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2024-12-31-accounts

THE ROYAL AIR FORCE FOOTBALL ASSOCIATION

ANNUAL REPORT AND FINANCIAL STATEMENTS FOR THE YEAR ENDED 31ST DECEMBER 2024

CHARITY REGISTRATION No: 1129460 COMPANY REGISTRATION No: 06641135

Independent Examiners Ltd The Grain Store Hills Barns Appledram Lane South Chichester West Sussex PO20 7EG

TheExecutiveCommittee Membersthatservedduringtheyearwere:
LucySharman-Davies DeputyHeadofFinance(Ops)
MarkSmales HeadofComms
BerniceDzekashu DeputyHeadofFinance(Planning)
JamesWest HeadofSponsorship
RyanBradshaw HeadofStrategy
KatySteed HeadofED&I
JimSheldon ChiefofStaff
ScottHyndman HeadofRepresentativeTeams
BenBurton DeputyHeadofRepresentativeTeams
SteveFrancis HeadofDiscipline
GavinAnderson HeadofGrassrootsFootball
LeeSuggett HeadofReferees
AlexPratt FootballDevelopmentManager
VinceWilliams BusinessManager

THE ROYAL AIR FORCE FOOTBALL ASSOCIATION (A COMPANY LIMITED BY GUARANTEE)

REPORT OF THE DIRECTORS (continued) FOR THE YEAR ENDED 31ST DECEMBER 2024

STATEMENT OF DIRECTOR'S RESPONSIBILITIES

The Charities Act and the Companies Act require the Board of Trustees to prepare financial statements for each financial year which give a true and fair view of the state of affairs of the charity as at the end of the financial year and of the surplus or deficit of the charity. In preparing those financial statements the Board is required to :-

The trustees/directors are also responsible for maintaining adequate accounting records which disclose with reasonable accuracy at any time the financial position of the charity and which are sufficient to show and explain the charity's transactions and enable them to ensure that the financial statements comply with the Companies Act 2006 and comply with regulations made under the Charities Act. They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

The trustees/directors are also responsible for the contents of the Report of the Directors, and the responsibility of the independent examiner in relation to the Report of the Directors is limited to examining the report and ensuring that, on the face of the report, there are no inconsistencies with the figures disclosed in the financial statements.

These accounts have been prepared in accordance with the provisions applicable to companies subject to the small companies regime.

I approve the attached statement of financial activities and balance sheet for the year ended 31st December 2024, and confirm that I have made available all information necessary for its preparation.

Approved by the Directors on the ......[F.] J.j .... 2025 iJ.1.7.tt:'f. ... J.ff. ......... ..

2025

� Signed on their behalf by .................................................................. , Director

Print Name:

8

UnrestrictedRestrictedTOTALTOTAL
Notes FundsFunds20242023
££££
INCOME
IncomefromGrants &Sponsorship 3-134,790134,790143,368
IncomefromCharitableActivities 338,7964,24343,03951,330
IncomefromotherTradingActivities 379-79-
TOTALINCOME 38,875139,033177,908194,698
EXPENDITURE
ExpenditureonCharitableActivities. 496,539143,924240,463205,431
TOTALEXPENDITURE 96,539143,924240,463205,431
NETINCOME!(EXPENDITURE) (57,664)(4,891)(62,555)(10,733)
Transfers betweenFunds 6----
NET MOVEMENTINFUNDS (57,664)(4,891)(62,555)(10,733)
Reconciliationoffunds:
FundsBroughtForward 88,761
5,891
94,652
105,385
TOTALFUNDSCARRIEDFORWARD 31,097
1,000
32,097
94,652

THE ROYAL AIR FORCE FOOTBALL ASSOCIATION (A COMPANY LIMITED BY GUARANTEE)

