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2020-12-31-accounts

LEISURE & AMENITIES FUND

HMS NELSON

ANNUAL REPORT AND FINANCIAL STATEMENTS

For Period

1 January 2020 to 31 December 2020

Registered Charity No. 1128785

Trustees’ Annual Report and Comments

Leisure & Amenities Fund
HMS NELSON
Charity Registered No: 1128785
Covering the Accounting Year: 1 January 2020 to 31 December 2020
Address: Neptune Block
HMS NELSON
HMNB Portsmouth
Portsmouth PO1 3HH
Governing Document: Constitution
Objectives: To promote the military efficiency and well being of Naval and
other Service personnel serving in HMS Nelson and the Naval
Base, including Lodger Units and members of the Portsmouth
Flotilla ashore.
Trustee: Commodore J J Bailey ADC Royal Navy
Trustee selection method: Appointed as such by the Naval Secretary.
Bankers Co-operative Bank
PO Box 250
Delf House
Southway
Skelmersdale WN8 6WT
Independent Examiner: Peter NichollsMBE MAAT
5 Nursery Road
Havant
Hants PO9 3BG
Activities and Achievements The provision of leisure and domestic amenities and support of
social and sporting life within the resources available. Individual
and departmental activities were supported through the sports
budget.
Financial Review: The activities of the fund had been curtailed for much of the year
by the Covid 19 situation. The value of the fund had fallen by
£31.5K There were four main reasons:
An overall fall in the market value of investment of £4K.
A reduction in gainshare income of £10.8K.
The Bike Scheme cost £3.9K.
A reduction in gaming income of £12.5K.
The fund was worth £1.04M of which £848K was held in long
term investments. Property assets, mainly the three narrowboats
and the lodge, had a book value of nearly £120K. The current and
deposit accounts held nearly £97K which easily covered liabilities
of £40K.

Investment Selection Policy. The investments are held by Quilter Cheviot Asset Management for active management. Objective is to grow the capital value of the portfolio as well as generating some degree of income. The attitude to risk will be medium tolerance but can accept moderate variation or disruption to capital value or current income in order to meet the longer term objectives. Financial Reserves Policy: The Trustee has considered the level of reserves to retain, appropriate to the charity’s needs. These are held in the investments with a value of £800K to £875K. This will cover the fund if there is no income in 12 months and will also pay for capital projects. The Trustee aims to ensure that the charity will be able to fulfil its charitable objectives even if there is a temporary shortfall in income and unexpected expenditure. The Trustee will endeavour not to set aside funds unnecessarily. Grant Policy: Makes grants to individuals and ships alongside in Portsmouth. Risk Assessment: The Trustee reviews the major risks to which the charity is exposed, and systems have been established to manage those risks and believes that by maintaining the free reserves stated it will provide sufficient resources in the event of adverse conditions. Public Benefit Statement This fund provides public benefit by assisting Service personnel to more effectively perform their roles within the Armed Forces of the Crown. It does this by providing and supporting additional leisure and social activities beyond that supplied by the Crown. This assistance enables Service personnel to face the challenges and danger associated with military service by developing and maintaining teamwork, spirit and attitude, and morale. As a result, the fund promotes the efficiency of the Armed Forces of the Crown by enhancing the Royal Navy’s and Royal Marines’ capability to undertake the roles demanded of it including the defence of the United Kingdom and its interests.

I confirm that have paid due regard to the Charity Commission of England and Wales’s guidance on public benefit when deciding what activities the charity should undertake.

Declaration:

I declare, in my capacity of Charity Trustee, that I have approved the above report.

Signature Signed on Original Name Commodore J J Bailey ADC Royal Navy. Appointment Naval Base Commander and sole Managing Trustee Date 17 March 2021.

Independent Examiner’s Report to the Trustee of the HMS Nelson Leisure and Amenities Fund.

I report on the accounts of the Charity for the year ended 31 December 2020 which are set out in pages 1 to 7 and accompanying notes.

Respective responsibilities of trustees and examiner

The charity’s trustee is responsible for the preparation of the accounts. The charity’s trustee considers that an audit is not required for this year under section 144(2) of the Charities Act 2011 (The Charities Act) and that an independent examination is needed.

It is my responsibility to:

Basis of independent examiner’s report

My examination was carried out in accordance with the general Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from you as trustee for any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a ‘true and fair view’ and the report is limited to those matters set out in the statement below.

