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2025-03-31-accounts

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WARDROOM MESS

HMS SULTAN

ANNUAL REPORT AND FINANCIAL STATEMENTS

For Period

1 April 2024 to 31 March 2025

Registered Charity No. 1136779

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Trustees’ Annual Report and Comments

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Wardroom Mess HMS SULTAN Charity Registered No: 1136779 | : Covering the Accounting Year: 1 April 2024 to 31 March 2025 Address: HMS SULTAN Military Road Gosport PO12 3BY Governing Document: Constitution (Mess Rules) Object: Promotion of the Military Efficiency and Operational ; Effectiveness of the Armed Forces by the provision of Mess facilities to Commissioned Officers serving in the Her Majesty’s Ship Sultan. , Trustee: Captain M Hamilton Royal Navy : Trustee selection method: Appointed as such by the Naval Secretary. Bankers: Lloyds TSB High Street Gosport Hants | : Independent Examiner: Marianne Butcher FMAAT 5 Nursery Road Havant 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. In the past year the mess has put ona full social programme for its members. Subsidies have been provided to functions, from the profits made from the bar and other taxable activities. Financial Review: The mess fund had increased by £17.9K over the year and was worth £211.3K. This included property and stocks valued at £78.5K. The main reasons for the increase were: e An amount of £14.7K which was added back to the accounts. This was thought to have been an unspent grant liability in the 2024 accounts but was actually spent in 2022 as part of the massive mess refurbishment. e Heineken share profit of £1K. e Trading profits exceeding function subsidy by £10.4K Offset by e Running costs exceeding subscription income by £8.3K. The cash, bank, and deposit assets of £127.9K more than covered the liabilities of £12K.

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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 Stoned on Original _ Name Captain M Hamilton Royal Navy Appointment Commanding Officer‘and Sole Managing Trustee Date 20 May 2025

HMS SULTAN WARDROOM MESS FUND

Registered Charity 1136779

BALANCE SHEET

31-Mar-25

Note
ASSETS
Fixed Assets
Mess Property
6
Current Assets
Stocks at Cost:
6A
Mess Bills
Other Debtors
7
VAT
Cash
Current Account
Charity Deposit Account
Total Current Assets
LIABILITIES
Creditors
8/8A
Central Bank For Other Funds:
Quart Club
Quart Club Charity Account
Charity Chest
VAT
Current Liabilities
Net Current Assets
Net Assets
7,445.74
£
12,018.80
£
4,805.96
£
-
£
981.78
£
126,076.40
£
858.26
£
152,186.94
£
9,795.12
£
645.53
£
185.16
£
685.29
£
668.70
£
11,979.80
£
71,102.76
£
75,003.40
£
7,202.01
£
11,481.66
£
4,678.50
£
1,075.21
£
1,689.90
£
112,982.34
£
815.66
£
139,925.28
£
19,938.72
£
610.11
£
185.16
£
770.45
£
-
£
21,504.44
£
140,207.14
£
118,420.84
£
211,309.90
£
193,424.24
£
31-Mar-24
71,102.76
£
75,003.40
£
7,202.01
£
11,481.66
£
4,678.50
£
1,075.21
£
1,689.90
£
112,982.34
£
815.66
£
139,925.28
£
19,938.72
£
610.11
£
185.16
£
770.45
£
-
£
21,504.44
£
140,207.14
£
118,420.84
£
211,309.90
£
193,424.24
£
31-Mar-24
193,424.24
£

Approved on 20 May 2025 Signed On Original

Captain M Hamilton Royal Navy Sole Managing Trustee

1

SULWR-BSMar25Z.xlsBALANCE SHEET

HMS SULTAN WARDROOM MESS FUND

STATEMENT OF FINANCIAL ACTIVITIES

For Year to 31 Mar 25

Note
Income
Voluntary Income
Charitable Actvities
Investment Income
Total Income
2
Expenditure
Charitable Activities
Total Expenditure
3
Net Income (Expenditure)
Previous Year Correction
Total Funds Brought Forward
Total Funds Carried Forward
2024/25
1,000.00
£
155,617.63
£
41.60
£
156,659.23
£
153,475.31
£
153,475.31
£
3,183.92
£
14,701.74
£
193,424.24
£
211,309.90
£
2023/24
79,780.91
£
166,712.05
£
34.17
£
246,527.13
£
256,966.57
£
256,966.57
£
(10,439.44)
£
-
£
203,863.68
£
193,424.24
£

2

SULWR-BSMar25Z.xlsSOFAsum

HMS SULTAN WARDROOM MESS FUND

Notes to the Accounts dated 31 March 2025

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. UK Accounting Standards and the Charities Acts.

Income

Expenditure and Liabilities

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

Assets

a. Tangible fixed assets are capitalised if they can be used for more than one year and cost at least £100. They are valued at cost or a reasonable value on receipt. The fund has its non depreciating property professionally valued periodically. That valuation is at replacement cost.

