THE STANDARD STEAM LOCOMOTIVE COMPANY LIMITED
(A Company limited by guarantee) APPROVED REPORT & FINANCIAL STATEMENTS
30 April 2022
Charity Number 1062320 Company Number 03192444
THE STANDARD STEAM LOCOMOTIVE COMPANY LIMITED
FINANCIAL STATEMENTS
YEAR ENDED 30 APRIL 2022
| CONTENTS | PAGES |
|---|---|
| Trustees/Directors and Professional Advisers | 1 |
| Trustees/Directors’ Annual Report | 2 to 6 |
| Independent Examiner’s Report | 7 |
| Statement of Financial Activities (including Income and | |
| Expenditure account) | 8 to 9 |
| Notes to the Financial Statements | 10 |
THE STANDARD STEAM LOCOMOTIVE COMPANY LIMITED
TRUSTEES/DIRECTORS AND PROFESSIONAL ADVISERS
YEAR ENDED 30 APRIL 2022
Trustees & Directors
Mr. A. England (Chairman) Mr. I. Henderson Mr. J. Hind Mr. R. Ife Mr A. Jones Mr. C. Jones Mr. G. Turner Mr. P. Waldron
Company Secretary
Mr. S Loeber
Correspondence address 97 Pingle Road Sheffield S7 2LN Independent Examiner Mrs Eileen Osborn-King
Bankers
Lloyds Bank plc Business Centre PO Box 1000 BX1 1LT
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THE STANDARD STEAM LOCOMOTIVE COMPANY LIMITED
ANNUAL REPORT
YEAR ENDED 30 APRIL 2022
The Trustees/Directors present their report and the financial statements of the Company for the year ended 30 April 2022, under the terms of the Memorandum and Articles of Association.
AIMS & OBJECTIVES
The Standard Steam Locomotive Company Limited (“the Charity”) is an independent charitable company limited by guarantee, incorporated on 30 April 1996, and also registered as a charity in 1996. It was established under a Memorandum of Association which established the objects and powers of the charitable company and is governed under its Articles of Association. In the event of the Charity being wound up the Directors are required to contribute an amount not exceeding £1.
The Charity’s purposes are as set out in the objects contained in the Memorandum and Articles of Association, namely, to construct and operate a steam locomotive and to exhibit for public benefit, for educational and instructional purposes, a locomotive of historic or scientific importance. This involves specifically building a BR Standard “Clan” Class locomotive 72010 “Hengist” of lot 242 cancelled by BR in 1956, to prove the success of the Standard 6MT design and include the modifications that were to be made to Lot 242.
The aims of the Charity are to construct a modern, go anywhere, low maintenance, low running cost steam locomotive, to complement and help complete the story of the British Railways’ Standard Class Locomotives. These aims fully reflect the purposes that the Charity was set up to further.
PUBLIC BENEFIT
The Charity’s aims and achievements are set out within this report. The activities set out in this report have been undertaken to further the Charity’s charitable purposes for the public benefit. The trustees/directors have complied with this duty under Section 4 of the Charities Act 2011 to have due regard to public benefit guidance published by the Charities Commission and have paid due regard to this guidance in deciding what activities the Charity should undertake.
ORGANISATION, MANAGEMENT and GOVERNANCE
The Charity is run by a Council of Management (“CofM”) of up to 9 individuals who meet and correspond regularly and are responsible for its strategic direction and policy. Being a Charitable Company, the CofM participants are both Trustees & Directors. They come from a variety of professional backgrounds relevant to the work of the Charity. All individuals serving on the CofM give their time voluntarily and received no benefits from the Charity.
Those persons on the CofM, who served during the year under review, are set out on page 3.
New Members of the CofM are appointed on the basis of having appropriate experience and skills and are formally advised by existing Members as to their responsibilities and duties.
Under the requirements of the Memorandum and Articles of Association one third of the Members of the CofM retire each year but are eligible to re-elected at the next Annual General Meeting (AGM). All Members appointed during the year are required to be elected at the next AGM.
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THE STANDARD STEAM LOCOMOTIVE COMPANY LIMITED
ANNUAL REPORT
YEAR ENDED 30 APRIL 2022
The CofM conducts a periodic review of the major risks to which the Charity is exposed, and, where required, systems or procedures are established to mitigate the risks the Charity may face. Internal control risks are minimised by the implementation of procedures for authorisation of all transactions and projects. Procedures are in place to ensure compliance with the health and safety of volunteers and volunteers attending forums and supporting sales events. These are also periodically reviewed to ensure that they continue to meet the needs of the Charity and its members and volunteers.
