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2025-03-31-accounts

Trustees' Annual Report

For the period

From (start date) 0 1 0 4 2 4 4 3 1 0 3 2 5
Section A Reference and administration details
Charity name
Other names the charity is known by
Registered charity number (if any)
HQ registration number
Charity’s principal address
1st Castleberg (Settle)Scout Group
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93
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The Drill Hall
Castlebergh Lane
Sette
Postcode B D 2 4 9 E T

Names of the charity trustees who manage the charity

(These will be published in the annual report of the charity and the Charity Register if reporting for a Registered Charity with a charity regulator)

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Trustee Name Office (if any) Dates acted if not for
whole year
CherryFlitcroft Chair
Tom Littlefield Treasurer
Carole Ogilvie
Jane Nelson
Daniel Nelson
Jennifer Wilson
Paul Cochrane
Catherine Tazzyman ActingGLV
John Hall
Simon Shaw

Names and addresses of advisers (optional information but encouraged as best practice) (These will be published in the annual report of the charity)

Type of advisor Name Address
District Advisor Sue Haddrill sue.haddrill@nys.org.uk
District Chair Dick Chalmers rmcipd@globalnet.couk
Explorer Scout Leader James Armstrong siesunit@gmail.com

1 LT700001 (27 February 2024)

Section B Structure, governance and management
Description of the charity’s trusts
Type of governing document
(e.g. trust deed, constitution)
How the charity is constituted
(e.g. trust, association, company)
Trustee selection methods
(e.g. appointed by, elected by)
Additional governance issues (optional information but encouraged as best practice)
Policies and procedures adopted for:
The Group's governing documents are those of the 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 and Rules of The Scout
Association.
The Group is a trust established under its rules which are
common to all Scouts.
The Trustees are appointed in accordance with the Policy,
Organisation and Rules of The Scout Association.
You may choose to include additional
information, where relevant, about:
The Group is managed by the Group Trustee Board, the
members of which are the ‘Charity Trustees’ of the Scout
Group which is an educational charity. As charity trustees
they are responsible for complying with legislation applicable
to charities. This includes the registration, keeping proper
accounts and making returns to the Charity Commission as
appropriate.
The Trustee Board consists of the Chair, Treasurer and 8
Trustees and meets every 2 months.
Members of the Trustee Board complete Being a Scouts
Trustee learning within the first 6 months of joining the
Board.
This Group Trustee Board exists to make sure the charity is
well-managed, risks are assessed and mitigated, buildings
and equipment are in good working order, and everyone
follows legal requirements and the organisation's policies
and rules. Their support helps other volunteers run high-
quality and safe programmes that gives young people skills
for life.
a) the induction and training of trustees;
b) trustee' consideration of major risks
and the systems and procedures to
manage them
The Group's governing documents are those of the 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 and Rules of The Scout
Association.
The Group is a trust established under its rules which are
common to all Scouts.
The Trustees are appointed in accordance with the Policy,
Organisation and Rules of The Scout Association.
The Group is managed by the Group Trustee Board, the
members of which are the ‘Charity Trustees’ of the Scout
Group which is an educational charity. As charity trustees
they are responsible for complying with legislation applicable
to charities. This includes the registration, keeping proper
accounts and making returns to the Charity Commission as
appropriate.
The Trustee Board consists of the Chair, Treasurer and 8
Trustees and meets every 2 months.
Members of the Trustee Board complete Being a Scouts
Trustee learning within the first 6 months of joining the
Board.
This Group Trustee Board exists to make sure the charity is
well-managed, risks are assessed and mitigated, buildings
and equipment are in good working order, and everyone
follows legal requirements and the organisation's policies
and rules. Their support helps other volunteers run high-
quality and safe programmes that gives young people skills
for life.

2 LT700001 (27 February 2024)

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

3 LT700001 (27 February 2024)

, closure of a section. In the worst case scenario the complete closure of the Group.

Risk and Internal Control

The group has in place systems of internal controls that are designed to provide reasonable assurance against material mismanagement or loss, these include 2 signatories for all payments and a comprehensive insurance policies to ensure that insurable risks are covered.

Section C Objectives and activities
Summary of the objects of the charity set
out in its governing document
The Purpose of Scouting
Scouting exists to actively engage and support young
people in their personal development,
empowering them to make a positive contribution to society.
The Values of Scouting
As Scouts we are guided by these values:
Integrity -We act with integrity; we are honest, trustworthy
and loyal.
Respect -We have self-respect and respect for others.
Care -We support others and take care of the world in which
we live.
Belief -We explore our faiths, beliefs and attitudes.
Co-operation -We make a positive difference; we co-
operate with others and make friends.
The Scout Method
Scouting takes place when young people, in partnership with
adults, work together based on the
values of Scouting and:
- enjoy what they are doing and have fun
- take part in activities indoors and outdoors
- learn by doing
- share in spiritual reflection
- take responsibility and make choices
- undertake new and challenging activities
- make and live by their Promise.

Summary of the main activities in relation to these objects

4 LT700001 (27 February 2024)

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

statements, where relevant, about:
• policy on grantmaking;
• contribution made by volunteers;
• policy on investments.
Public benefit statement
Youmay chooseto include further




The Group meets the Charity Commission's public benefit
criteria under both the advancement of education and the
advancement of citizenship or community development
headings.
Section D Achievements and performance
Summary of the main achievements of
the charity during the year


The extension project has been completed. There is now a
passenger lift in place improving acess to the Drill Hall for
Scouts and community users. The opening ceremony was
attended bythe Chief Scout Dwayne Fields.
Section E Financial Review
Quantify and explain any designations
Brief statement of the charity’s policy on
reserves
Reserves Policy
The Group's policy on reserves is to hold sufficient
resources to continue the charitable activities of the group
should income and fundraising activities fall short. The
Group Trustee Board considers that the group should hold a
sum equivalent to 4 months running costs, circa £5,000.
The Group held reserves of approximately £5000 against
this at year end. The level of funds has varied over the year
due to the receipt of grants and donations towards the costs
of the new extension and payments to contractors.

Details of any funds materially in deficit

5 LT700001 (27 February 2024)

(circumstances plus steps to eliminate)

Further financial review details (optional information)

information, where relevant, about:
• investment policy and objectives;
Youmay chooseto include additional
• the charity’s principal sources of funds
(including any fundraising);
• how expenditure has supported the key
objectives of the charity;
Investment Policy

Investment Policy


The Group's Income and Expenditure is very small and as a
consequence does not have sufficient funds to invest in
longer-term investments such as stocks and shares. The
Group has therefore adopted a low risk strategy to the
investment of its funds. All funds are held in cash using only
mainstream banks or building societies. Main income is from
youth member subscriptions, fundraising events, donations
and successful funding applications.

The Group Trustee Board regularly monitors the levels of
bank balances and the interest rates received to ensure the
group obtains maximum value and income from its banking
arrangements. Occasionally this may involve using an
account that requires a period of notice before funds may be
withdrawn, before doing so the Group Trustee Board
considers the cash flow requirements.
The Group does not have sufficient funds to invest in longer
term investments. The Group has therefore adopted a risk
averse strategy to the investment of its funds. All funds are
held in cash using only mainstream banks or building
societies.
Section F Other Optional Information
Plans for future periods (details of any
significant activities planned to achieve
them)
Plan to renew the roof, add insulation and solar panels.
Aiming to open a Squirrel Section.
Section G Declaration

The trustees declare that they have approved the trustees’ report above

Signed on behalf of the charity’s trustees

Signature(s)
Full name(s)
Position (eg Secretary, Chair)
Date
Carole Ogilvie Carole Ogilvie Carole Ogilvie Carole Ogilvie Carole Ogilvie Carole Ogilvie CherryFlitcroft
Carole Jane Margaret Ogilvie
CherryAnn Flitcroft
Trustee Chair
0-
9
0
2
5
0- 9 0
2
5

6 LT700001 (27 February 2024)

Summary of Accounts 24 25

Income Amount Subs
Month
April 1473.15 1073.50
May 28668.68 94.50
June 5973.50 1050.00
July 766.30 7.00
August 3449.94 0.00
September 2249.72 843.50
October 781.44 189.00
November 2064.44 829.50
December 13937.80 14.00
January 751.79 357.00
February 3765.11 238.00
March 4577.17 777.00
Total 68459 5473
Sundry Income + Extra actvites Breakdown
SBS Interest 4752
Gif Aid 959
Other + Extra Actvites (Other Similar income) 770
6481
Fund raising and Grants
Fund Raising 1202
Grants 44817
46019