' BALANCE SHEET

AS AT 31ST DECEMBER 2024

Company number: 06641135

Fixed Assets
Tangible assets
Current Assets
Debtors
Cash at bank and in hand
Total Current Assets
Creditors:amounts falling due within
one year
NET ASSETS
FUNDS OF THE CHARITY
Unrestricted Funds
Restricted Funds
TOTAL FUNDS
Note
2
6
5
8
5
Unrestricted
Funds
26,965
12,327
39,292
8,195
31,097
31,097
Restricted
Funds
2,000
2,000
1,000
1,000
1,000
31-Dec-24
Total
26,965
14,327
41,292
9,195
32,097
31,097
1,000
31-Dec-23
Total
27,098
86,215
113,313
18,661
94,652
88,761
5,891
Unrestricted
Funds
26,965
12,327
39,292
8,195
31,097
31,097
Restricted
Funds
2,000
2,000
1,000
1,000
1,000
31-Dec-24
Total
26,965
14,327
41,292
9,195
32,097
31,097
1,000
31-Dec-23
Total
27,098
86,215
113,313
18,661
94,652
88,761
5,891
Unrestricted
Funds
26,965
12,327
39,292
8,195
31,097
31,097
Restricted
Funds
2,000
2,000
1,000
1,000
1,000
31-Dec-24
Total
26,965
14,327
41,292
9,195
32,097
31,097
1,000
31-Dec-23
Total
27,098
86,215
113,313
18,661
94,652
88,761
5,891
Unrestricted
Funds
26,965
12,327
39,292
8,195
31,097
31,097
Restricted
Funds
2,000
2,000
1,000
1,000
1,000
31-Dec-24
Total
26,965
14,327
41,292
9,195
32,097
31,097
1,000
31-Dec-23
Total
27,098
86,215
113,313
18,661
94,652
88,761
5,891
Unrestricted
Funds
26,965
12,327
39,292
8,195
31,097
31,097
Restricted
Funds
2,000
2,000
1,000
1,000
1,000
31-Dec-24
Total
26,965
14,327
41,292
9,195
32,097
31,097
1,000
31-Dec-23
Total
27,098
86,215
113,313
18,661
94,652
88,761
5,891
Unrestricted
Funds
26,965
12,327
39,292
8,195
31,097
31,097
Restricted
Funds
2,000
2,000
1,000
1,000
1,000
31-Dec-24
Total
26,965
14,327
41,292
9,195
32,097
31,097
1,000
31-Dec-23
Total
27,098
86,215
113,313
18,661
94,652
88,761
5,891
31,097 1,000 32,097 94,652

DIRECTORS' RESPONSIBILITIES:

The charitable company's financial statements have been prepared in accordance with the provisions applicable to compani!;!S subject to the small companies regime.

The Directors consider that the company is entitled to exemption from the requirement to have an audit under the provisions of section 477 of the Companies Act 2006 ("the Act") and members have not required the company to obtain an audit for the year in question in accordance with section 476 of the Act. However, in accordance with section 145 of the Charities Act 2011, the accounts have been examined by an Independent Examiner whose report appears on page 18.

The Directors acknowledge their responsibilities for complying with the requirements of the Act with respect to accounting records and the preparation of financial statements.

Approved by the Board of Directors on ...... �-....................... · lf JtP 2025 �--·· Signed on their behalf by ........ � ..................................... , Director

Print Name:

10

3.INCOME
Unrestricted Restricted TOTAL TOTAL
Funds Funds 2024 2023
£ £ £ £
IncomefromDonations andGrants
Grants - 134,790 134,790 143,368
- 134,790 134,790 143,368
IncomefromCharitableActivities
Sponsorship 13,779 - 13,779 22,770
EntryandRegistrationFees 3,119 - 3,119 3,260
CoachingCourses 2,722 4,243 6,965 7,118
PersonalMemberContributions 12,645 - 12,645 12,514
AnnualDinnerContributions 1,730 - 1,730 2,288
CharitableActivities 4,801 - 4,801 3,380
38,796 4,243 43,039 51,330
IncomefromTradingActivities
SaleofClothingandEquipment 79 - 79 -
79 - 79 -