THE COUNCIL OF MANAGEMENT
The individuals who served the Charity on the CofM during the period were as follows:
Mr. A. Jones (Chairman – until 9[th] October 2021; Director & Trustee) Mr. A. England (Chairman – from 9[th] October 2021; Director & Trustee) Mr. I. Henderson (Director & Trustee) Mr. J. Hind (Director & Trustee) Mr. R. Ife (Director & Trustee) Mr. C. Jones (Director & Trustee) Mr. G. Turner (Director & Trustee) Mr. P. Waldron(Director& Trustee)
TRUSTEES/DIRECTORS' RESPONSIBILITIES
Charity law requires the trustees/directors to prepare financial statements for each financial year which give a true and fair view of the state of affairs of the Charity at the end of the year and of the incoming and outgoing resources for the year then ended.
In preparing those financial statements, they are required to
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select suitable accounting policies and then apply them consistently;
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make judgements and estimates that are reasonable and prudent;
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state whether the applicable accounting standards and statements of recommended practice have been followed, subject to any departures disclosed and explained in the financial statements;
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prepare the financial statements on a going concern basis unless it is inappropriate to presume that the Charity will continue in operational existence.
They are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the Charity and to enable them to ensure that the financial statements comply with the relevant Companies Acts. They are also responsible for safeguarding the assets of the Charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.
The Charity is entitled to an exemption from the audit requirement contained in Section 477 of the Companies Act 2006 for the year ended 30[th] April 2020. No member of the Charity has deposited a notice pursuant to Section 476, requiring an audit of these accounts.
The Council of Management acknowledge their responsibilities for ensuing that the Charity keeps accounting records which comply with Section 386 of the Act and for preparing accounts which give a true and fair view of the state of the affairs of the Charity as at the end of the financial year in question and of its of its incoming resources and application of resources, including its income and expenditure, for the financial year in accordance with the requirements of sections 394 and 395 and which otherwise comply with the requirements of the Companies Act 2006 in relation to accounts, so far as applicable to the Charity.
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THE STANDARD STEAM LOCOMOTIVE COMPANY LIMITED
ANNUAL REPORT
YEAR ENDED 30 APRIL 2022
REVIEW OF DEVELOPMENTS, ACTIVITIES AND ACHIEVEMENTS
In the last year, the Council of Management (CofM) has continued to ensure that the Charity sustains progress towards the stated aim of the project, namely to construct and operate a steam locomotive for public benefit, thereby providing for both educational and instructional purposes, a locomotive of historic importance.
The frame assembly process continues to make progress at the project’s base within CTL Seal in Sheffield. Further work has been conducted with the majority of the fitted bolts that join the mainframe plates to the frame extension plates now fitted and torqued to the correct final settings. The final bolts required for this part of the assembly are now on order.
The front buffer beam has been offered up to the frame assembly and hot riveted into place. A small amount of hot riveting remains to be completed in this area, but it envisaged that this will be completed at the same time as the riveting of the rear buffer beam takes place.
Although the frame assembly process continues to be the main focus, excellent progress has been made with regard to the cylinder patterns. Regular reports are received form the pattern maker, along with photographs of the work in progress.
A contact has been signed with South Devon Railway Engineering (SDRE) for the assembly of the bogie wheelsets. SDRE have ordered the bogie wheel tyres and axles as part of this contract. These have now been delivered to SDRE are currently stored there awaiting delivery of the remaining components.
All the internal components for the cannon axlebox assembly have now been delivered, over one hundred parts in total, and are currently being examined to ensure that they have been manufactured to the highest possible standard before they are despatched to SDRE along with the wheel centres and the cannon axleboxes so that they may be assembled to industry approved standards. It is the intention that these components will all be assembled and returned to CTL Seal in time for display at the forthcoming Annual General Meeting in November.
Commercial activities have now started to return to a more normal level with Gala events being attended as in previous years. We are currently looking to see if there are other venues that we might attend in the future to further enhance this revenue stream.
The build diary section of our website continues to record a summary of progress for all members and the public to view. This has enabled the project to keep everyone better informed of progress.
The Engineering subcommittee continues to meet regularly to drive the project forward. Visits are made to CTL Seal every week by a team of volunteers as well as members of the engineering team. These visits will continue for the foreseeable future to progress construction. Visits are also regularly made to various suppliers of components to ensure that items produced are to the required standard. The occasional component has been rejected as not fit for purpose and the supplier asked to reproduce the part or the order placed with an alternative supplier if needs be.