Treasurers note: Total figures in tables above have been rounded to

Monthly account Details

Apr-24

Income Account Date Type Description Amount Subs

BANK
10-Apr-24 BP CHEUNG T Joseph Law Archery 3.50
10-Apr-24 BP CHEUNG T SC Joseph Law 24.50 24.50
10-Apr-24 CR SHAW V MIKEY SHAW SUBS 23.50 23.50
11-Apr-24 CR HALSTEAD N SC WEBSTER 24.50 24.50
11-Apr-24 CR ASHTON KL BE BRA ASHTON 24.50 24.50
11-Apr-24 BP Knights J BE Teddy K 24.50 24.50
11-Apr-24 CR ROBINSON LM BE-CONNOR 24.50 24.50
11-Apr-24 CR K Illingworth BE HARRY ILLINGWOR 24.50 24.50
12-Apr-24 CR N YORKS COUNCIL 91 Rates refund 40.26
14-Apr-24 BP BOYD&GATES Gates Beavers 24.50 24.50
14-Apr-24 CR BURTON MS BE HAZEL BURTON 24.50 24.50
14-Apr-24 BP CUSWORTH BOL BE(Ivo) 24.50 24.50
15-Apr-24 BP MORTON E M SC Austn Staveley 24.50 24.50
16-Apr-24 BP Webster R J BE Arthur Webster 24.50 24.50
16-Apr-24 CR PALMER RW + CL BE HOLLY PALMER 24.50 24.50
16-Apr-24 BP BELL J Mungo Bell CU 24.50 24.50
16-Apr-24 CR MACAULAY A & A BE MYLO MACAULAY 24.50 24.50
16-Apr-24 CR WALLBANK RH CUEMILYWALLBANK 24.50 24.50
16-Apr-24 BP Smith K A BE Walter Smith 24.50 24.50
16-Apr-24 BP Smith K A CU Alfred Smith 24.50 24.50
16-Apr-24 CR SAMANTHA SINGH CU Singh- Sol Wali 24.50 24.50
16-Apr-24 BP Phillip&Coup CU LEO COUPEY 24.50 24.50
16-Apr-24 BP MITCHELL L A CU LOGAN WILDMAN 24.50 24.50
16-Apr-24 CR Hannah-Jo Eustace Cub HAN EUSTA 49.00 49.00
16-Apr-24 CR K Illingworth CUB JACK ILLINGWOR 24.50 24.50
16-Apr-24 CR M Gibson CU GEORGE GIBSON 24.50 24.50
16-Apr-24 CR COULTHERD BARRY ZACH COULTHERD 24.50 24.50
16-Apr-24 CR A BECK+L BECK JOSH+CALL BECK SUB 49.00 49.00
17-Apr-24 CR GREEN O CUBS W GREEN 24.50 24.50
17-Apr-24 CR GREEN O BEAVERS J GREEN 24.50 24.50
17-Apr-24 BP Outhwaite D BE ewan outh subs 24.50 24.50
17-Apr-24 BP CUSWORTH BOL CU Seamus 24.50 24.50
17-Apr-24 BP BOYD&GATES Gates Cubs 24.50 24.50
17-Apr-24 CR J Burton CU-SOLLY-BURTON 24.50 24.50
17-Apr-24 CR IAN WALKER SC Edward Walker 24.50 24.50
17-Apr-24 CR MRS S & MR S L BROCUB BROWNLEE 49.00 49.00
17-Apr-24 BP FORROW PD&VK Cu pau forro 24.50 24.50
18-Apr-24 CR HOLDSWORTH H & J HAY HOLDS 24.50 24.50
18-Apr-24 CR JOHN LATIMER CU JOH LATIM 49.00 49.00
21-Apr-24 CR HALL B SC-GARETH HALL 24.50 24.50
23-Apr-24 CR DAISIE SEAL-JACKSOCU EDD DUNN 24.50 24.50
30-Apr-24 BP NORTH ING ES niesu camp refund 335.84
CASH
30-Mar-24 Claire Bibby 20.00
17-Apr-24 Elliot & Harriet Ruter 14.00 14.00
17-Apr-24 Found in Hall 0.05
24-Apr-24 Elliot & Harriet Ruter 7.00 7.00
April Income Total 1473.15 1073.50

May-24

Income Account
Date Type Descripton Amount Subs
BANK
2-May-24 CR Training Transfer 7.50
3-May-24 BP CHICK C BE PiperChickApril 21.00 21.00
6-May-24 CR Emma Franklin Izzy 20.00
14-May-24 CR EASY FUNDRAISING 46.68
15-May-24 CR ROE E + DOBB R BE RAC DOBBI 24.50 24.50
22-May-24 CR BERNARD SUNLEY FOU BERNARD SUNLEY FOU 10000.00
24-May-24 CR A C R E 18000.00
31-May-24 BP CUSWORTH BOL Tshirts SCB ICB 20.00
CASH
22-May-24 Bobby Raby 24.50 24.50
22-May-24 Aubrey Knights 24.50 24.50
12 May 2024 Holly Brown 20.00
23 May 2024 240501/02Majorie March & April 320.00
09 May 2024 240601 Majorie May 140.00
May Income Total 28668.68 94.50

Jun-24

Income Account
Date Type Descripton Amount Subs
BANK
4-Jun-24 BP BELL J Mungo Bell CU 24.50 24.50
4-Jun-24 CR K Illingworth CUB JACK ILLINGWOR 24.50 24.50
4-Jun-24 CR COULTHERD BARRY ZACH COULTHERD 24.50 24.50
4-Jun-24 CR MRS S & MR S L BRO CUB BROWNLEE 49.00 49.00
4-Jun-24 CR WALLBANK RH CUEMILYWALLBANK 24.50 24.50
4-Jun-24 CR LATIMER J & J CU JUD LATIM 49.00 49.00
5-Jun-24 CR HALL B SC-GARETH HALL 28.00 28.00
5-Jun-24 CR J Burton CU-SOLLY-BURTON 24.50 24.50
5-Jun-24 CR Hannah-Jo Eustace BE HAN EUSTA 49.00 49.00
5-Jun-24 CR M Gibson CU GEORGE GIBSON 24.50 24.50
5-Jun-24 BP BOYD&GATES Gates Cubs 24.50 24.50
5-Jun-24 CR GREEN O CUBS W GREEN 24.50 24.50
5-Jun-24 CR GREEN O BEAVERS J GREEN 24.50 24.50
5-Jun-24 BP BOYD&GATES Gates Beavers 24.50 24.50
5-Jun-24 CR K Illingworth BEA HARR ILLINGWOR 24.50 24.50
5-Jun-24 CR HALSTEAD N SC WEBSTER 28.00 28.00
5-Jun-24 CR S Ritchie BE DOMSMITH 49.00 49.00
5-Jun-24 BP Smith K A BE Walter Smith 24.50 24.50
5-Jun-24 BP Smith K A CU Alfred Smith 24.50 24.50
5-Jun-24 BP Phillip&Coup CU LEO COUPEY 24.50 24.50
6-Jun-24 BP MITCHELL L A CU LOGAN WILDMAN 24.50 24.50
6-Jun-24 CR EASBY AG CP CU SAM EASB 24.50 24.50
6-Jun-24 BP WADDINGTON H Reuben Outhwaite 24.50 24.50
6-Jun-24 CR MACAULAY A & A BE MYLO MACAULAY 24.50 24.50
7-Jun-24 CR ROE E + DOBB R BE RAC DOBBI 24.50 24.50
9-Jun-24 CR Y Chan Joseph Law 28.00 28.00
9-Jun-24 CR LATIMER J & J LATIMER Lark Tshir 20.00
10-Jun-24 BP Knights J BE Teddy K 24.50 24.50
10-Jun-24 CR ROBINSON LM BE-CONNOR 24.50 24.50
11-Jun-24 CR ASHTON KL CU BRA ASHTON 24.50 24.50
11-Jun-24 CR BURTON MS BE HAZEL BURTON 24.50 24.50
11-Jun-24 BP Webster R J BE Arthur Webster 24.50 24.50
11-Jun-24 BP MORTON E M SC Austn Staveley 28.00 28.00
12-Jun-24 CR A BECK+L BECK JOSH BECK SUBS 28.00 28.00
12-Jun-24 SBS Interest 4752.03
15-Jun-24 CR SHAW V MIKEY SHAW SUBS 28.00 28.00
16-Jun-24 CR PALMER RW + CL BE HOLLY PALMER 24.50 24.50
18-Jun-24 CR DAISIE SEAL-JACKSO CU EDD DUNN 24.50 24.50
18-Jun-24 BP CUSWORTH BOL CU Seamus 24.50 24.50
18-Jun-24 BP CUSWORTH BOL BE(Ivo) 24.50 24.50
CASH
11 06 24 donatons coop tn 47.65
11 06 24 donatons nelson's tn 103.82
June Income Totals 5973.50 1050.00
Jul-24
Income Account
Date Type Descripton Amount Subs
BANK
15-Jul-24 CR RANGER EXPEDITIO INVOICE240702 360.00
CASH
02 July 2024 Marjory 3.00
03 July 2024 Arthur Owen 20.00
03 07 24 Elliot & Harriet Ruter 7.00 7.00
05 07 24 school book fair 46.30
15 07 24 240701 Majorie June 130.00
20 07 24 North Yorkshire Bowmen 200.00
July Income Total 766.30 7.00

Aug-24

Income Account
Date Type Descripton Amount Subs
BANK
12-Aug-24 BP ROTARY CL CHARIT Setle Rotary Club 1000.00
13-Aug-24 CR EASY FUNDRAISING 19.94
13-Aug-24 BP ROTARY CL CHARIT Setle Rotary Club 1000.00
14-Aug-24 BP ROTARY CL CHARIT Setle Rotary Club 1000.00
20-Aug-24 CR CHQ IN AT 407080 300.00
CASH
15-Aug-24 240801 Marjorie July 130.00
August Income Total 3449.94 0.00

