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2022-03-31-accounts

DocuSign Envelope ID: 1DA87689-A365-47F3-8592-F698AF5874FF

REPORT OF THE TREASURER FOR THE FINANCIAL YEAR 1[ST] APRIL 2021 TO 31[ST] MARCH 2022

The club’s financial records have been prepared by me and independently examined and assessed by Festus Makinde.

The following report is based on the prepared accounts.

Financial Highlights/History:

Financial Highlights 2021-2022 2020/2021 2019/2020 2018/19 2017/18 2016/17 2015/16
Fee income (Squads/LTS/Mem
Fees)
104,453 62208 129147 129,626 139,927 142,476 143,425
Other Income 38,100 62879 94344 86,007 85,694 67,098 40,875
Total Income 142,553 125087 223491 215,633 225,621 209,574 184,300
Pool Hire 59,902 22702 88449 86,532 77,798 77,076 83,000
Staffing Costs (Inc Expenses) 67,367 59591 30953 96,100 106,567 88,894 82,075
Other Expenses 6,076 1345 50323 44,822 65,647 64,258 35,206
Total Expenditure 133,345 83638 169725 227,454 250,012 230,228 200,281
Profit / (Deficit) for year 9,028 41449 53766 (11,818) (24,390) (20,812) (15,981)
Net Assets 75,958 66750 25406 (28792) (16,974) 7,416 28,228

2021/22 Overview

2021/22 has been again a very difficult year for the club due to Covid pandemic. As a result of the Lockdowns, we had in the country, the swimming was suspended for few months. Income from swim fees was reduced to 50%, for the first month of the financial year , as pools were closed and the swimmers had to work out from home. Pool hire cost was significantly increased as RTSC started swimming sessions from May 2021 . Staffing cost increased as we went back to swimming, and we started to pay full wages to coaches. We have been successful in claiming additional grants which are to secure the clubs future.

A conscience effort has been made to stabilise the club this year and this has been demonstrated in a slight profit in comparison to previous years. We have managed to pay for the expenses and all the grants and fundraising money raised are kept in the club’s reserve is available for a “rainy day” if required.

We have been extremely fortunate with our additional income which was due to an exerted effort from very dedicated volunteers again this year via fundraising (Jack Petchy, Charities trust, lottery, Pro Swimwear, Swimzi, etc.) and focus on having a stronger presence for the LTS members, all of which have been instrumental in ensuring that most of our liabilities have been met. A consolidation of use of pool times and smart pool hire decisions have once again assisted in keeping costs down.

The Executive committee members have identified ongoing concerns which they continue to address, these being:

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Despite the improved financial results for last year, and our struggle to secure pool times, and retaining members, we are starting to see the improvements and look forward to a growing strength in the club with the great dedication, efforts and determination of our volunteers, staff and swimmers (and their families).

Squad Members/LTS Swimmers

The following table illustrates the average numbers of Squad Members and LTS Swimmers involved during 2021/22 with a comparison to previous years.

Squad Numbers (avg/approx) 2021/22 2020/21 2019/20 2018/19 2017/18 2016/17 2015/16 2014/15 2013/14
A Squad 20 17 16 23 22 20 22 25 29
B Squad 25 15 22 23 23 20 23 26 29
C Squad 17 29 21 26 23 21 27 23 19
D Squad 8 8 19 23 25 15 30 30 31
Masters 6 14 20 29 25 34 35 35
Total Members 70 92 115 122 101 137 139 143
LTS 150 127 88 195 225 233 288 334 379
Total Club 220 202 180 310 347 334 424 473 522

The numbers in squads remain constant however at lower levels. We have improved our development pathway to D squad through learn to swim and our LTS members have increased.

Income

Fee income remains the club’s main source of income and can be split as follows:

Fee Income 2021/22 2020/21 2019/20 2018/19 2017/18 2016/17 2015/16 2014/15 2013/14
Squad Fees (A-D) 43593 27414 57,113 53,820 55,129 53,837 55,164 54,423 55,093
LTS 37,761 5632 34,332 48,401 49,958 52,852 57,520 66,781 82,188
Masters 3654 8,522 5,529 12,864 12,715 13,030 13,568 12,620
Active Membership Fee 23,098 25508 29180 21,875 16,490 20,950 17,711 18,000 18,280
Total Fee Income **104452 ** 62208 129147 129,626 139,927 **140,354 ** 143,425 152,772 **168,181 **

The income from squad fees is higher than last year ,as swimmers returned to swimming after Lockdown ,and the full fees were paid . LTS fees are significantly higher as we started to offer lessons again. This has been achieved by our membership secretary putting in place more structure to enrolment and a better communication between members.

Other income was positively impacted by government grants and fundraising.

Continued efforts to manage the swim kit shop, and setting up fundraising links and events has contributed massively to extra income, and we as a club are becoming more reliant on this. Many thanks to those involved, as these contributions really help and ensure the continuation of the Club.

Expenditure

Around 80% of all our costs continue to be Staffing and Pool Hire costs. Staffing costs have stabilised. Staffing and pool hire are always going to be a necessary and therefore efforts to generate any additional income must be addressed to return to a healthy financial situation. These being populating LTS and squads where able, to its full capacity. Ensuring Squad fees are paid promptly and at the correct rates.

Conclusion

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In summary, 2021/22 was another unprecedented year.. We have kept our head above water, but this is not sustainable for the long term. We managed to save in reserve nearly 42K.

LTS payments in has been more structured and professional. Memberships have been easier to identify and ensure payments but the intention for more Open Galas in the future will make a great difference to our bottom line, as will chasing more vehemently for fees not paid and lost through the cracks. Continual focus and assessment of the club will ensure our focuses will be where they need to be.