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THE STANDARD STEAM LOCOMOTIVE COMPANY LIMITED
ANNUAL REPORT
YEAR ENDED 30 APRIL 2022
The completed locomotive (cab and smokebox) remains available for members and guests to inspect at open days and AGMs.
The storage container which was made available to the project has been fitted with LED lighting powered by a solar panel. It has been fitted out with shelving and a work bench. Newly manufactured ferrous parts are catalogued and placed onto one of the numbered shelves until required in the assembly shop.
We have been gifted an LMS van body which has been delivered to our storage area at CTL Seal. Some necessary work is being conducted to this to enable sales stock to be stored within it, freeing extra storage space in the main storage container for locomotive parts. The majority of the sales stock used at the various events attended by the sales team will be moved to the van body as soon as possible.
Membership numbers continue to increase steadily. Membership leaflets continue to be placed around the country and in particular at the many preserved railways, with some success.
The project continues to get very favourable coverage in leading steam orientated railway magazines. A weekly update on various social media pages is conducted. These are very well received with many positive comments about progress made on a regular basis.
Members continue to receive two issues a year of the in-house magazine, which, as part of our rebranding exercise, has been renamed Hengist Herald. This details progress made in the preceding period and provides information on how they can assist in the promotion of the Charity’s aims. During the year electronic newsletters have been introduced for those members with email addresses who are keen to receive more regular reports.
The finances of the Charity remain very healthy as will be seen elsewhere in this report. Costs remain under tight control, as the CofM continually concentrate on ensuring that the majority of funds raised go towards the project’s main aim of building a new steam locomotive.
PRINCIPAL FUNDING SOURCES
Aside from income generated by sales of donated items and company merchandise, the principal funding source for the Charity remains monthly and ad-hoc donations, and legacies. In addition, the Charity continues to seek sponsorship and funding of parts and items which contribute towards the long-term building plans.
INVESTMENT POLICY
Aside from retaining a prudent amount to cover day-to-day expenses and costs, the Charity’s funds are spent in the short term, leaving little scope for any long-term investment. The Council of Management remains of the opinion that this is the most appropriate course of action to meet the aims of the Charity.
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THE STANDARD STEAM LOCOMOTIVE COMPANY LIMITED
ANNUAL REPORT
YEAR ENDED 30 APRIL 2022
RESERVES POLICY
The Council of Management is satisfied with the overall financial position of the Charity. They have examined the Charity’s requirements for reserves in light of the main risks to the organisation and have established a policy whereby contracts for new components are entered into only as and when sufficient funds are available. In addition, funds are only committed if the expenditure is in line with the build plan. The strategy is to continue to build reserves through planned operating surpluses when possible.
Correspondence address: 97 Pingle Road Sheffield S7 2LN
Signed by order of the Trustees/Directors:
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A England
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Mr Andrew England (Trustee/Director & Chairman)
Approved by the Trustees/Directors on: 5[th] September 2022
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THE STANDARD STEAM LOCOMOTIVE COMPANY LIMITED
INDEPENDENT EXAMINER’S REPORT
YEAR ENDED 30 APRIL 2022
I report to the Charity trustees on my examination of the accounts for the year ended 30 April 2022 set out on pages 8 to 9.
RESPONSIBILITIES AND BASIS OF THE REPORT
As the Charity’s trustees of the Company (and also its directors for the purposes of company law) you are responsible for the preparation of the accounts in accordance with the requirements of the Companies Act 2006 (“the 2006 Act). Having satisfied myself that the accounts do not require an audit under the 2006 Act and are eligible for independent examination, I report in respect of my examination of your Charity’s accounts as carried out under Section 145 of the Charities Act 2011 (“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 2011 Act.