Sep-24

Income Account
Date Type Descripton Amount Subs
BANK
2-Sep-24 CR N W Leeds SCOUT6DALES 40.00
13-Sep-24 CR M Gibson CU GEORGE GIBSON 24.50 24.50
13-Sep-24 BP Phillip&Coup CU LEO COUPEY 24.50 24.50
13-Sep-24 CR JOHN LATIMER BE JOH LATIM 24.50 24.50
13-Sep-24 CR K Illingworth CUB JACK ILLINGWOR 24.50 24.50
13-Sep-24 CR MRS S & MR S L BRO CUB BROWNLEE 24.50 24.50
13-Sep-24 BP MITCHELL L A CU LOGAN WILDMAN 24.50 24.50
13-Sep-24 CR WALLBANK RH CUEMILYWALLBANK 24.50 24.50
14-Sep-24 BP Smith K A CU A and W Smith 49.00 49.00
14-Sep-24 CR K Illingworth BE HARRY ILLINGWOR 24.50 24.50
14-Sep-24 CR ROBINSON LM BE-CONNOR 24.50 24.50
14-Sep-24 BP BOYD&GATES BE Gates 24.50 24.50
15-Sep-24 BP Knights J BE Teddy K 24.50 24.50
15-Sep-24 BP BELL J Mungo Bell SUBS 24.50 24.50
16-Sep-24 CR JOHN LATIMER SC Sean Latmer 24.50 24.50
16-Sep-24 CR CLAIRE BIBBY BERalphBibby 24.50 24.50
16-Sep-24 CR Timothy Lane BE Isaac Lane 24.50 24.50
16-Sep-24 BP BOYD&GATES Gates Scouts 24.50 24.50
17-Sep-24 CR HMRC CHARITIES 492.98
17-Sep-24 CR MRS S & MR S L BRO SCOUTS T BROWNLEE 24.50 24.50
18-Sep-24 CR DAISIE SEAL-JACKSO CU EDD DUNN 24.50 24.50
18-Sep-24 BP MORTON E M SC Austn Staveley 24.50 24.50
18-Sep-24 BP CUSWORTH BOL BE(Ivo) 24.50 24.50
18-Sep-24 BP CUSWORTH BOL CU Seamus 24.50 24.50
19-Sep-24 CR J Burton CU-SOLLY-BURTON 24.50 24.50
19-Sep-24 CR BURTON MS BE HAZEL BURTON 24.50 24.50
21-Sep-24 CR EASBY AG CP CU SAM EASB 21.00 21.00
22-Sep-24 CR HOLDSWORTH H & J HAY HOLDS 24.50 24.50
23-Sep-24 CR ASHTON KL BRANDON ASHTON CUB 24.50 24.50
23-Sep-24 CR HALSTEAD N SC WEBSTER 24.50 24.50
23-Sep-24 CR SumUp Payments Acc M7Z PID724802 66.84
24-Sep-24 CR SHAW D MIKEYS SUBS 24.50 24.50
25-Sep-24 BP Webster R J BE Arthur Webster 24.50 24.50
25-Sep-24 CR GREEN O BEAVERS J GREEN 24.50 24.50
25-Sep-24 CR GREEN O CUBS W GREEN 24.50 24.50
25-Sep-24 CR Y Chan JOSEPH LAW 24.50 24.50
25-Sep-24 CR Y Chan JOSEPH Law Air rif 5.00
25-Sep-24 CR Y Chan TerenceLAW AIR RIF 5.00
CASH
18 09 24 Elliot & Harriet Ruter 7.00 7.00
22 09 24 Table top sale 796.40
25 09 24 Elliot & Harriet Ruter 7.00 7.00
September Income Total 2249.72 843.50

Income Account

Oct-24

Date Type Description Amount Subs

BANK
1-Oct-24 CR COULTHERD BARRY ZACH COULTHERD 24.50 24.50
1-Oct-24 BP WADDINGTON H Reuben Outhwaite 24.50 24.50
6-Oct-24 CR A BECK+L BECK JOSHUA BECK SUBS 24.50 24.50
15-Oct-24 CR HMRC CHARITIES 324.39
17-Oct-24 CR HMRC CHARITIES 68.05
25-Oct-24 CR Hannah-Jo Eustace CU HAN EUSTA 98.00 98.00
CASH
2-Oct-24 240901 Marjorie September 160.00
2-Oct-24 41 Club 30.00
2-Oct-24 Elliot & Harriet Ruter 7.00 7.00
16-Oct-24 Elliot & Harriet Ruter 7.00 7.00
23-Oct-24 Harriet Ruter 3.50 3.50
23-Oct-24 Sol Wali 5.00
23-Oct-24 Tom Brownlee 5.00
October Income Total 781.44 189.00

Nov-24

Income Account
Date Type Descripton Amount Subs
BANK
4-Nov-24 CR K Illingworth BE HARRY ILLINGWOR 24.50 24.50
4-Nov-24 CR BURTON MS BE HAZEL BURTON 24.50 24.50
4-Nov-24 CR JOHN LATIMER Sean Latmer 24.50 24.50
4-Nov-24 CR JOHN LATIMER Sean Latmer 24.50 24.50
5-Nov-24 CR MRS S & MR S L BRO SCOUTS T BROWNLEE 24.50 24.50
6-Nov-24 BP Webster R J BE Arthur Webster 14.00 14.00
7-Nov-24 CR ROBINSON LM BE-CONNOR 24.50 24.50
7-Nov-24 CR A Carlyle Henry U 24.50 24.50
7-Nov-24 BP BOYD&GATES Gates Beavers 24.50 24.50
7-Nov-24 CR Timothy Lane BE Isaac Lane 24.50 24.50
7-Nov-24 CR CLAIRE BIBBY BERalphBibby 24.50 24.50
8-Nov-24 BP ING DIST SCOUT Larkin fee refunds 204.00
12-Nov-24 CR EASY FUNDRAISING 67.47
12-Nov-24 CR KNIGHTS R+J BE TEDDY KNIGHTS 24.50 24.50
12-Nov-24 CR K Illingworth CUB JACK ILLINGWOR 24.50 24.50
13-Nov-24 CR JOHN LATIMER BE JOH LATIM 24.50 24.50
13-Nov-24 CR J Burton SOLLY-BURTON 24.50 24.50
13-Nov-24 CR WALLBANK RH CUEMILYWALLBANK 24.50 24.50
13-Nov-24 CR EASBY AG CP CU SAM EASB 24.50 24.50
14-Nov-24 CR COULTHERD BARRY ZACH COULTHERD 24.50 24.50
15-Nov-24 CR SAMANTHA SINGH Scouts Sol Wali 24.50 24.50
15-Nov-24 CR MRS S & MR S L BRO CUB BROWNLEE 24.50 24.50
16-Nov-24 CR M Gibson CU GEORGE GIBSON 24.50 24.50
16-Nov-24 BP WADDINGTON H Reuben Outhwaite 24.50 24.50
16-Nov-24 BP MITCHELL L A CU LOGAN WILDMAN 24.50 24.50
16-Nov-24 BP Outhwaite D ewan subs 24.50 24.50
16-Nov-24 BP Smith K A CU Alfred Smith 24.50 24.50
16-Nov-24 BP Phillip&Coup CU LEO COUPEY 24.50 24.50
16-Nov-24 CR MACAULAY A & A MYLO MACAULAY cubs 24.50 24.50
16-Nov-24 CR ASHTON KL Cubs BRA Ashton 24.50 24.50
18-Nov-24 CR GREEN O BEAVERS J GREEN 24.50 24.50
18-Nov-24 CR GREEN O CUBS W GREEN 24.50 24.50
19-Nov-24 CR HOLDSWORTH H & J HAY HOLDS 24.50 24.50
21-Nov-24 BP CUSWORTH BOL BE(Ivo) 10.50 10.50
25-Nov-24 BP MORTON E M SC Austn Staveley 24.50 24.50
CASH
6-Nov-24 Daniel Kricken 24.50 24.50
6-Nov-24 Elliot & Harriet Ruter 7.00 7.00
6-Nov-24 Donnaton anonymous 250.00
11-Nov-24 Donnaton anonymous 0.05
11-Nov-24 241101 Majorie October 120.00
12-Nov-24 Remeberence tea/cofee collecton 8.42
20-Nov-24 Elliot & Harriet Ruter 14.00 14.00
20-Nov-24 Sean Latmer 5.00
25-Nov-24 North Yorkshire Bowmen 580.00
November Income Total 2064.44 829.50

Dec-24

Income Account
Date Type Descripton Amount Subs
BANK
5-Dec-24 BP BOYD&GATES Owed To Beavers 5.00
19-Dec-24 CR YORKSHIRE DALES NP 13898.80
CASH
4-Dec-24 Elliot & Harriet Ruter 7.00 7.00
11-Dec-24 Elliot & Harriet Ruter 7.00 7.00
27-Dec-24 Aaron Hird 20.00
December Income Total 13937.80 14.00

Jan-25

Income Account
Date Type Descripton Amount Subs
BANK
7-Jan-25 CR ROBINSON LM BE-CONNOR 16.50 16.50
7-Jan-25 CR ROBINSON LM BE-CONNOR 4.50 4.50
7-Jan-25 CR BURTON MS BE HAZEL BURTON 21.00 21.00
7-Jan-25 CR A Carlyle HENRY U 21.00 21.00
7-Jan-25 CR Timothy Lane BE Isaac Lane 21.00 21.00
7-Jan-25 BP Knights J BE Teddy K 21.00 21.00
7-Jan-25 BP BOYD&GATES Gates Beavers 21.00 21.00
7-Jan-25 CR K Illingworth BE Harry Illingwor 21.00 21.00
7-Jan-25 CR K Illingworth Cub Jack ILLINGWOR 21.00 21.00
9-Jan-25 BP Webster R J BE Arthur Webster 21.00 21.00
9-Jan-25 CR CLAIRE BIBBY BERalphBibby 21.00 21.00
9-Jan-25 BP REED E&J lucas reed subs 21.00 21.00
14-Jan-25 CR HALSTEAD N SC WEBSTER 21.00 21.00
15-Jan-25 CR A BECK+L BECK JOSHUA BECK 21.00 21.00
16-Jan-25 CR SAMANTHA SINGH Scouts Sol Wali 21.00 21.00
20-Jan-25 CR Y Chan Joseph Terence Law 42.00 42.00
28-Jan-25 CR HMRC CHARITIES 73.51
30-Jan-25 CR MRS S & MR S L BRO SCOUTS T BROWNLEE 21.00 21.00
CASH
7-Jan-25 Majorie November December 200.00
16-Jan-25 Christmas Light Switch On 121.28
January Income Total 751.79 357.00

