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2024-12-31-accounts

THE CENTRAL AMENITIES FUND

HMS DRAKE

ANNUAL REPORT AND FINANCIAL STATEMENTS

For Period

1 January 2024 to 31 December 2024

Registered Charity No. 1129024

Trustees’ Annual Report and Comments

Central Amenities Fund
HMS DRAKE
Charity Registered No: 1129024
Covering the Accounting Year: 1 January 2024 to 31 December 2024
Address: HMS DRAKE
Devonport
Plymouth PL2 2BG
Governing Document: Constitution
Object:
Promotion of the Military Efficiency and Operational
Effectiveness of the Armed Forces by the provision of
amenities to Service personnel serving in the
Naval Base Devonport.
Trustee: Brigadier M J Tanner OBE ADC RM
Trustee Selection Method: Appointed as such by the Naval Secretary.
Bankers: Lloyds Banking Group
Royal Parade
Plymouth
Independent Examiner: M L ButcherFMAAT
5 Nursery Road
Havant
Hants PO9 3BG
Activities and Achievements: To have resources available for expenditure on
improvements to the quality of life and the engenderment of
espirit de corps. The fund continued to support sporting and
leisure activities and acted as a central bank for a variety of
funds.
Financial Review: The fund had gained £33.6K on its operating activities. The
main reasons for this were the unexpected income received
totalling £11.1K together with better than expected income
streams totalling £118.5K which exceeded expenditure of
£105.4K. The investments had gained £96.1K before then
deducting the £9K management fees.
The fund was worth £2.3M, of which £2M was held in
investments and £70K in property. The deposit accounts
totalling £408.4K easily exceeded the £215.4K liabilities to
other funds and creditors.

Investment Selection Policy: Investments are spread over 50 - 60 bonds and equities and are actively managed by Rathbones.

Financial Reserves Policy:

The Trustee has considered the level of reserves to retain, appropriate to the charity’s needs. These are set at £1.5M to £2M and are held in investments. These provide the income stream to cover salary and other overhead costs. 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: Grants are paid for capital projects to enhance amenities and grants are paid to individuals and groups to support sporting activities. 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 would provide sufficient resources in the event of adverse conditions. Public Benefit Statement: This fund provides public benefit by assisting Service personnel to perform their roles more effectively within the Armed Forces of the Crown. It does this by providing and supporting leisure and sporting amenities. 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.

Grants are paid for capital projects to enhance amenities and grants are paid to individuals and groups to support sporting activities. 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 would provide sufficient resources in the event of adverse conditions.

I confirm that I 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 Brigadier M J Tanner OBE ADC Royal Marines Appointment Naval Base Commander and Sole Managing Trustee Date 14 February 2025

HMS DRAKE CENTRAL AMENITIES FUND

BALANCE SHEET

31-Dec-24

Fixed Assets
Note
Property
7
Investments
2
Total Fixed Assets
Current Assets
Debtors & Prepayments
8
Deposit Accounts
Bank Accounts
Cash
Current Liabilities
Creditors
9
Approved Funds
10
Service Funds
11
Grant Authorities - Yacht
12
Net Current Assets
Total Net Assets
31-Dec-23
70,000.00
£
22,000.00
£
1,996,324.14
£
1,909,187.15
£
2,066,324.14
£
1,931,187.15
£
35,272.57
£
14,490.76
£
408,395.78
£
396,077.50
£
5,001.00
£
5,001.00
£
3,935.86
£
1,948.73
£
452,605.21
£
417,517.99
£
9,924.69
£
5,110.00
£
77,594.34
£
71,146.36
£
85,546.87
£
98,021.62
£
42,500.00
£
700.00
£
215,565.90
£
174,977.98
£
237,039.31
£
242,540.01
£
2,303,363.45
£
2,173,727.16
£