INDEPENDENT EXAMINER’S STATEMENT
I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect:
(1) accounting records were not kept in respect of the Society as required by section 130 of the Act; or
(2) the accounts do not accord with those records; or
(3) the accounts do not comply with the applicable requirements concerning the form and content of the 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: Date: 27-07-2022 Eileen Osborn-King Name of Examiner: Mrs Eileen Osborn-King
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THE STANDARD STEAM LOCOMOTIVE COMPANY LIMITED
STATEMENT OF FINANCIAL ACTIVITIES (INCLUDING INCOME AND EXPENDITURE ACCOUNT & BALANCE SHEET)
YEAR ENDED 30 APRIL 2022
| Total (Unrestricted) Funds |
Total (Unrestricted) Funds |
||
|---|---|---|---|
| 2021/2022 | 2020/2021 | ||
| £ | Notes | £ | |
| INCOME | |||
| MembershipFees | 6026 | 6605 | |
| Donations | 50166 | 59172 | |
| Gift Aid | 14000 | 14950 | |
| Bank Interest | 16 | 38 | |
| Sales Income | 11013 | 1341 | |
| Other Income | 1174 | 89 | |
| 82395 | 82195 | ||
| EXPENDITURE | |||
| Parts - Orders | 50663 | 92919 | |
| Parts - Transport | 240 | 0 | |
| Legal,Professional & FundraisingCosts | 3865 | 1284 | |
| Charityexpenses(meetings,travel etc) | 539 | 2 | 83 |
| Insurance | 2866 | 2713 | |
| Sales - Stockpurchases | 1278 | 317 | |
| VAT(non-recoverable) | 126 | 1 | 33 |
| Interest/Bank Charges | 97 | 6 | |
| Advertising | 229 | 281 | |
| Members - Postage & Packing | 737 | 475 | |
| Members - Printing,Incentives & Awards | 1984 | 954 | |
| 62624 | 99065 | ||
| Surplus(Deficit) - Total | 19771 | -16870 | |
| Balances brought forward | 284234 | 301104 | |
| Plus Adjustment: | |||
| Value ofparts increased | 0.00 | 3 | 0 |
| Balances carried forward | 304005 | 284234 |
The notes on page 10 form part of these financial statements
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THE STANDARD STEAM LOCOMOTIVE COMPANY LIMITED
STATEMENT OF FINANCIAL ACTIVITIES (INCLUDING INCOME AND EXPENDITURE ACCOUNT & BALANCE SHEET)
YEAR ENDED 30 APRIL 2022
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2022 2021
£ Notes £
FIXED ASSETS
Locomotive Parts & Equipment 125000 3 125000
125000 125000
CURRENT ASSETS
Cash at bank 173300 156361
Debtors 5705 4 2873
179005 159234
304005 284234
CURRENT LIABILITIES
Creditors (falling due within one year) 0 0
NET CURRENT ASSETS 304005 284234
TOTAL FUNDS 304005 284234
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The Charity has no recognised gains or losses other than the results for the year as set out above.
All of the activities of the Charity are classed as continuing.
These Financial Statements were approved by the Trustees/Directors on the 5th September 2022
and are signed on their behalf by:
Mr Andrew England Trustee/Director & Chairman A England
The notes on page 10 form part of these financial statements
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THE STANDARD STEAM LOCOMOTIVE COMPANY LIMITED
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 30 APRIL 2022
1.ACCOUNTING POLICIES
The principal accounting policies are summarised below. The accounting policies have been applied consistently throughout the year and in the preceding year.
(a) Basis of accounting
The financial statements have been prepared in accordance with the guidance issued by the Charity Commission (CC) for Charitable Companies with charitable income of between £25000 and £250000 per annum. Therefore, whilst they follow as far as possible the Statement of Recommended Practice "Accounting and Reporting by Charities" , the trustees ensure that the accounts remain both clear and concise for members through the use of natural categories for income and expenditure.
- (b) Fund of accounting
All funds are classed as unrestricted and available for use at the discretion of the trustees in furtherance of the general objectives of the charity.
- (c) Incoming resources
Voluntary income is received by way of subscriptions, donations and gifts and is included in full in the Statement of Financial Activities. Donated services and facilities are included at the value to the Charity where this can be quantified. Items donated for resale by the Charity are included as incoming resources within activities for generating funds when they are sold. Any investment income is included when receivable.
(d) Expenditure
Charitable expenditure comprises those costs incurred by the Charity in the delivery of its activities and services for its beneficiaries. It includes both costs that can be allocated directly to such activities and those costs of an indirect nature necessary to support them.
- (e) VAT
VAT payable is included as an expense only to the extent that it is not recoverable from Her Majesty’s Revenue and Customs. VAT receivable is excluded from income.
- (f) Taxation
As a Charity, The Standard Steam Locomotive Co. Ltd. is exempt from tax on income and gains falling within section 505 of the Taxes Act 1988 or section 256 of the Taxation of Chargeable Gains Act 1992 to the extent that these are applied to its charitable objects.
2. TRUSTEE REMUNERATION
No members of the Council of Management received any remuneration during the year. Expenses related to those associated with the running of the Charity (AGM etc).
3. PARTS RE-VALUATION
The trustees/directors have considered the current value of the various parts held, together with progress made over the past year, and judge that the current figure remains appropriate, and that no further re-valuation is required at this time.
4. DEBTORS
£5705 is represented by the Q4 VAT re-claim (£2051), and the Q4 Gift Aid claim (£3654) – both still to be received from HMRC.
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