With energetic and enthusiastic members, I hope the financial security and the smooth running of the club can be preserved, but this can only be done with the support of the staff, volunteers, parents, swimmers, helpers ets , Their commitment helps keep running costs generally lower than they otherwise would have been and this is very much appreciated. Correct and timely payment of fees etc, will help minimise workloads and will assist in cashflow. We would urge any parents interested in helping to speak to a committee member, there are many areas in which you could assist… you would be surprised.

I look forward to reporting more positively for the coming years and hope that we have your support in doing this

Zoya Dreleva

Treasurer – RTSC

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ROMFORD TOWN SWIMMING CLUB

INDEPENDENT ASSESSORS’ COMMENTS

FOR THE YEAR ENDED 31[ST] MARCH 2022

I have reviewed, without carrying out an audit the financial statements set out on pages 1 and 2 from the accounting records of the Club and from the explanations given to me by the Club’s Officers.

In my opinion the financial statements have been properly prepared from the accounting records kept by the Club and accurately reflect the state for the Club’s affairs at the 31[st] March 2022 and of the excess of income over expenditure for the year then ended.

Festus Makinde

37 Fuchsia Close, Rush Green Romford RM7 0YZ

These accounts were approved by the Management Committee on:

Laura Scannell-Wood – Chairman Zoya Dreleva – Treasurer

Docusign En¥ÈlopÈ ID". 1DA87689-A36547F3-8592-F698AF5874FF

DocuSign Envelope ID: 1DA87689-A365-47F3-8592-F698AF5874FF

Romford Town Swimming Club

Profit and Loss

April 2021 - March 2022

TOTAL
Income
Fees
Active Membership Fee 16,262.60
Annual RTSC Registration Fee 6,835.50
ASA Annual Subs -3,833.50
LTS Income 37,761.46
Masters Fees -71.50
Squad Fees
A Squad 15,168.00
B Squad 15,723.00
C Squad 10,015.00
D Squad 6,286.15
X Squad 306.00
Total Squad Fees 47,498.15
Total Fees 104,452.71
Open Meets / Galas - Income 6,633.80
Swimmers Entry Fees (to RTSC) -6,091.69
Total Open Meets / Galas - Income 542.11
RTSC Own Gala - Net Income 19,990.18
Services -769.50
Shop Sales 257.00
Sponsorship Donations Fundrais
Fundraising 1,306.15
Grants 2,500.00
Jack Petchey Award 1,700.00
Total Sponsorship Donations Fundrais 5,506.15
Uncategorised Income -51.65
Total Income £129,927.00
GROSS PROFIT £129,927.00
Expenses
Dues and Subscriptions
ASA & Regional Fees 236.10
Other Dues & Subscriptions 451.20
Total Dues and Subscriptions 687.30
Insurance 985.32
Miscellaneous Expenses 2,900.76
Entertainment 272.25
Software Expense 81.60
Total Miscellaneous Expenses 3,254.61
Open Meets / Galas - Expenses -85.00
Coach Hire 1,045.00
Total Open Meets / Galas - Expenses 960.00

Accrual Basis Sunday, 30 October 2022 01:54 pm GMT+00:00

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DocuSign Envelope ID: 1DA87689-A365-47F3-8592-F698AF5874FF

Romford Town Swimming Club

Profit and Loss

April 2021 - March 2022

TOTAL
Payroll Expenses
Pension 859.55
Taxes 0.00
Wages 55,931.24
Total Payroll Expenses 56,790.79
Pool Hire 27,074.40
Abbs Cross 22,521.20
Central Park 4,836.00
Sapphire Ice & Leisure 5,470.00
Total Pool Hire 59,901.60
Shop Purchases 189.36
Staffing Costs 25.00
Coaches Expenses 3,204.70
Lane Coaching 7,346.40
Total Staffing Costs 10,576.10
Total Expenses £133,345.08
NET OPERATING INCOME £ -3,418.08
Other Income
Interest Income 11.28
Other Income 12,614.71
Total Other Income £12,625.99
NET OTHER INCOME £12,625.99
NET INCOME £9,207.91

Accrual Basis Sunday, 30 October 2022 01:54 pm GMT+00:00

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DocuSign Envelope ID: 1DA87689-A365-47F3-8592-F698AF5874FF

Romford Town Swimming Club

Balance Sheet

As of March 31, 2022

TOTAL
Fixed Asset
Total Fixed Asset
Cash at bank and in hand
Deposit - 30 Day Account 42,304.33
LTS Current Account 10,504.06
Main Current Account 8,350.85
Open Meet Cash Float 200.00
Petty Cash 0.00
Total Cash at bank and in hand £61,359.24
Debtors
Accounts Receivable 15,414.95
Total Debtors £15,414.95
Current Assets
Undeposited Funds 40.00
Total Current Assets £40.00
NET CURRENT ASSETS £76,814.19
Creditors: amounts falling due within one year
Trade Creditors
Accounts Payable 1,255.00
Total Trade Creditors £1,255.00
Current Liabilities
Payroll Liabilities 0.00
HMRC -290.12
Pension -108.42
Total Payroll Liabilities -398.54
VAT Control 0.00
Total Current Liabilities £ -398.54
Total Creditors: amounts falling due within one year £856.46
NET CURRENT ASSETS (LIABILITIES) £75,957.73
TOTAL ASSETS LESS CURRENT LIABILITIES £75,957.73
TOTAL NET ASSETS (LIABILITIES) £75,957.73
Capital and Reserves
Opening Bal Equity 102,955.32
Retained Earnings -36,205.50
Profit for the year 9,207.91
Total Capital and Reserves £75,957.73

Sunday, 30 October 2022 01:58 pm GMT+00:00

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