Independent examiner’s statement

In connection with my examination, no material matters have come to my attention which gives me cause to believe that in any material respect:

I 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 on Original

P A Nicholls MBE MAAT 5 Nursery Road Havant Hants PO9 3BG

17 March 2021

HMS NELSON LEISURE & AMENITIES FUND

Registered Charity No 1128785

BALANCE SHEET

31 December 2020

ASSETS

Fixed Assets
Note
Tangible Assets
Property
7
Investments
Quilter Cheviot Investments
2
CCLA COIF Fixed Interest Account
National Savings Investment Bonds
Current Assets
Miscellaneous Debtors
8
Prepayments
8A
Cash & Floats
Current Accounts
Charities Deposit Account
Total Current Assets
LIABILITIES
Miscellaneous Creditors
9
Holding Funds
9A
VAT
Total Current Liabilities
Net Current Assets
Net Assets
Represented by:
General Purpose Fund
Designated Funds:
Refurbishment/Replacement Funds:
Narrowboat EMMA V
Narrowboat ANDREW II
Narrowboat TRAFALGAR
Office Equipment
119,554.94
£
677,473.00
£
135,640.95
£
35,000.00
£
139,078.76
£
685,874.00
£
131,288.27
£
35,000.00
£
967,668.89
£
991,241.03
£
8,933.00
£
9,588.00
£
6,558.40
£
18,975.38
£
71,179.86
£
115,234.64
£
5,556.83
£
28,170.50
£
860.50
£
34,587.83
£
72,463.25
£
80,646.81
£
1,040,132.14
£
1,071,887.84
£
780,041.14
£
834,588.84
£
103,531.00
£
68,668.00
£
61,600.00
£
3,500.00
£
260,091.00
£
237,299.00
£
1,040,132.14
£
1,071,887.84
£
31-Dec-19
139,078.76
£
685,874.00
£
131,288.27
£
35,000.00
£
967,668.89
£
991,241.03
£
8,933.00
£
9,588.00
£
6,558.40
£
18,975.38
£
71,179.86
£
115,234.64
£
5,556.83
£
28,170.50
£
860.50
£
34,587.83
£
72,463.25
£
80,646.81
£
1,040,132.14
£
1,071,887.84
£
780,041.14
£
834,588.84
£
103,531.00
£
68,668.00
£
61,600.00
£
3,500.00
£
260,091.00
£
237,299.00
£
1,040,132.14
£
1,071,887.84
£
31-Dec-19
6,145.50
£
9,299.00
£
777.74
£
21,231.99
£
75,580.07
£
113,034.30
£
5,575.73
£
37,876.39
£
(2,881.07)
£
40,571.05
£
111,837.00
£
74,354.00
£
70,400.00
£
3,500.00
£
1,071,887.84
£
834,588.84
£
237,299.00
£
1,071,887.84
£

Signed on Original

Approved on 17 March 2021

Commodore J J Bailley ADC Royal Navy Sole Managing Trustee

1

NEL-LAFDec20BZBALANCE SHEET

HMS NELSON LEISURE & AMENITIES FUND

STATEMENT OF FINANCIAL ACTIVITIES

For the year ended 31 December 2020

Notes
Income from:
Donations & Grants
Charitable Activities
Other Trading Activities
Investment Income
Total Income
3
Expenditure on:
Raising Funds
Charitable Activities
Total expenditure
4
Net Incoming/(Outgoing) resources
Previous Year Adjustments
Increase/(Decrease) in Value - Investments
Net Movement in Funds
Total Funds brought forward
Net Movement of funds
Net Assets
£
£
£
£

2

NEL-LAFDec20BZSOFA Sum

HMS NELSON LEISURE & AMENITIES FUND

Notes to the Financial Statements dated 31 Dec 20

Note 1 - Accounting policies

a. The financial statements are prepared under the historic cost convention (as modified by the revaluation of fixed asset investments) and in accordance with applicable accounting standards: Charities Statement of Recommended Practice (FRS 102) effective 2019 and the provisions of the Charities Act 2011. Significant policies adopted are:

Incoming resources

Expenditure and liabilities

a. Liabilities are recognised as soon as there is a legal or constructive obligation committing the LAF to the expenditure.

b. Administration costs are not apportioned as the tasks are wide ranging in support of leisure and amenities and include the maintenance of the Central Fund and Trophy Fund.

Assets

a. Tangible fixed assets are capitalised if they can be used for more than one year and cost at least £500. They are valued at cost or a reasonable value on receipt. The LAF does not have a policy of revaluation. Depreciation is monthly, straight line and over the estimated life of the item.