Feb-25

Income Account Date Type Description Amount Subs

BANK
2-Feb-25 BP MORTON E M SC Austn Staveley 21.00 21.00
4-Feb-25 BP Polkinghorn C BEAVERS Harry Polk 21.00 21.00
5-Feb-25 CR CHQ IN AT 407080 3000.00
11-Feb-25 CR EASY FUNDRAISING 37.11
11-Feb-25 CR GREEN O BEAVERS J GREEN 21.00 21.00
12-Feb-25 CR VIBRANT SETTLE COM Flowerpot 350.00
23-Feb-25 CR ROBINSON LM BEA-CONNOR 21.00 21.00
23-Feb-25 BP AMBROSE S F BEA FREDDIE AMBROS 21.00 21.00
23-Feb-25 CR STOW S L Bea Douglas Stow 21.00 21.00
24-Feb-25 CR REED JE & EB Bea lucas 21.00 21.00
25-Feb-25 BP BOYD&GATES Gates Scouts 17.50 17.50
26-Feb-25 CR C Gledhill Roq B-G Subs 17.50 17.50
26-Feb-25 BP MORTON E M SC Austn Staveley 17.50 17.50
27-Feb-25 BP Knights J BE Teddy K 21.00 21.00
28-Feb-25 CR HALSTEAD N SC WEBSTER 17.50 17.50
CASH
17-Feb-25 Majorie January 140.00
February Income Total 3765.11 238.00

Mar-25

Income Account
Date Type Descripton Amount Subs
BANK
3-Mar-25 CR Y CHAN JOSEPH TERENCE LAW 35.00 35.00
3-Mar-25 CR SAMANTHA SINGH Scouts Sol Wali 17.50 17.50
3-Mar-25 CR K Illingworth SCOU JACK ILLINGWO 21.00 21.00
3-Mar-25 CR K Illingworth CUB HARRY ILLINGWO 21.00 21.00
3-Mar-25 CR BURTON MS BEA HAZEL BURTON 21.00 21.00
3-Mar-25 CR A Carlyle HENRY U 21.00 21.00
3-Mar-25 BP Smith K A CU Alfred Smith 21.00 21.00
3-Mar-25 CR MRS S & MR S L BRO CUB BROWNLEE 21.00 21.00
3-Mar-25 CR MRS S & MR S L BRO SCOUTS T BROWNLEE 17.50 17.50
3-Mar-25 CR EASBY AG CP wilbur EASBy 21.00 21.00
3-Mar-25 BP MITCHELL L A CU LOGAN WILDMAN 21.00 21.00
3-Mar-25 CR JOHN LATIMER Sean Latmer 17.50 17.50
4-Mar-25 CR JOHN LATIMER Daisy Latmer 21.00 21.00
5-Mar-25 CR SHAW V MIKEY SHAW SUBS 17.50 17.50
5-Mar-25 CR J Burton SOLLY-BURTON 21.00 21.00
16-Mar-25 CR Hannah-Jo Eustace CUBs 2 x EUSTACE 84.00 84.00
16-Mar-25 CR Timothy Lane CU Isaac Lane 21.00 21.00
16-Mar-25 CR GLOVER JR RUBEN 21.00 21.00
16-Mar-25 BP BOYD&GATES Gates Cubs 21.00 21.00
16-Mar-25 CR WALLBANK RH CUEMILYWALLBANK 21.00 21.00
17-Mar-25 CR JOHN LATIMER Daisy Latmer 21.00 21.00
17-Mar-25 CR HOLDSWORTH H & J CU Jayden HOLDS 21.00 21.00
18-Mar-25 CR MACAULAY A & A CU MYLO MACAULAY 21.00 21.00
19-Mar-25 CR YORKSHIRE DALES NP 2918.61
19-Mar-25 CR SHAW V MIKEY SHAW CAMP 40.00
20-Mar-25 CR CHQ IN AT 407080 200.00
20-Mar-25 CR CO-OP FOOD GRP 500.00
21-Mar-25 CR A BECK+L BECK JOSH BECK SUBS 17.50 17.50
23-Mar-25 BP CUSWORTH BOL CU Ivo 21.00 21.00
25-Mar-25 CR SAMANTHA SINGH VIK Sol Wali 40.00
29-Mar-25 BP Polkinghorn C CU T & H Polk 42.00 42.00
31-Mar-25 BP Webster R J BE Arthur Webster 21.00 21.00
31-Mar-25 CR COULTHERD BARRY ZACH COULTHERD 21.00 21.00
CASH
13 03 25 donatons nelson's tn 101.56
29 03 25 Harry Polkinghome (Nov 24) 24.50 24.50
29 03 25 Dexter Faraday (Jan 25) 21.00 21.00
29 03 25 Arthur Mounsey (Feb 25) 21.00 21.00
29 03 25 Dexter Poter (Feb 25) 21.00 21.00
29 03 25 Dexter Faraday (Feb 25) 21.00 21.00
March Income Total 4577.17 777.00

Cash Account

CASH BOOK

Incomexpenditure

Claire Bibby

30 03 24

20.00

17 04 24 Elliot & Harriet Ruter 14.00
17 04 24 Found in Hall 0.05
24 04 24 Elliot & Harriet Ruter 7.00
22 05 24 Bobby Raby 24.50
22 05 24 Aubrey Knights 24.50
25 05 24 Expenses Dan 37.61
12 04 24 Holly Brown 20.00
23 05 24 240501/02Majorie March & April 320.00
09 05 24 240601 Majorie May 140.00
11 06 24 donatons coop tn 47.65
11 06 24 donatons nelson's tn 103.82
26 06 24 Age UK 0.60
26 06 24 Coop 22.60
02 07 24 Marjory 3.00
03 07 24 Arthur Owen 20.00
03 07 24 Elliot & Harriet Ruter 7.00
03 07 24 Float out 45.00
05 07 24 Float in 45.00
05 07 24 school book fair 46.30
15 07 24 240701 Majorie June 130.00
15 07 24 building control 717.29
20 07 24 North Yorkshire Bowmen 200.00
15 08 24 240801 Marjorie July 130.00
18 09 24 Elliot & Harriet Ruter 7.00
22 09 24 Table top sale 796.40
23 09 24 Paid into HSBC 1258.00
25 09 24 Elliot & Harriet Ruter 7.00
02 10 24 240901 Marjorie September 160.00
02 10 24 41 Club 30.00
02 10 24 Cherry 88.38
02 10 24 Paid into HSBC 132.00
02 10 24 Elliot & Harriet Ruter 7.00
16 10 24 Elliot & Harriet Ruter 7.00
23 10 24 Harriet Ruter 3.50
23 10 24 Sol Wali 5.00
23 10 24 Tom Brownlee 5.00
05 11 24 Drake Macefeld 15.65
06 11 24 Daniel Kricken 24.50
06 11 24 Elliot & Harriet Ruter 7.00
06 11 24 Donnaton anonymous 250.00
11 11 24 Donnaton anonymous 0.05
11 11 24 James Armstrong 20.99
11 11 24 241101 Majorie October 120.00
11 11 24 Paid into HSBC 350.00
12 11 24 Remeberence tea/cofee collecton 8.42
20 11 24 Elliot & Harriet Ruter 14.00
20 11 24 Sean Latmer 5.00
25 11 24 North Yorkshire Bowmen 580.00
04 12 24 Elliot & Harriet Ruter 7.00
04 12 24 Paid into HSBC 585.00
10 12 24 Coop 12.60
11 12 24 Elliot & Harriet Ruter 7.00
11 12 24 Premier 5.38
27 12 24 Aaron Hird 20.00
07 01 25 Majorie November December 200.00
07 01 25 Jane Nelson 7.15
16 01 25 Christmas Light Switch On 121.28
17 02 25 Majorie January 140.00
17 02 25 Paid into HSBC 535.00
13 03 25 donatons nelson's tn 101.56
13 03 25 Cherry Flitcrof 50.00
22 03 25 Annete Metcalf 25.80
29 03 25 Harry Polkinghome (Nov 24) 24.50
29 03 25 Dexter Faraday (Jan 25) 21.00
29 03 25 Arthur Mounsey (Feb 25) 21.00
29 03 25 Dexter Poter (Feb 25) 21.00
29 03 25 Dexter Faraday (Feb 25) 21.00
29 03 25 Kate Illingworth 7.75
29 03 25 Kate Illingworth 4.09
29 03 25 Kate Illingworth 22.98
29 03 25 Kate Illingworth 25.05
Total 4045.03 3968.92

Restricted Funds 24 25

B/F
Hardship Fund Mike Hard 1158
Subscripton Payments
Scoutng Actvites E Airey 7676
Larkin
Building Fund Paul Cochr 13803
Building works
Totals 22638
Extra Hall DonatonsFund RaisiSundry DonatonsFund RaisiSundry DonatonsFund RaisiSundry
**Actvites ** Hire inc Grants
339.34 20.00 40.31
40.00 480.00 0.00 28046.68 7.50
20.00 0.00 151.47 0.00 4752.03
0.00 690.00 23.00 46.30
0.00 130.00 3300.00 19.94 0.00
10.00 40.00 0.00 863.24 492.98
10.00 190.00 0.00 0.00 392.44
209.00 700.00 250.00 67.47 8.47
5.00 20.00 0.00 13898.80
0.00 200.00 0.00 121.28 73.51
0.00 140.00 3350.00 37.11 0.00
80.00 0.00 801.56 2918.61 0.00
713 2610 7876 46019 5767

o nearest £ before copying to Charity Commission Spreadsheet

Extra Hall DonationsFund RaisiSundry Activities Hire inc Grants

Date

Type

3.50
40.26
8-Apr-24
DD
9-Apr-24
CHQ
15-Apr-24
CHQ
17-Apr-24
DD
17-Apr-24
DD
23-Apr-24
CHG
23-Apr-24
DD
25-Apr-24
DD
29-Apr-24
DD
April Su
Date
1-Apr-24
Brought Fo
Income
Expenditur
30-Apr-24
Carried For
m