4.EXPENDITURE
UnrestrictedRestricted TOTAL TOTAL
FundsFunds 2024 2023
£ £ £ £
ExpenditureonCharitableActivities
BankCharges 995 - 995 854
GeneralActivityCosts* 49,445 25,089 74,534 73,840
Grants 250 - 250 705
SalaryCosts 94,126 99,131 103,257 86,561
KitandEquipmentCosts 7,982 11,120 19,102 16,433
Miscellaneous 1,406 - 1,406 273
OperationalCosts* 15,543 8,144 23,687 17,316
RAFFAHQCosts 7,863 125 7,988 7,339
RAFFestivalCosts 400 135 535 -
SponsorshipCosts 6,761 - 6,761 483
GovernanceCosts
IndependentExamination 1,200 180 1,380 1,230
CompanySecretarial 388 - :388 397
LegalandProfessionalFees 180 - 180 -
96,539 143,924 240,463 205,431

DETAILOFMATERIALEXPENDITURE
TOTAL TOTAL
GeneralActivitycosts aboveinclude: 2024 2023
£
Overseasvisits 38,938 29,341
TrainingcampsandTrainingcourses 935 20,045
AccommodationandRefreshments 6,158 5,856
Hirecosts 17,401 6,181
InterServicesandCombinedServices 6,486 8,804
OtherActivitycosts 912 339
MedalsandTrophies 3,704 3,274
74,534 73,840
Operationalcostsaboveinclude: TOTAL TOTAL
2024 2023
£ £
Subsistence - 552
Officials 4,057 2,723
AnnualDinner 6,993 9,265
FirstAid 2,427 213
Coaching 3,300 1,350
Safeguarding 2,764 1,990
Insurance 3,171 222
Subscriptions 699 899
OtherOperationalcosts 276 102
23,687 17,316

CURRENTYEAR
Balance Balance
01-Jan-24 Income ExpenditureTransfers
31-Dec-24
£ £ ££ £
BillBrownMemorialFund 1,000 - -- 1,000
CentralFunds - 38,605 (38,605)- -
FACommunity ShieldProject 135 - (135)- -
FA-safeguarding 1,623 - (1,623)- -
FA-salaries 2,945 96,185 (99,130)- -
FA-delivery 188 4,243 (4,431)- -
5,891 139,033 (143,924)- 1,000
PREVIOUSYEAR
Balance Balance
01-Jan-23 Income ExpenditureTransfers
31-Dec-23
£ £ ££ £
BillBrownMemorialFund 1,000-- -1,000
CentralFunds - 31,362(31,392) 30-
FACommunityShieldProject 135-- -135
FA-safeguarding 3,708-(2,085) -1,623
FA-salaries - 89,506(86,561) -2,945
FA-delivery - 3,500(3,312) -188
4,843 124,368(123,350)305,891

6.CASHATBANKANDINHAND
UnrestrictedRestrictedTOTALTOTAL
FundFund31-Dec-2431-Dec-23
££££
CurrentBankAccount 12,3272,00014,32786,215
12,3272,00014,32786,215
7.DEBTORSANDPREPAYMENTS
UnrestrictedRestrictedTotalTotal
FundFund31-Dec-2431-Dec-23
££££
Debtors3,500
-3,500
365
Prepayments19,675
-19,675
26,230
AccruedIncome3,790
-3,790
503
26.965-
26.965
27.098

8.CREDITORSANDACCRUALS:AMOUNTSFALLI NGDUEWITHINONEYEAR NGDUEWITHINONEYEAR NGDUEWITHINONEYEAR
UnrestrictedRestrictedTotalTotal
FundFund31-Dec-2431-Dec-23
££ £ £
Creditors 3,120- 3,120 16,406
Accrual-IndependentExamination 1,380- 1,380 1,230
Accrual-GranttobeReturned -1,000 1,000 -
Accruals-Other 959- 959 725
DeferredIncome(8a) 2,736- 2,736 300
8,1951,000 9,195 18,661
8a.DEFERREDINCOME
£
Deferredincome broughtforward01/01/24 300
Utilisedintheyear (300)
Receiptsin2024for20252,736
Deferredincomeasat31/12/24 2,736

J Irvinesmith FCIE

25 September 2025