Note 2 - Investments

Quilter Cheviott Managed
Market Value at beginning of year
685,874.00
£
Gains/(loss) on Revaluation
(8,401.00)
£
Market value at end of year
677,473.00
£
Fixed Interest
Totals
131,288.27
£
817,162.27
£
4,352.68
£
(4,048.32)
£
135,640.95
£
813,113.95
£

(Purchase price 1997 - Equities & Bonds) £ 424,844.71 (Purchase price 2011 - Fixed Interest) £ 120,000.00

3

NEL-LAFDec20BZNotes

HMS NELSON LEISURE & AMENITIES FUND

Note 3 - Income
Donations & Grants
Mess Sports Contributions
Other Grants/Donations
Gainshare
Charitable Activities
Narrowboats
Laundry
Jetwash
Lodge
Family Flats
AT Equipment
Cleaning Machines
Misc Income
Other Trading Activities
Gaming & Amusement Machines
Sports User Passes
Investment Income:
Fixed Interest Deposit
Equity & Bond Income
NSIB Income
Charities Deposit A/C
Total Income
6,600.00
£
6,600.00
£
-
£
32,000.00
£
17,937.50
£
28,700.00
£
24,537.50
£
67,300.00
£
24,292.42
£
52,760.78
£
3,093.68
£
5,633.45
£
3,103.08
£
5,359.64
£
6,194.80
£
15,614.18
£
2,629.41
£
4,206.26
£
209.52
£
-
£
283.25
£
-
£
184.77
£
239.83
£
39,990.93
£
83,814.14
£
1,423.02
£
13,863.32
£
4,052.50
£
7,037.50
£
5,475.52
£
20,900.82
£
4,247.44
£
4,247.44
£
17,643.86
£
19,979.86
£
391.61
£
402.53
£
152.77
£
640.91
£
22,435.68
£
25,270.74
£
92,439.63
£
197,285.70
£
2020
2019

4

NEL-LAFDec20BZSOFAI

Note 4 - Expenditure
Raising Funds
Sports User Pass Insurance
Charitable Activities
Operating Costs
Narrowboats
18,880.15
£
Narrowboat Depreciation
10,238.28
£
Lodge
8,170.05
£
Lodge Depreciation
8,000.00
£
Family Flats
491.42
£
Family Flat Phase II Build
-
£
Jetwash Nelson
1,496.21
£
LAF Van
2,625.38
£
TV Hire, Repairs etc
3,527.43
£
Sports
5,638.75
£
Christmas Extras
2,439.10
£
Families Day/Halloween
976.07
£
Covid Food
1,424.85
£
JR Mess Refurbishment
1,397.51
£
Wardroom Grants
-
£
Loan Bike Scheme - Maintenance
3,916.80
£
Minor Grants Paid
2,452.32
£
Insurance & Trophy Hire
1,375.60
£
Governance Costs
Examination of Accounts
1,927.00
£
HR Advice
610.00
£
Support Costs
Salaries & Nl & Pensions
38,330.26
£
Office Expenses
4,051.70
£
Misc Expenses
602.77
£
Minor Depreciation
1,285.54
£
Total resources expended
Note 4A - Major Grants - Above £1000
Junior Ratings Mess
1,397.51)
18,880.15
£
10,238.28
£
8,170.05
£
8,000.00
£
491.42
£
-
£
1,496.21
£
2,625.38
£
3,527.43
£
5,638.75
£
2,439.10
£
976.07
£
1,424.85
£
1,397.51
£
-
£
3,916.80
£
2,452.32
£
1,375.60
£
1,927.00
£
610.00
£
38,330.26
£
4,051.70
£
602.77
£
1,285.54
£
59.99
£
1,452.69
£
48,465.29
£
8,696.34
£
11,369.38
£
11,933.24
£
791.07
£
13,745.00
£
2,984.66
£
1,153.52
£
5,705.82
£
9,625.96
£
3,511.54
£
22,551.88
£
-
£
5,000.00
£
4,083.98
£
2,760.00
£
8,041.19
£
1,392.70
£
2,316.00
£
-
£
45,547.02
£
4,317.80
£
-
£
119,857.19
£
213,992.39
£
119,917.18
£
215,445.08
£
2020
2019

5

Note 5 - Paid Employees

Previous Year Previous Year
a. Gross Wages and salaries: £ 34,683
£ 41,232
Employers National Insurance: £ 727
£ 593
Pension (Money purchase scheme) Contributions: £ 2,920
£ 3,722

Note 6 -Trusteees and Other Related Parties

b. There are no amounts due to or from the sole Managing Trustee

c. The sole Managing Trustee is also the sole Managing Trustee of the Wardroom HMS Nelson and the WO & SR Mess HMS Nelson. These funds pay sums to the LAF as sport contributions. In addition the messes occasionally bid for grants from the LAF.