==> picture [80 x 54] intentionally omitted <==

----- Start of picture text -----
335.84
20.00
----- End of picture text -----

0.05

339.34 20.00 40.31

Extra Hall DonatonsFund RaisiSundry DonatonsFund RaisiSundry Date Type
**Actvites ** Hire inc Grants
7.50 8-May-24 DD
9-May-24 CHQ
20.00 16-May-24 BP
46.68 16-May-24 BP
16-May-24 BP
10000 22-May-24 DD
18000 23-May-24 DR
20.00 24-May-24 BP
28-May-24 DD
29-May-24 DD
29-May-24 DD
20.00
320.00 25-May-24
140.00
40.00 0.00 0.00 28046.68
7.50
May Sum
Date
1-May-24 Brought Fo
Income
Expenditur
31-May-24 Carried For
Extra
Hall
DonatonsFund RaisiSundry
Actvites Hire
inc Grants
20.00
4752.03
Date
Type
4-Jun-24
BP
5-Jun-24
BP
6-Jun-24
BP
10-Jun-24
DD
17-Jun-24
BP
18-Jun-24
DD
18-Jun-24
DD
21-Jun-24
CHQ
23-Jun-24
DR
24-Jun-24
DD
26-Jun-24
DD
26 06 24
26 06 24
47.65
103.82
20.00 0.00 151.47 0.00 4752.03
Extra Hall DonatonsFund RaisiSundry DonatonsFund RaisiSundry Date Type
**Actvites ** Hire inc Grants
360.00 4-Jul-24 BP
5-Jul-24 BP
8-Jul-24 DD
3.00 9-Jul-24 BP
20.00 10-Jul-24 BP
11-Jul-24 BP
46.30 12-Jul-24 BP
130.00 14-Jul-24 BP
200.00 14-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
0.00 690.00 23.00 46.30 15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
15-Jul-24 BP
16-Jul-24 DD
16-Jul-24 DD
18-Jul-24 BP
22-Jul-24 DD
23-Jul-24 DR
26-Jul-24 DD
29-Jul-24 DD
15 July 2024
July Sum
Date
1-Jul-24 Brought Fo
Income
Expenditur
31-Jul-24 Carried For
Bank Reco
Extra
Hall
DonatonsFund RaisiSundry
Actvites Hire
inc Grants
1000.00
Date
Type
8-Aug-24
DD
19.94 9-Aug-24 BP
1000.00 9-Aug-24 BP
1000.00 9-Aug-24 BP
300.00 9-Aug-24 BP
9-Aug-24 BP
12-Aug-24 BP
130.00 16-Aug-24 DD
16-Aug-24 DD
0.00 130.00 3300.00 19.94 0.00 22-Aug-24 DD
23-Aug-24 DR
28-Aug-24 DD
29-Aug-24 DD
August S
Date
1-Aug-24 Brought Fo
Income
Expenditur
31-Aug-24 Carried For
Bank Reco
Extra
Hall
DonatonsFund RaisiSundry
Actvites Hire
inc Grants
40.00
Date
Type
5-Sep-24
BP
6-Sep-24
BP
9-Sep-24
DD
9-Sep-24
BP
10-Sep-24
BP
11-Sep-24
BP
11-Sep-24
BP

==> picture [245 x 595] intentionally omitted <==

----- Start of picture text -----
492.98
66.84
5.00
5.00
796.40
10.00 40.00 0.00 863.24 492.98
----- End of picture text -----

17-Sep-24 DD
17-Sep-24 DD
23-Sep-24 DR
25-Sep-24 DD
27-Sep-24 DD
30-Sep-24 DD
Septemb
Date
1-Sep-24 Brought Fo
Income
Expenditur
30-Sep-24 Carried For
Bank Reco

==> picture [88 x 52] intentionally omitted <==

----- Start of picture text -----
Date Type
----- End of picture text -----

Extra Hall DonationsFund RaisiSundry

==> picture [404 x 320] intentionally omitted <==

----- Start of picture text -----
Activities Hire inc Grants
8-Oct-24 DD
8-Oct-24 BP
10-Oct-24 BP
324.39 16-Oct-24 DD
68.05 16-Oct-24 DD
22-Oct-24 DD
23-Oct-24 DR
23-Oct-24 BP
160.00 25-Oct-24 DD
30.00 25-Oct-24 BP
28-Oct-24 BP
29-Oct-24 DD
5.00
5.00 02 10 24
10.00 190.00 0.00 0.00 392.44
----- End of picture text -----

==> picture [117 x 204] intentionally omitted <==

----- Start of picture text -----
October
Date
1-Oct-24 Brought Fo
Income
Expenditur
31-Oct-24 Carried For
Bank Reco
----- End of picture text -----

==> picture [402 x 97] intentionally omitted <==

----- Start of picture text -----
Extra Hall DonationsFund RaisiSundry Date Type
Activities Hire inc Grants
1-Nov-24 BP
----- End of picture text -----

204.00
67.47
250.00
0.05
120.00
8.42
5.00
580.00
209.00 700.00 250.00 67.47 8.47
8-Nov-24 DD
19-Nov-24 DD
19-Nov-24 DD
19-Nov-24 BP
19-Nov-24 BP
22-Nov-24 DD
22-Nov-24 DD
22-Nov-24 BP
23-Nov-24 DR
23-Nov-24 BP
24-Nov-24 BP
25-Nov-24 DD
25-Nov-24 BP
29-Nov-24 DD
5-Nov-24
11-Nov-24
Novemb
Date
1-Nov-24 Brought Fo
Income
Expenditur
30-Nov-24 Carried For
Bank Reco
Extra Hall DonatonsFund RaisiSundry DonatonsFund RaisiSundry Date Type
**Actvites ** Hire inc Grants
5.00 6-Dec-24 BP
13898.80 9-Dec-24 DD
10-Dec-24 BP
17-Dec-24 DD
17-Dec-24 DD
20-Dec-24 BP
20.00 23-Dec-24 DD
23-Dec-24 DD
5.00 20.00 0.00 13898.80 23-Dec-24 DR
27-Dec-24 DD
30-Dec-24 DD
10-Dec-24
11-Dec-24

==> picture [117 x 204] intentionally omitted <==

----- Start of picture text -----
Decemb
Date
1-Dec-24 Brought Fo
Income
Expenditur
31-Dec-24 Carried For
Bank Reco
----- End of picture text -----

Extra Hall DonatonsFund RaisiSundry DonatonsFund RaisiSundry DonatonsFund RaisiSundry Date Type
**Actvites ** Hire inc Grants
8-Jan-25 DD
15-Jan-25 BP
21-Jan-25 DD
21-Jan-25 DD
21-Jan-25 DD
22-Jan-25 DD
23-Jan-25 DR
26-Jan-25 BP
27-Jan-25 DD
29-Jan-25 DD
31-Jan-25 BP
7-Jan-25
73.51
January
200.00 Date
121.28 1-Jan-25 Brought Fo
Income
0.00 200.00 0.00 121.28 73.51 Expenditur
31-Jan-25 Carried For
Bank Reco

Extra Hall DonationsFund RaisiSundry Date Type Activities Hire inc Grants

4-Feb-25 BP
4-Feb-25 BP
3000.00 10-Feb-25 DD
37.11 14-Feb-25 BP
18-Feb-25 DD
350.00 18-Feb-25 DD
18-Feb-25 BP
21-Feb-25 DD
23-Feb-25 DR
24-Feb-25 DD
25-Feb-25 DD
27-Feb-25 BP
27-Feb-25 BP
140.00
February
0.00 140.00 3350.00 37.11 0.00 Date
1-Feb-25 Brought Fo
Income
Expenditur
28-Feb-25 Carried For
Bank Reco
Extra
Hall
DonatonsFund RaisiSundry
Actvites Hire
inc Grants
Date
Type
6-Mar-25
BP
10-Mar-25
DD
20-Mar-25
DD
20-Mar-25
DD
20-Mar-25
BP
2918.61
40.00
200.00
500.00
40.00
101.56
80.00
0.00
801.56
2918.61
0.00
21-Mar-25
DD
23-Mar-25
DR
24-Mar-25
DD
26-Mar-25
DD
30-Mar-25
BP
30-Mar-25
BP
31-Mar-25
DD
13-Mar-25
22-Mar-25
29-Mar-25
29-Mar-25
29-Mar-25
29-Mar-25
March S
Date
1-Mar-25
Brought Fo
Income
Expenditur
31-Mar-25
Carried For
Bank Reco

==> picture [127 x 39] intentionally omitted <==

----- Start of picture text -----
Balance
0
20.00 Hall hire
----- End of picture text -----

34.00 Subs
34.05 Misc
41.05 Subs
65.55 Subs
90.05 Subs
52.44 Expenses
72.44 Hall hire
392.44 Hall hire
532.44 Hall hire
580.09 Gif aid
683.91 Gif aid
683.31 Expenses
660.71 Expenses
663.71 Donaton
683.71 Donaton
690.71 Subs
645.71
690.71
737.01 Fund raising
867.01 Hall hire
149.72 Extension
349.72 Hall hire
479.72 Hall hire
486.72 Subs
1283.12 Fund raisinplus 74 card payment
25.12
32.12 Subs
192.12 Hall hire
222.12 Hall hire
133.74 Repairs and Maintenance
1.74
8.74 Subs
15.74 Subs
19.24 Subs
24.24
29.24
13.59 Expenses
38.09 Subs
45.09 Subs
295.09 Donaton
295.14 Donaton
274.15 Equipment
394.15 Hall hire
44.15
52.57 Gif aid
66.57 Subs
71.57
651.57 Hall hire
658.57 Subs
73.57
60.97 Expenses
67.97 Subs
62.59 Expenses
82.59 Hall hire
282.59 Hall hire
275.44 Expenses
396.72 Fund raising
536.72 Hall hire
1.72
103.28 gif aid xxx
53.28 Expenses
27.48 Expenses
51.98 Subs
72.98 Subs
93.98 Subs
114.98 Subs
135.98 Subs
128.23 Expenses
124.14 Expenses
101.16 Expenses
76.11 Expenses
76.11

