The Trustees are appointed in accordance with the Policy, Organisation and Rules of the Scout Association. The Trustees of Leeds Templars District Scout Council are the members of the District Executive Committee which comprises of ex-officio members, members elected by the District Scout Council at the annual general meeting, members nominated by the District Commissioner on an annual basis and co-opted members. 

The District Chairman, the District Treasurer, the District Secretary, the District Commissioner, District Youth Commissioner, and the District Explorer Scout Commissioner are ex-officio members. The constitution allows for up to six members of the District Scout Council to be elected and the District Commissioner may nominate up to six members. The number of nominated members must not exceed the number of elected members. A further six members may be co-opted by the District Executive Committee if required. The number of co-opted members must not exceed the number of elected members. 

The trustees are responsible for complying with legislation applicable to Charities. This includes the registration, keeping of proper accounts and making returns to the Charity Commission. The trustees are also responsible for safeguarding the assets of the charity and thus for taking reasonable steps for the prevention and detection of fraud and other irregularities. 

## **Objectives and Activities** 

The objectives of the District are as a unit of the Scout Association. The aim of the Scout Association is to promote the development of young people in achieving their full physical, intellectual, social and spiritual potentials, as individuals, as responsible citizens and as members of their local, national and international communities. The method of achieving the Aim of the Association is by providing an enjoyable and attractive scheme of progressive training based on the Scout Promise and Law and guided by adult leadership. 

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**Leeds Templars District AGM Wednesday 8[th] September 2021** 


The District meets the Charity Commission’s public benefit criteria under both the advancement of education and the advancement of citizenship or community development headings. 

## **Financial Review** 

As can be seen from the accounts presented on the following pages, the District continues to operate in a financially stable and sound manner. We remain in a position to support the development of Scouting across the local area. The accounts have been prepared on a receipts and payments basis and includes the activities of the District Explorer Scout Units. At the end of the financial year income reserves amount to £54,053 (2020 £46,909), of which £17,673 (2020 £9,545) related to reserves in respect of the District Explorer Scouts. 

The district’s policy on reserves is to hold an amount in reserve that would cover expenditure for approximately twelve months. At present, the District reserve funds are higher than this figure. This is in respect to two key receipts: the first, was a £10,000 grant from Leeds County Council as part of the Covid Response Funds from central Government, of which the District Executive has reserved £4,000 into a “Group Support Fund” during this time, and £6,000 to be invested into district development, of which circa £3,500 has been spent to date. The second receipt to the district includes donations to the Explorer Scout Units to the sum of £8,726, which will be utilised over the next year to support the Explorer Scout Provision. 

The investment policy of the District is to hold the majority of its liquid assts on a short-term basis using mainstream banks and building societies and the Scout Association Short Term Investment Service*. A small amount £7,175 (2020 £6,522) is invested through a charity investment fund in bonds and gifts, this investment is held for the medium to long term and as such the risk to the District of the fluctuation in the market value of the investment is minimised. 

_*The SASTIS system is currently under development and therefore obtaining a value for these funds is currently not possible. The money is however secure and will be updated as an addendum to the accounts once the system is completed._ 

## **Chairman’s Commentary** 

We have continued to work in the best interests of the charity, supporting the district as a whole as we progress through the secondary effects of the global pandemic. We have been fortunate to receive additional government funding as part of the Covid-19 Support Grants. We continue to provide financial stability for our charity and have also been able to invest in future growth and development. We are conscious of our need to support groups through these 

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**Leeds Templars District AGM Wednesday 8[th] September 2021** 


challenging times and have rigorous and fair processes in place to ensure help is available as required. We are excited for the year ahead as we return to “normal” Scouting and see more young people get the benefit of Scouting in the Leeds Templars district. 