Approved on 14 February 2025

Signed On Original

Brigadier M J Tanner OBE ADC Royal Marines Sole Managing Trustee

1

DCAF-Dec24BSZ.xlsBALANCE SHEET

HMS DRAKE CENTRAL AMENITIES FUND

STATEMENT OF FINANCIAL ACTIVITIES

2024 2023
Income Note
Donations & Grants £ 22,605.14
£ 25,312.39
Charitable Activities £ 20,488.92
£ 29,430.74
Activities for Generating Funds £ 17,734.99
£ 13,421.78
Investment Income £ 78,220.16
£ 65,261.84
Total Income 3 £ 139,049.21
£ 133,426.75
Expenditure
Raising Funds £ 8,998.06
£ 8,133.25
Charitable Activities £ 96,549.91
£ 140,560.82
Total Expenditure 4 £ 105,547.97
£ 148,694.07
Net Income (Expenditure) £ 33,501.24
£ (15,267.32)
Plus Investments Revalued £ 96,135.05
£ 69,346.86
Net Movement in Funds £ 129,636.29
£ 54,079.54
Total Funds Brought Forward 1 Jan 24 £ 2,173,727.16
£ 2,119,647.62
Net Movement of Funds £ 129,636.29
£ 54,079.54
Total Funds Carried Forward 31 Dec 24 £ 2,303,363.45
£ 2,173,727.16

2

DCAF-Dec24BSZ.xlsSOFA SUM

HMS DRAKE CENTRAL AMENITIES FUND

Notes to the Accounts dated 31 Dec 2024

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 effective 2019 and the provisions of the Charities Acts. Significant policies adopted are:

Income

Expenditure and Liabilities

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

b. Administration costs are incurred by the CAF Manager. These costs are not apportioned as the tasks are wide ranging in support of leisure and amenities and include the maintenance of the Central Bank facility for other funds.

Assets

a. Tangible fixed assets are capitalised if they can be used for more than one year and cost at least £50. They are valued at cost or a reasonable value on receipt. The CAF does not have a policy of revaluation. Depreciation is annual, straight line and over the estimated life of the item.

b. Investments on a recognised stock exchange are valued at market value at the date of the Balance Sheet or at best estimate of market value.

Note 2 - Investments

Market Value at Beginning of Year
Gain on Revaluation at Year End
Management Fees & Other Charges
Market Value at Year End
1,909,187.15
£
96,135.05
£
(8,998.06)
£
1,996,324.14
£

3

DCAF-Dec24BSZ.xlsNotes 1

Note 3 - Income

Note 3 - Income
Voluntary Income
Donations
110.00
£
Bar Gainshare
17,495.14
£
Mess Contributions
5,000.00
£
Charitable Activities
Caravan Hire
8,619.97
£
Yacht Charters
280.00
£
Yacht Sale
8,780.00
£
Closed Funds
2,177.90
£
Pool Table/Juke Box
631.05
£
Activities for Generating Funds
Health & Leisure Suite
Investments
Dividends
69,719.83
£
Deposit Interest
8,500.33
£
Total Income
Note 4 - Expenditure
Fund Raising
Rathbone Fees
Charitable Activities
Operating Costs
Sports Fund
12,316.67
£
Grants
19,993.42
£
Insurance
274.84
£
Trophy Hire
40.97
£
TV
9,157.66
£
Caravan
9,138.26
£
Caravan Depreciation
3,000.00
£
Yacht
7,152.60
£
Pool Table/Juke Box
1,754.59
£
Repairs & Renewals
-
£
Governance
Examination and Accounts
990.00
£
Support
Salaries
28,877.66
£
Pensions
2,528.28
£
Office Costs
947.95
£
Bank Charges
147.01
£
Misc Expenses
230.00
£
Total Expenditure
Note 4A - Major Grants (£1000 and above)
China Fleet Club Corporate Membership
WO&SRs Mess - Livers In Christmas Lunch
JRs' Bar
JRs' Mess - Christmas Lunch
110.00
£
17,495.14
£
5,000.00
£
22,605.14
£
20,488.92
£
17,734.99
£
78,220.16
£
139,049.21
£
8,998.06
£
4A
96,549.91
£
105,547.97
£
3,468.00
£
1,500.00
£
1,225.00
£
1,181.12
£
7,374.12
£
2024
2024
-
£
20,291.68
£
5,020.71
£
25,312.39
£
7,058.30
£
19,761.40
£
-
£
1,891.12
£
719.92
£
29,430.74
£
13,421.78
£
57,381.24
£
7,880.60
£
65,261.84
£
133,426.75
£
8,133.25
£
20,408.07
£
28,976.10
£
343.90
£
476.13
£
7,494.00
£
7,611.50
£
3,000.00
£
33,882.15
£
1,411.06
£
843.98
£
1,150.00
£
30,998.82
£
3,165.66
£
695.99
£
98.00
£
5.46
£
140,560.82
£
148,694.07
£
2023
2023
8,619.97
£
280.00
£
8,780.00
£
2,177.90
£
631.05
£
69,719.83
£
8,500.33
£
12,316.67
£
19,993.42
£
274.84
£
40.97
£
9,157.66
£
9,138.26
£
3,000.00
£
7,152.60
£
1,754.59
£
-
£
990.00
£
28,877.66
£
2,528.28
£
947.95
£
147.01
£
230.00
£
4A
148,694.07
£