==> picture [196 x 215] intentionally omitted <==

----- Start of picture text -----
Income xpenditure C/F
63
1095
3295.00
4381
13803
0 A/C Closed
17161 5476
----- End of picture text -----

Summary of Accounts 24 25

Expenditure Amount Weekly Extra Books Utlites Fund Raisi
**Actvites ** **Actvites ** Badges **Insurance ** Expenses
Month
April
1128.11 19.00 0.00 0.00 409.61 0.00
May 1179.17 476.91 0.00 0.00 463.60 0.00
June 5907.70 23.20 1309.88 0.00 343.72 0.00
July 42961.35 197.26 3210.00 0.00 328.70 0.00
August 19344.31 0.00 85.00 134.40 339.91 0.00
September 45836.91 0.00 0.00 0.00 307.01 0.00
October 6070.60 0.00 0.00 669.87 307.28 0.00
November 38933.00 15.65 20.99 0.00 487.03 0.00
December 9663.16 17.98 0.00 0.00 582.17 0.00
January 1108.06 7.15 0.00 79.75 562.88 0.00
February 11779.86 0.00 0.00 0.00 592.16 0.00
March 5102.66 85.67 0.00 0.00 532.69 0.00
Total 189015 843 4626 884 5257 0
Utlites Breakdown
Electric & Gas
2137
Water
649
Telephone/Internet
939
Insurance
1532
5257
Sundries Breakdown
Bank Charges & accountancy
458
Capitaton
3713
Sundry Expenses
95
4265
Repairs & Renewals Breakdown
Repairs & Renewals
985
Cleaning
1264
2250

Apr-24

Expenditure Account

Description

Amount

Weekly Extra Books Utilities Fund Raisi Activities Activities Badges Insurance Expenses

BANK
NFU MUTUAL INS-BC 112.28 112.28
101133 C J Wilson 691.70
101134 Simon Shaw 19.00 19.00
E.ON NEXT 43.11 43.11
E.ON NEXT LTD FIRST PAYMENT 108.61 108.61
TOTAL CHARGES TO 01APR2024 7.80
DAISY 74.52 74.52
WATER PLUS FIRST PAYMENT 56.09 56.09
SCOTTISH WATER BUS 15.00 15.00
April Expenditure Total 1128.11 19.00 0.00 0.00 409.61 0.00
mmary & Bank reconciliaton
orward 131322.70
1473.15
1128.11
rward 131667.74
Bank Reconciliaton
HSBC 3694.69
Skipton BS 127932.00
Cash 41.05
Total 131667.74

May-24

Expenditure Account

Descripton Amount Amount Weekly Extra Books Utlites Fund Raisi
Actvites Actvites Badges Insurance Expenses
BANK
NFU MUTUAL INS-BC 112.20 112.20
101135 I Print Ltd 439.30 439.30
Thomas Litlefeld Training Refund 7.50
Allen Edward Kayle INV 232H Scouts 56.42
Ingleborough Distr MPL LICENSE SETTLE 31.94
DAISY 74.52 74.52
TOTAL CHARGES TO 01MAY2024 5.80
Ms J C Wilson Scouts 009 APR 24 137.00
WATER PLUS FIRST PAYMENT 35.69 35.69
E.ON NEXT LTD FIRST PAYMENT 85.22 85.22
E.ON NEXT LTD 155.97 155.97
CASH
Expenses Dan 37.61 37.61
May Expenditure Total 1179.17 476.91 0.00 0.00 463.60 0.00
mmary and Bank Reconciliaton
orward 131667.74
28668.68
1179.17
rward 159157.25
Bank Reconciliaton
HSBC 30692.81
Skipton BS 127932.00
Cash 532.44
Total 159157.25

Jun-24

Expenditure Account

Descripton Amount Weekly Extra Books Utlites Fund Raisi
Actvites Actvites Badges Insurance Expenses
BANK
AMG Group CASGBP/013092 500.00 500.00
AMG Group CASGBP/013092 400.00 400.00
AMG Group CASGBP/013092 409.88 409.88
NFU MUTUAL INS-BC 112.20 112.20
Mitchell Wellock l CAST01 INV 3157 300.00
E.ON NEXT LTD 43.73 43.73
E.ON NEXT LTD 75.40 75.40
101137 Curtns Consultng Ltd 3925.50
TOTAL CHARGES TO 01JUN2024 5.40
DAISY 74.52 74.52
WATER PLUS FIRST PAYMENT 37.87 37.87
CASH
Age UK 0.60 0.60
Coop 22.60 22.60
June Expenditure Total 5907.70 23.2 1309.88 0 343.72 0
mmary and Bank Reconciliaton
orward 159157.25
5973.50
5907.70
rward 159223.05
nciliaton
HSBC 878.31
Skipton BS 157684.03
Cash 660.71
Total 159223.05

Jul-24

Expenditure Account

Descripton Amount Weekly Extra Books Utlites Fund Raisi
Actvites Actvites Badges Insurance Expenses
BANK
Conservefor Ltd INV-CO908/1 10000.00
Conservefor Ltd INV-CO908/1 5819.60
NFU MUTUAL INS-BC 112.20 112.20
Conservefor Ltd INV-CO908/2 9500.00
Conservefor Ltd INV-CO908/3 10000.00
Conservefor Ltd INV-CO908/1 1082.70
Thomas Litlefeld Walker Fost Refund 2100.00
Annie e Macaulay L Refund M Macaula 40.00 40.00
Mr J Bell Larkin M Bell 85.00 85.00
Colin chick Larkin P Chick 40.00 40.00
Hannah Eustace Larkin E & I Eusta 170.00 170.00
Mrs C Polkinghorne Larkin H&T Polking 125.00 125.00
Mrs S Brownlee L Refund T & O Br 170.00 170.00
Jenna Cusworth-Bol Larkin I&S Cuswort 125.00 125.00
OPE Green J & W Green 125.00 125.00
Mrs d m Outhwaite Larkin E & D Outhw 220.00 220.00
Kate Illingworth Larkin H&J Illingw 125.00 125.00
RW Palmer Larkin H Palmer 40.00 40.00
Miss H F Waddingto Larkin R Outhwaite 40.00 40.00
Rachel Dobbing Larkin V Roe 40.00 40.00
Sharon Ritchie Larkin D Smith 40.00 40.00
Miss k l ashton Larkin B Ashton 85.00 85.00
JJ BURTON Larkin S Burton 85.00 85.00
B COULTHERD Larkin Z Coultherd 85.00 85.00
Mrs M Phillipson-C L Refund L Coupey 85.00 85.00
Emily Barnes Larkin H Denham 85.00 85.00
Michael Gibson Larkin G Gibson 85.00 85.00
Andrew Easby Larkin W Easby 85.00 85.00
Miss D Seal-Jackso Larkin E Dunn 85.00 85.00
Mrs J Latmer Larkin S&D Latmer 170.00 170.00
Mrs K A Smith Larkin A Smith 85.00 85.00
Mrs A M Pierce Larkin R Pierce 85.00 85.00
Alison Krickhan Larkin D Krickhan 180.00 180.00
B HALL Larkin G Hall 180.00 180.00
Eleanor Morton Larkin A Staveley 180.00 180.00
Mr I E Walker Larkin E Walker 180.00 180.00
Miss L A Mitchell Larkin L Wildman 85.00 85.00
E.ON NEXT LTD 63.13 63.13
E.ON NEXT LTD 36.26 36.26
Hannah Eustace L Refund I Eustace 197.26 197.26
DAISY 74.52 74.52
TOTAL CHARGES TO 01JUL2024 5.80
WATER PLUS FIRST PAYMENT 10.28 10.28
SCOTTISH WATER BUS 32.31 32.31
CASH
Building Control 717.29
July Expenditure Total 42961.35 197.26 3210.00 0.00 328.70 0.00

==> picture [244 x 204] intentionally omitted <==

----- Start of picture text -----
mmary and Bank Reconciliation
orward 159223.05
766.30
42961.35
rward 117028.00
nciliation
HSBC 2678.28
Skipton BS 114000.00
Cash 349.72
Total 117028.00
----- End of picture text -----

mmary and Bank Reconciliation

Aug-24

Expenditure Account

Description Amount Weekly Extra Books Utilities Fund Raisi Activities Activities Badges Insurance Expenses BANK NFU MUTUAL INS-BC 112.20 112.20

Mrs. Cherry A Flit Badges Reimburseme 134.40 134.40
Samantha Jayne Sin L Refund S Wali 85.00 85.00
Curtns 0074954 360.00
Conservefor Ltd INV-CO910/1 9000.00
S & M Fire Protect 5820 66.00
Conservefor Ltd INV-CO910/2 9354.00
E.ON NEXT LTD 58.22 58.22
E.ON NEXT LTD 26.22 26.22
DAISY 74.52 74.52
TOTAL CHARGES TO 01AUG2024 5.00
WATER PLUS FIRST PAYMENT 36.44 36.44
SCOTTISH WATER BUS 32.31 32.31
August Expenditure Total 19344.31 0.00 85.00 134.40 339.91 0.00
Summary and Bank Reconciliaton Summary and Bank Reconciliaton
orward 117028.00
3449.94
19344.31
rward 101133.63
nciliaton
HSBC 7653.91
Skipton BS 93000.00
Cash 479.72
Total 101133.63