This report and the accompanying accounts were approved by the Trustees on 1[st] September 2021 and signed on their behalf by: 

J Ashton District Treasurer 

M Lindley District Secretary 

4 



## **Leeds Templars District Scouts Receipts and Payments Account** 


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Year start date Year end date<br>For the year  4/1/2020 to 3/31/2021 To 3/31/2021<br>from<br>Receipts and payments<br>20/21 20/21 20/21 19/20<br> Unrestricted<br> Restricted Funds   Total Funds  Total Funds<br>funds<br> £   inc. Explorers  £<br>Receipts<br>Donations, legacies and similar income                                     -<br>Membership subscriptions                           24,307                                105                           24,412                              28,317<br>Less:Membership subscriptions paid on (National/County/Area/District)  -                         42,701 -                           1,254 -                         43,955  -                           22,368<br>Net membership subscriptions retained  -                         18,394 -                           1,149 -                         19,543                                5,949<br>Donations                             4,408                             8,726                           13,134                                      10<br>Legacies                                     -                                      -                                       -<br>Gift Aid                                     -                                      -                                       -<br>Activities                                181                             1,103                             1,284                                8,208<br>Badges and uniforms                                     -<br>Other similar income                                   84                                    84                                       -<br>Sub total  -                         13,720                             8,680 -                           5,040                              14,167<br>Grants<br>Maintenenace grant                                     -                                       -<br>Other grants                                     -                                      -                                2,000<br>Sub total                                      -                                     -                                     -                                2,000<br>Fundraising (gross)<br>Sale of Badges                                     -                                      -                                3,240<br>Fundraising                                     -                                      -                                3,245<br>Detail 3                                     -                                      -                                       -<br>Other fundraising activities                                      -                                      -                                       -<br>Sub total                                      -                                     -                                6,485<br>Investment income<br>Bank interest                                   29                                    29                                       -<br>Building Society interest                                     -                                      -                                      99<br>The Scout Association Short Term Investment Service                                     -                                      32<br>Property Rent income                                     -                                      -                                       -<br>Other investment income                                     -                                      -                                    157<br>Sub total                                    29                                     -                                   29                                    288<br>Total Gross Income -                         13,691                             8,680 -                           5,011                              22,940<br>Asset and investment sales, etc.                                     -                                        -<br>Total receipts -                         13,691                             8,680 -                           5,011                              22,940<br>**----- End of picture text -----**<br>


## **Leeds Templars District Scouts Receipts and Payments Account** 


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Year start date Year end date<br>For the year  4/1/2020 to 3/31/2021 3/31/2020<br>from<br>Receipts and payments<br>20/21 20/21 20/21 19/20<br> Unrestricted<br> Restricted Funds   Total Funds  Unrestricted funds<br>funds<br> £   inc. Explorers  £<br>Payments<br>Charitable Payments<br>Youth programme and activities                             2,965                                541                             3,506                                8,167<br>Adult support and training                                     -                                       -<br>Rent                                     -                                    224<br>Water and Sewerage                                   63                                    63                                    114<br>Electricity and Gas                                     -                                1,182<br>Insurance                                   87                                    87                                    678<br>Repairs and Renewals                             1,435                              1,435                                    429<br>Materials and equipment                                     3  [                                    3 ]                                   971<br>Printing and photocopying and Postage                                373                                 373<br>Contribution to camp costs                                     -                                       -<br>**----- End of picture text -----**<br>





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Badges and Uniform                                     -                                2,791<br>AGM and trustee expenses                                   10  [                                  10 ]                                   263<br>Donations                             4,396                              4,396<br>Admin                                     -                                      -                                1,296<br>Other costs detail 3                                     -                                      -                                    100<br>Sub total<br>                            9,319                                554                             9,873                              16,215<br>Fundraising expenses<br>Detail 1                                     -                                       -<br>Detail 2                                     -                                       -<br>Detail 3<br>                                    -                                       -<br>Other fundraising costs                                     -                                       -<br>Sub total                                     -                                     -                                     -                                       -<br>Total Gross Expenditure                             9,319                                554                             9,873                              16,215<br>Asset and investment purchases, etc.                        3,584                                 -<br>Total payments                      12,903                           554                      13,457                         16,215<br>Net of receipts/(payments) -                    26,594                        8,127 -                    18,468                           6,725<br>Cash funds last year end                       35,131                        9,545                      44,676                         40,184<br>Cash funds this year end                        8,537                      17,672                      26,208                         46,909<br>**----- End of picture text -----**<br>