4

DCAF-Dec24BSZ.xlsI&E

Note 5 - Paid Employees 2024

Previous Year Previous Year
a. Wages/Salaries: £ 26,094
£ 30,998
Employers National Insurance: Nil Nil
Pension £ 2,528
£ 3,538

Note 6 - Trustees and Other Related Parties

Note 7 - Fixed Assets - Fixtures, Fittings and Equipment

Caravan
Total Value at 1 Jan 24
Less Depreciation
Value at 31 Dec 24
Yacht-Ocean Dragon 2
Total Value at 1 Jan 24
Sale of Ocean Dragon Sep 24
Purchase of Ocean Dragon 2 Sep 24
Value at 31 Dec 24
- Debtors and Prepayments
Gainshare Oct - Dec 24
Yacht
Accrued Deposit Interest
Caravan Ground Rent 25 Prepaid
Yacht Insurance Prepaid
21,000.00
£
(3,000.00)
£
18,000.00
£
1,000.00
£
(1,000.00)
£
52,000.00
£
52,000.00
£
4,442.60
£
21,500.00
£
553.67
£
8,294.30
£
482.00
£
35,272.57
£

Note 8 - Debtors and Prepayments

Note 9 - Creditors (payable in less than one year)

PNIE - Accounts Examination
Pension - Dec 24
Rathbones Management Fee
Holding Fund - Pet Deposits
Holding Fund - Other Donors
990.00
£
130.32
£
2,280.00
£
900.00
£
5,624.37
£
9,924.69
£

5

DCAF-Dec24BSZ.xlsNotes 2

Note 10 - Approved Funds

47 Cdo Boxing Fund
47 Cdo HQ Fund
47 Cdo Prize Fund
47 Cdo Sports
CC&S Derriford
Chaplaincy
Field Gun
SURFLOT Sports Grassroots
Drake Sports Grassroots
FOST Social
HMS Argyll/HMS Iron Duke
HMS Westminster
Junior Ratings' Fund
Joint Hospital Group (SW)
PSGWIS
QARNNS
RN Aid Fund
DCMH Plymouth
Commonwealth Troops Fund
NBCD RN & CS Events
RNR Engineering
RN Logs Open Golf
WR Golf Association
SW Logs Dinner
SW ARO Grant
Note 11 - Service Funds (using CAF as their bank)
47 Cdo General Purpose Fund
47 Cdo Gig Club
South West Armed Forces Sea Angling Club
Drake Car Club
Hasler Company
Museum Manager's Fund
RN Health Centre - Purple Fund
NSFPS (W) Fund
Volunteer Band
Western Region Sports Fund
Note 12 - RNRMC
Grant Authorities Interest in Yacht.
RNRMC and Sports Lottery
261.89
£
3,568.98
£
2,097.71
£
803.25
£
674.32
£
2,388.78
£
322.01
£
114.88
£
287.53
£
1,368.02
£
4,477.43
£
583.66
£
967.66
£
1,464.02
£
49,257.74
£
255.00
£
4,060.54
£
7.25
£
1,236.31
£
75.00
£
638.91
£
1,306.50
£
543.37
£
200.00
£
633.58
£
77,594.34
£
667.41
£
241.19
£
2,763.00
£
4,323.72
£
22,233.84
£
14,558.35
£
1,373.87
£
27,118.31
£
4,465.56
£
7,801.62
£
85,546.87
£
42,500.00
£

Note 13 - Endowment or Restricted Income Funds - None held

Note 14 - Other Information

Declarations

6

DCAF-Dec24BSZ.xlsNotes3

Independent Examiner’s Report to the Trustee of the Central Amenities Fund HMS Drake. Registered Charity Number: 1129024

I report on the accounts of the Charity for the year ended 31 December 2024

Responsibilities and basis report

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.

I report in respect of my examination of the charity’s accounts carried out under section 145 of the Act and in carrying out my examination, I have followed the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

Independent examiner’s statement

I have completed my examination; I confirm that no material matters have come to my attention which gives me cause to believe that in any material respect:

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 On Original

M L Butcher FMAAT 5 Nursery Road Havant Hants PO9 3BG

14 February 2025