Sep-24

Expenditure Account

Descripton Amount Weekly Extra Books Utlites Fund Raisi
Actvites Actvites Badges Insurance Expenses
BANK
Conservefor Ltd INV-CO919/1 10000.00
Conservefor Ltd INV-CO919/2 9500.00
NFU MUTUAL INS-BC 112.20 112.20
Conservefor Ltd INV-CO919/3 9000.00
Conservefor Ltd INV-CO919/4 8500.00
Conservefor Ltd INV-CO919/5 3832.46
ASE Autogate Ltd 153344 4691.64
E.ON NEXT LTD 41.94 41.94
E.ON NEXT LTD 9.60 9.60
TOTAL CHARGES TO 01SEP2024 5.80
WATER PLUS FIRST PAYMENT 36.44 36.44
DAISY 74.52 74.52
SCOTTISH WATER BUS 32.31 32.31
September Expenditure Total 45836.91 0.00 0.00 0.00 307.01 0.00
ber Summary and Bank Reconciliaton ber Summary and Bank Reconciliaton
orward 101133.63
2249.72
45836.91
rward 57546.44
nciliaton
HSBC 5514.32
Skipton BS 52000.00
Cash 32.12
Total 57546.44

Oct-24

Expenditure Account

Description Amount Weekly Extra Books Utilities Fund Raisi

Activities Activities Badges Insurance Expenses

BANK
NFU MUTUAL INS-BC 112.20 112.20
Yorkshire Dales NP Drill Hall Castleb 293.00
Setle Town Counci Castleberg Scouts 10.00
E.ON NEXT LTD 68.85 68.85
E.ON NEXT LTD 9.60 9.60
DAISY 74.52 74.52
TOTAL CHARGES TO 01OCT2024 10.43
Ingleborough Distr 64 65 66 70 412.57 412.57
WATER PLUS FIRST PAYMENT 9.80 9.80
ASE Autogate Ltd 153788 4691.64
Ingleborough Distr 58 59 61 62 257.30 257.30
SCOTTISH WATER BUS 32.31 32.31
CASH
Cherry 88.38
October Expenditure Total 6070.60 0.00 0.00 669.87 307.28 0.00
Summary and Bank Reconciliaton Summary and Bank Reconciliaton
orward 57546.44
781.44
6070.60
rward 52257.28
nciliaton
HSBC 228.04
Skipton BS 52000.00
Cash 29.24
Total 52257.28

Nov-24

Expenditure Account

Description Amount Weekly Extra Books Utilities Fund Raisi Activities Activities Badges Insurance Expenses BANK Unity Insurance Se 51509888 52.00 52.00

NFU MUTUAL INS-BC 112.20 112.20
E.ON NEXT LTD 91.60 91.60
E.ON NEXT LTD 89.40 89.40
E W Roberts 25 450.00
Timberworks Joiner INV-0988 3080.40
ATHENE SYSTEMS LTD 15.54
DAISY 74.52 74.52
Conservefor Ltd INV-CO953/1 6883.46
TOTAL CHARGES TO 01NOV2024 5.93
Conservefor Ltd INV-CO908/2 9000.00
Conservefor Ltd INV-CO908/3 10000.00
WATER PLUS FIRST PAYMENT 35.00 35.00
Hollindrake Painte INV- 0173 8974.00
SCOTTISH WATER BUS 32.31 32.31
CASH
Drake Macefeld 15.65 15.65
James Armstrong 20.99 20.99
November Expenditure Total 38933.00 15.65 20.99 0.00 487.03 0.00
b
er Summary and Bank Reconciliaton
orward
52257.28
2064.44
38933.00
rward
15388.72
nciliaton
HSBC
737.15
Skipton BS
14000.00
Cash
651.57
Total
15388.72

Dec-24

Expenditure Account

Descripton Amount Weekly Extra Books Utlites Fund Raisi
Actvites Actvites Badges Insurance Expenses
BANK
Andrew Mounsey Flo 05 12 24 780.00
NFU MUTUAL INS-BC 112.20 112.20
Timberworks Joiner INV-1058 3940.67
E.ON NEXT LTD 108.90 108.90
E.ON NEXT LTD 221.43 221.43
JD Mounsey Ltd INV 35138 4320.00
ATHENE SYSTEMS LTD 15.54
DAISY 74.52 74.52
TOTAL CHARGES TO 01DEC2024 6.80
WATER PLUS FIRST PAYMENT 32.81 32.81
SCOTTISH WATER BUS 32.31 32.31
CASH
Coop 12.60 12.60
Premier 5.38 5.38
December Expenditure Total 9663.16 17.98 0.00 0.00 582.17 0.00
er Summary and Bank Reconciliaton er Summary and Bank Reconciliaton
orward 15388.72
13937.80
9663.16
rward 19663.36
nciliaton
HSBC 10580.77
Skipton BS 9000.00
Cash 82.59
Total 19663.36

Jan-25

Expenditure Account

Descripton Amount Weekly Extra Books Utlites Fund Raisi
Actvites Actvites Badges Insurance Expenses
BANK
NFU MUTUAL INS-BC 112.2 112.2
Unity Insurance Se 51509888 133.49 133.49
E.ON NEXT LTD 63.04 63.04
E.ON NEXT LTD 116.19 116.19
ATHENE SYSTEMS LTD 15.54
DAISY 89.34 89.34
TOTAL CHARGES TO 01JAN2025 7.74
Ingleborough Distr Invoices 74 80 79.75 79.75
WATER PLUS FIRST PAYMENT 16.31 16.31
SCOTTISH WATER BUS 32.31 32.31
Ben Bibby 187 435
CASH
Jane Nelson 7.15 7.15
January Expenditure Total 1108.06 7.15 0 79.75 562.88 0
Summary and Bank Reconciliaton Summary and Bank Reconciliaton
orward 19663.36
751.79
1108.06
rward 19307.09
nciliaton
HSBC 9910.37
Skipton BS 9000.00
Cash 396.72
Total 19307.09

Feb-25

Expenditure Account

Description

Amount Weekly Extra Books Utilities Fund Raisi Activities Activities Badges Insurance Expenses

BANK
Twisted Root Woodc INV309 757.66
North Yorkshire Co 490061213 20.00
NFU MUTUAL INS-BC 112.20 112.20
Twisted Root Woodc INV310 2334.61
E.ON NEXT LTD 208.39 208.39
E.ON NEXT LTD 147.23 147.23
Overton Architects 24/25/121 7593.14
ATHENE SYSTEMS LTD 15.54
TOTAL CHARGES TO 01FEB2025 5.00
DAISY 89.34 89.34
WATER PLUS FIRST PAYMENT 35.00 35.00
Ms J C Wilson Leader Shirt 26.00
Ms J C Wilson Scouts 010-1 435.75
February Expenditure Total 11779.86 0.00 0.00 0.00 592.16 0.00
y Summary and Bank Reconciliaton y Summary and Bank Reconciliaton
orward 19307.09
3765.11
11779.86
rward 11292.34
nciliaton
HSBC 2290.62
Skipton BS 9000.00
Cash 1.72
Total 11292.34

Mar-25

Expenditure Account

Descripton Amount Weekly Extra Books Utlites Fund Raisi
Actvites Actvites Badges Insurance Expenses
BANK
Harrison and Cross 11550 30.00
NFU MUTUAL INS-BC 112.20 112.20
E.ON NEXT LTD 102.76 102.76
E.ON NEXT LTD 162.46 162.46
Ingleborough Distr CAPITATION 3712.50
ATHENE SYSTEMS LTD 15.54
TOTAL CHARGES TO 01MAR2025 8.34
DAISY 89.34 89.34
WATER PLUS FIRST PAYMENT 31.29 31.29
I Print Ltd INV-1877 358.32
JD Mounsey Ltd INV 36236 309.60
SCOTTISH WATER BUS 34.64 34.64
CASH
Cherry Flitcrof 50.00
Annete Metcalf 25.80 25.80
Kate Illingworth 7.75 7.75
Kate Illingworth 4.09 4.09
Kate Illingworth 22.98 22.98
Kate Illingworth 25.05 25.05
March Expenditure Total 5102.66 85.67 0.00 0.00 532.69 0.00
ummary and Bank Reconciliaton
orward 11292.34
4577.17
5102.66
rward 10766.85
nciliaton
HSBC 1690.74
Skipton BS 9000.00
Cash 76.11
Total 10766.85

Restricted Funds 23 24

Brought FoIncome Brought FoIncome ExpenditurCarried Forward
Mike Harding Hardship Fund
1158
1158
E Airey Scoutng Actvites
9150.45
665
314
25
470
1474
7676.45
Rotary Scoutng Actvites 500
200
300
500
0 A/c Closed 0 A/c Closed
Paul Cochrane/Lee Building Fund
397.98
Setle folk Group 2514.25
43922 250
3162.23
Kingsley 1000
Garfeld Weston 18000
Giggleswick Hortcultural Soc 200
Co op 2441.15
Foyle Foundaton 8000
NYCC (storage) 2000
31641.15
525
1407
19068
21000
13803.38
Totals 13470.68 32141.15 22974 22637.83
Repairs Sundry **Extension ** Reference
Renewals Work
691.70 7.80 0.00
193.42 45.24 0.00
0.00 305.40 3925.50
0.00 5.80 39219.59
66.00 5.00 18714.00
0.00 5.80 45524.10
88.38 20.43 4984.64
0.00 21.47 38387.86
0.00 22.34 9040.67
435.00 23.28 0.00
435.75 66.54 10685.41
339.60 3736.38 408.32
2250 4265 170890