Note 7 - Tangible Fixed Assets - Property Account

Total value at 1 Jan 20
Depreciation
Property Value at 31 Dec 20
Narrowboats
84,858.13
£
£
(10,238.28)
£
£
Lodge
52,199.98

(8,000.00)
Sports/Other
Total
2,020.65
£
139,078.76
£
(1,285.54)
£
(19,523.82)
£
74,619.85
£
£
44,199.98 735.11
£
119,554.94
£

Note 8 - Miscellaneous Debtors (all falling due within one year)

Gainshare Oct-Dec
JR Bar Loan
Canal Trust Credit
3,587.50
£
1,000.00
£
1,558.00
£
6,145.50
£

Note 8A - Prepayments

Road Tax
Narrowboat Licences
Narrowboat Mooring Fees
Lodge Site Fees
Sage Cover
Insurances
221.00
£
1,167.00
£
3,795.00
£
2,502.00
£
93.00
£
1,521.00
£
9,299.00
£

Note 9 - Miscellaneous Creditors (All falling due within one year)

Lodge prepaid
Narrowboat Deposits & Prepaid
Pensions
GM Rent
Jetwash
PNIE
679.00
£
3,270.83
£
220.62
£
812.28
£
200.00
£
393.00
£
5,575.73
£

6

NEL-LAFDec20BZNotes2

Note 9A - Temporary Holding Funds

JR Mess
Boxing Event
Christmas Cards
Covid RBL
Twickenham
Nelson Angling Club
Southdowns Trek
Engineers Golf
F&G Officers Dinner
SM Dinner Fund
Naval Servicewomen's Network
Medical Centre
Kings Camp
PorFlot
Holding Fund (Non LAF Grants)
268.11
£
216.94
£
67.50
£
2,306.86
£
9.05
£
412.10
£
611.24
£
2.12
£
3,977.76
£
1,204.51
£
113.96
£
1,187.18
£
232.60
£
150.00
£
27,116.46
£
37,876.39
£

Note 10 - Endowment or Restricted Income Funds

None held

Note 11 - Other Information

Declarations

Refurbishment/Replacement Funds: Funds:
Narrowboat EMMA V £ 111,837.00
Narrowboat ANDREW II £ 74,354.00
Narrowboat TRAFALGAR £ 70,400.00
Office Equipment £ 3,500.00
£ 260,091.00

7

NEL-LAFDec20BZNotes3

PN INDEPENDENT EXAMINATIONS

5 Nursery Road Havant Hants PO9 3BG

 07801 064450

Naval Base Commander HM Naval Base Portsmouth 3 Feb 21

HMS NELSON LEISURE & AMENITIES FUND – ANNUAL EXAMINATION OF ACCOUNTS – 31 DEC 20

  1. The examination of HMS Nelson’s Leisure and Amenities Fund for the year ending 31 Dec 20 has been completed satisfactorily. The annual accounts and a draft Trustee’s Annual Report (TAR) are enclosed. After approval the online annual report to the Charity Commission should be completed including uploading PDF versions of these accounts and the TAR.

  2. Investments The Quilter Cheviott investments had recovered much of the losses seen in Mar, although not quite back to the level seen at the post-election peak of the market seen in Dec 19. The net loss was £8.4K equivalent to a fall of 1.2% over the year. In contrast the Fixed Interest bonds gained £4.4K (3.3%).

3. Income

4.

Trading Areas

document2576109532242799975.doc

5. Expenditure:

Summary

  1. The activities of the fund had been curtailed for much of the year by the Covid 19 situation. The value of the fund had fallen by £31.5K There were four main reasons:

  2. An overall fall in the market value of investment of £4K.

  3. A reduction in gainshare income of £10.8K.

  4. The Bike Scheme cost £3.9K.

  5. A reduction in gaming income of £12.5K.

  6. The fund was worth £1.04M of which £848K was held in long term investments. Property assets, mainly the three narrowboats and the lodge, had a book value of nearly £120K. The current and deposit accounts held nearly £97K which easily covered liabilities of £40K.

document2576109532242799975.doc

P A Nicholls PN Independent Examinations

document2576109532242799975.doc