Note 2 - Income

Voluntary Income
RNRMC Grant - Mess Refurbishment
Heineken Profit Share
Charitable Activities
Mess Subs
Associate Subscriptions
Bar Sales
Functions Income
Cummerbunds/Misc Income
Investment Income
Interest & Dividends
Total Income
-
£
79,780.91
£
1,000.00
£
-
£
43,848.33
£
39,401.53
£
8,489.38
£
8,330.15
£
62,446.45
£
61,481.56
£
40,788.47
£
57,467.48
£
45.00
£
31.33
£
155,617.63
£
166,712.05
£
41.60
£
34.17
£
156,659.23
£
246,527.13
£
2023/24
2024/25

3

Note 3 - Expenditure

2024/25

2023/24

Charitable Activities

Trading Costs
Function Subsidies
Function Expenditure from Tickets
Bar Purchases
Mess Running Costs
Grants Out
Mess Guests
Mess Events and Hospitality
Coffee & Condiments
Newspapers & Periodicals
Welfare Fund
TV and Audio
Presentations/Leavers Gifts
Performing Rights
Repairs & Renewals
Insurances
Trophy Hire
Cleaning & Laundry
Refurbishment - Garden
Sauna & Sports Equipment
RNRMC Returned Grant
Various Mess Areas - Refurbishment
Mess Bill Write Off
Governance Costs
Accounts Examination
Support Costs
BACs, Credit Card Charges
EPOS Now - Bar Till Training
EPOS Now - Bar Till Contractual Fines
Office Costs
Depreciation
Total Expenditure
11,388.98
£
40,788.47
£
49,131.07
£
650.00
£
1,177.62
£
1,194.93
£
12,926.55
£
1,064.10
£
1,200.00
£
7,432.27
£
628.50
£
2,541.49
£
3,274.28
£
2,047.51
£
473.33
£
102.48
£
2,986.49
£
436.36
£
-
£
-
£
1,049.14
£
1,295.00
£
5,077.27
£
406.80
£
1,197.40
£
864.63
£
4,140.64
£
18,425.16
£
57,467.48
£
54,628.37
£
675.00
£
1,354.23
£
-
£
10,343.75
£
3,035.11
£
1,200.00
£
7,563.71
£
883.40
£
2,308.42
£
4,643.78
£
2,012.33
£
473.33
£
321.46
£
-
£
520.96
£
51,986.84
£
27,794.07
£
2,500.30
£
1,270.00
£
3,518.24
£
-
£
-
£
920.22
£
3,120.41
£
153,475.31
£
256,966.57
£
153,475.31
£
256,966.57
£

Total Expenditure

Note 4 - Paid Employees

Note 5 - Trustees and Other Related Parties

Note 6 - Tangible Fixed Assets - Property Account - Fixtures & Fittings

Property Valuation as at 31 Mar 24
Additions
Depreciation
Property Valuation at 31 Mar 25
Note 6A - Stocks
Bar Stock
Maritime Prints & Merchandise
Total
75,003.40
£
240.00
£
(4,140.64)
£
71,102.76
£
7,145.74
£
300.00
£
7,445.74
£

4

SULWR-BSMar25Z.xlsSOFAE

Note 7 - Miscellaneous Debtors and Prepayments

CCLA COIF Interest - Estimate
Prepaid PRS/PPL
Prepaid Insurance
Prepaid TV Licence
Note 8 - Creditors
Independent Examination
Crown Accommodation
Prepaid Christmas Draw
PAYD
Garage Deposits
Joining Barrel
Note 8A - Trade Creditors
BOC
Tolchards
Majestic Wines
ESS
9.00
£
2,664.70
£
2,047.51
£
84.75
£
4,805.96
£
655.00
£
1,575.69
£
214.38
£
0.01
£
881.73
£
1,091.34
£
4,418.15
£
263.87
£
2,430.18
£
611.80
£
2,071.12
£
5,376.97
£

Note 9 - Endowment or Restricted Income Funds

There are none

Note 10 - Other Information

Declarations

5

HMS SULTAN WARDROOM MESS FUND

Bar Trading Account for Year ended 31 Mar 25

Sales
Sales at Cost
Less Cost of Sales:
Gross Profit
Less: Pipe Cleaning/OOD
EPOS Till Charges
Sundries
Net Profit
Gross Profit to All Sales
Gross Profit to Sales
Gross Profit to Cost of Sales
(i.e. average mark up)
621.10
£
606.83
£
1,832.07
£
23.3%
26%
29%
40%
57,047.36
£
51,994.12
£
5,399.09
£
9,487.44
£
62,446.45
£
61,481.56
£
46,071.07
£
51,482.27
£
16,375.38
£
9,999.29
£
906.88
£
660.00
£
45.40
£
3,060.00
£
1,612.28
£
13,315.38
£
16.1%
8,387.01
£
16%
19%
24%
Previous Year

ASSETS
Current Assets
Bank Account (Wardroom)
645.53
£
Charity Account
185.16
£
Cash - Estimate
70.00
£
Total Current Assets
900.69
£
LIABILITIES
None Known
-
£
Net Assets
900.69
£
QUART CLUB
31-Mar-25
BALANCE SHEET
Previous Year
610.11
£
185.16
£
70.00
£
865.27
£
-
£
865.27
£

6

SULWR-BSMar25Z.xlsBar&Quart

Independent Examiner’s Report to the Trustees of the Wardroom Mess HMS Sultan. Registered Charity No. 1136779.

I report to the trustees on my examination of the accounts of the Wardroom HMS Sultan for the year ended 31 March 2024.

Respective responsibilities of trustees and examiner

As the charity’s trustees are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”). I report in respect of my examination of the Charity’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination I have followed all 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

25 May 2024