Repairs Sundry Extension Reference Renewals Work

691.70 24001 24002 7.80 691.70 7.80 0.00

Repairs Sundry Extension Reference
Renewals work
24003
7.50
56.42 24004
31.94 24005
5.80
137 24006
24041
193.42 45.24 0.00
Repairs Sundry Extension Reference
Renewals work
24007
24007
24007
300.00 24008
3925.50 24009
5.40
24010
24011
0 305.4 3925.50
Repairs Sundry Extension Reference
Renewals work
10000.00 24012
5819.60 24012
9500.00 24013
10000.00 24013
1082.70 24013
2100.00 24014

==> picture [196 x 319] intentionally omitted <==

----- Start of picture text -----
24015
5.80
717.29 24016
0.00 5.80 39219.59
----- End of picture text -----

Repairs Sundry Extension Reference Renewals Work

24017
360.00 24018
9000.00 24019
66.00 24020
9354.00 24019
5.00
66.00 5.00 18714.00
Repairs Sundry Extension Reference
Renewals Work
10000.00 24021
9500.00 24021
9000.00 24021
8500.00 24021
3832.46 24021
4691.64 24022

5.80 0.00 5.80 45524.10

Repairs Sundry Extension Reference

Renewals Work
293.00 24023
10.00 24024
10.43
24025
4691.64 24026
24027
88.38 24028
88.38 20.43 4984.64

Repairs Sundry Extension Reference Renewals Work

24029

450.00 24030
3080.40 24031
15.54
6883.46 24032
5.93
9000.00 24032
10000.00 24032
8974.00 24033
24034
24035
0.00 21.47 38387.86
Repairs Sundry Extension Reference
Renewals Work
780.00 24036
3940.67 24037
4320.00 24038
15.54
6.80
24039
24040
0.00 22.34 9040.67
Repairs Sundry Extension Reference
Renewals Work
25001
15.54
7.74
25002
435 25003
25004
435 23.28 0

Repairs Sundry Extension Reference Renewals Work

757.66 25005
20.00 25006
2334.61 25007
7593.14 25008
15.54
5.00
26.00 25009
435.75 25010
435.75 66.54 10685.41
Repairs Sundry Extension Reference
Renewals Work
30.00 25011
3712.50 25012
15.54
8.34
358.32 25013
309.60 25014
50.00 25015
25016
25017
25018
25019
25020
339.60 3736.38 408.32

1st Castleberg (Settle) Scout Group (1086093) Receipts and Payments Account

Year start date Year start date Year end date
30th March
25
For the year
from
1st April 24 To 30th March
25
Receipts and payments
Receipts £
5,473
7,876
959
770
15,078
44,817
44,817
1,202
1,202
2,610
2,610
4,752
4,752
68,459
68,459
Unrestricted
funds
2024/25
£
£
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Restricted
funds
Endowment
funds
Total funds
£
5,473
7,876
-
959
770
15,078
44,817
-
44,817
1,202
-
-
-
1,202
2,610
-
-
2,610
-
4,752
-
-
4,752
68,459
-
68,459
2023/24
Total funds
£
Donations, legacies and similar
income
Membership subscriptions 5,473 6,379
Donations 7,876 20,749
Legacies -
Gift Aid 959 1,136
Other similar income 770 1,060
Sub total 15,078 29,324
Grants
Maintenenace grant 44,817 -
Restricted Funds 23
Sub total 44,817 -
Fundraising events (gross)
Detail 1 1,202 26,038
Detail 2 -
Detail 3 -
Other fundraising activities -
Sub total 1,202 26,038
Scout hut income
Hire of building 2,610 3,406
Hire of equipment -
Other Scout hut income -
Sub total 2,610 3,406
Investment income
Bank interest -
Building Society interest 4,752 2,108
The Scout Association Short Term
Investment Service
-
Other investment income -
Sub total 4,752 2,108
Total Gross Income
Asset and investment sales, etc.
Total receipts
60,876
-
68,459 - 68,459 60,876

1st Castleberg (Settle) Scout Group (1086093) Receipts and Payments Account

Year start date Year start date Year end date
30th March
25
For the year
from
1st April 24 To 30th March
25
Receipts and payments
Payments 2024/25
£
£
63
3,295
13,803
17,161
-
-
-
17,161
-
-
-
17,161
-
- 17,161
-
-
-
-
-
- 17,161
-
Restricted
funds
Endowment
funds
Total funds
£
3,713
843
4,626
884
939
649
2,137
1,532
985
1,264
95
458
170,890
189,015
-
-
-
-
-
189,015
-
189,015
- 120,556
-
131,323
10,767
2023/24
Total funds
£
Charitable Payments
Membership subscriptions paid on
(National/County/Area/District)
3,650 7,926
Youth programme and activities 843 356
Extra Activities eg camping/trips 1,331 2,075
Books, Badges & Neckers 884 1,120
Teleohone 939 834
Council Tax 60
Printing, photocopying& stationery
Water and Sewerage 649 607
Electricity and Gas 2,137 2,460
Insurance 1,532 1,446
Repairs and Renewals 985 2,966
Cleaning 1,264 531
Sundry Expenses 95 178
Fundraising Comittee Expenses 52
Bank Charges & Accountancy 458 103
Extension Works 157,087 21,000
Sub total 171,854 41,714
Fundraising expenses
Detail 1 -
Detail 2 -
Detail 3 -
Restricted Funds 23
Sub total - -
41,714
-
41,714
- 17,161 - 120,556 19,162
- -
- 131,323 112,161
- 17,161 10,767 131,323

1st Castleberg (Settle) Scout Group (1086093) Receipts and Payments Account

astleberg (Settle) Scout Group (1086093)
Receipts and Payments Account
astleberg (Settle) Scout Group (1086093)
Receipts and Payments Account
astleberg (Settle) Scout Group (1086093)
Receipts and Payments Account
astleberg (Settle) Scout Group (1086093)
Receipts and Payments Account
Year start date
Year end date
For the year
from
1st April 24 To 30th March
25
Statement of assets and liabilities Statement of assets and liabilities at the end of the year
£
Cash funds
Bank current account
1,691
Bank deposit account
Building society account
3,524
Unpaid Invoice
Cash/Floats
76
5,291
gree balances with receipts andpayments a/c)
agreement error
Other monetaryassets
Tax claim
Insurance claim
Sub total
-
Investment assets
Investment property - detail
-
Quoted investments
-
Other investments - detail
-
Sub total
-
Badge stock
-
Shop stock
-
Other stock
-
Land and buildings
30,000
Scouting equipment, furniture etc
-
Other
-
Sub total
30,000
Liabilities
Accounts not yet paid
-
Expenses incurred but not invoiced-
Subscriptions not yet paid
-
Other liabilities
-
Sub total
-
Total net assets
35,291
Unrestricted
funds
The Scout Association Short Term
Investment Service
Total cash funds
Debts due from the
County/Area/District/Group
Non monetary assets for
charity's own use
2024/25
£
£
5,476
5,476
-
agreement error
ok
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
5,476
-
Restricted
funds
Endowment
funds
Total funds
£
1,691
9,000
-
76
10,767
ok
-
-
-
-
-
-
-
-
-
-
-
30,000
-
-
30,000
-
-
-
-
-
40,767
2023/24
Total funds
£
3,391
-
127,932
-
-
131,323
-
-
-
-
-
-
-
-
-
-
-
30,000
-
-
30,000
-
-
-
-
-
Total net assets 35,291 5,476 40,767 161,323

The above receipts and payments account and statement of assets and liabilities were approved by the Trustees on 13thJune 2024 (the date of the Trustee Board meeting that approved the accounts) and signed on their behalf Signature Print Name

Chair Treasurer

Independent Examinerf5 Report to the TTU5tees 1$1 Castleb8rg {SetUe) Scout Group I report on Ihe acKounls of 1st Castleberg (Settle} Scout Group for the year ended 31sI March 2025 togelher with Ihe Statement of Assets and Liabilities as at 31$1 March 2025. Respective responsibilities of trustees and examiner The charity's trustees are responsible for the preparalion of ihe accounts. The charity's trustee5 consider Ihal an audil is not required for this year under section 144(2) of Ihe Charities Act 2011 (Ihe 2011 Act). It is our responslblllty to: examine the accounts under section 145 of Ihe 2011 Act; follow the procedures laid down in ihe general Dlrections given by th8 Charity Commission under secllon 145(5llb) of the 2011 Act. and stale whether particular matters have coma to our allen￿on. Basls of Independent examinefs report My examination was carried out in accordance with the general Directions given by th8 Charity Commisslon, An examlnatlon Includes a review of the aGGounling records kepl by the charily and a comparison of tha accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeklng explanallons from you as trustèas concemlng any such matters. The procedures undertaken do not provide all Ihe evidence Ihat would be requlred In an audit and consequenlly no opinlon is given as to whether the accounls present a 'tN8 and fair Vie￿ and the report 15 limited to those matt8rs set out in the slatement bèlow. Independent examlner's statement In conn8cllon wilh my examinalion, no matter has come lo my attention: whl¢h glves me reasonable Cause to believe thal, in any materlal respect, the requlrement5: to keep accounting records in accordance ￿th sectlon 130 of the 2011 Act; and to prepare accounts whlch accord with the accounting records and comply with the accounting requirements of the 2011 Acl have r￿1 been mel; or to whlch, in my opinion, attenlion should be dravm In order to enable a proper understandlng of the accounts to be Teached. ll.of. 202r Mrs Dlane Wello¢k Chartered Accountant Unit 24. Skipton Auction Mart Gargrave Road Skipton North Yorkshire BD23 1UD