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


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20/21 20/21 20/21 19/20<br>Unrestricted funds  Restricted Funds   Total Funds  Unrestricted funds<br>£  inc. Explorers  £<br>Cash funds<br> Bank current account                              8,537                              8,537                              12,772<br> Bank deposit account                            17,673                           17,673                                9,602<br> Building society account                            22,803                            22,803                              12,802<br> The Scout Association Short Term Investment Service                              5,000                              5,000                                5,000<br> Cash/Floats                                    41                                    41                                    211<br>Total cash funds                      36,380                      17,673                      54,053                         40,387<br>Other monetary assets<br> Tax claim                                    -                                         -<br> Debts due from the County/Area/District/Group                                    -                                         -<br> Insurance claim                                    -                                         -<br> Sub total                               -                                -                                -                                   -<br>Investment assets                                   -<br> STIS                                    -                                         -<br> Quoted investments                              7,175                              7,175                                6,522<br> Other investments - detail                                    -                                      -                                         -<br> Sub total                         7,175                         7,175                           6,522<br>Non monetary assets for charity's own use<br> Badge stock                              1,622                              1,622                                1,560<br> Shop stock                                    -                                      -                                         -<br> Other stock                                    -                                      -                                         -<br> Land and buildings                          267,914                          267,914                            267,914<br> Motor vehicles                                    -                                      -                                         -<br> Scouting equipment, furniture etc                            23,373                            23,373                              23,373<br> Other                                    -                                      -                                         -<br> Sub total                     292,909                     292,909                       292,847<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> Total Assets                     336,464                      17,673                    354,137                       339,756<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 Xth X 200X (the date of the Executive Committee meeting that approved the accounts) and signed on their behalf by** 


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Signature Print Name<br>Chair<br>Treasurer<br>**----- End of picture text -----**<br>





## **Independent examiner's report on the accounts** 

## **Section A                        Independent Examiner’s Report** 

**Report to the** Charity Name **trustees/ members** Leeds Templars Scout District **of** 31/03/2021 **Charity** 1031961 **On accounts for the no (if year ended any) Set out on pages** (remember  to include the page numbers of additional sheets) 

I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended **31/03/2021** . 

**Responsibilities and** As the charity trustees of the Trust, you are responsible for the **basis of report** preparation of the 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 the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act. 

**Independent** I have completed my examination.  I confirm that no material **examiner's** matters have come to my attention (other than that disclosed **statement** below *) in connection with the examination which gives me cause to believe that in, any material respect: 

 accounting records were not kept in accordance with section 130 of the Act or  the accounts do not accord with the accounting records 

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in order to enable a proper understanding of the accounts to be reached. 

* _Please delete the words in the brackets if they do not apply._ 

**Date:** 20/01/22 

**Signed: Name:** Jayne Harrison 

1 

**IER** 

**October 2018** 



**Relevant** AAT Level 4 **professional qualification(s) or body (if any):** 

**Address:** 275 Gibson Lane Kippax Leeds   LS25 7JN 

## **Section B                           Disclosure** 

Only complete if the examiner needs to highlight matters of concern (see CC32, Independent examination of charity accounts: directions and guidance for examiners). 

2 

**IER** 

**October 2018** 



**Give here brief** Changes to the time of reporting the annual subscriptions **details of any items** (membership fee) to the Scout Headquarters shows a difference in **that the examiner** the use of accounts included. Below is an explanation of the **wishes to disclose** . difference in the closing bank account value to 2019-20 and the opening balance for the current account 2020-21. These have been detailed below to accompany the trustee’s report and the accounts submitted. 

In previous years under the previous Treasurer, membership fees paid to Scouting Headquarters was collected towards the end of the financial year and paid after the year close. In the financial year 2019-20, the payment of this fee (£22,368.50) was made prior to the year end and accounted for, however these funds left the account at the start of the 2020-21 financial year. 

Under the new Treasurer, the opening balance re-includes these funds and are accounted as an expense. Within the same financial year 2020-21, the in-year membership fees were collected and expensed again, matching an expenditure of (£22,368.50). 

Alongside these changes of accounting, the closing balance for 2019-20 included the restricted funds reserved for badges to the value of £1,698. Resulting in a closing current balance of £12,772 as reported at the end of 2019-20. 

With the pending payment of £22,368.50 and the closing balance of £12,772 the opening balance of 2019-20 is £35,131, as reported in the attached accounts. 

3 

**IER** 

**October 2018** 

