## **WATERSAFE UK SEARCH & RESCUE TEAM** 

Water, Flood, Search & Rescue throughout the East Midlands Water & Flood Rescue throughout the United Kingdom (A Limited Company through Guarantee) 

## **Annual Report** 



## **Reference and Administrative Information** 

_**Charity Name:**_ **Watersafe UK Search and Rescue Team** _**Charity registration number:**_ **1152138** _**Company registration number:**_ **1032145** _**Registered Office and operational address:**_ **Redhill Marina Radcliffe on Soar Nottinghamshire NG11 0EB** 

## _**Management Committee**_ 

**Mr A Parkin Chair Mr J Faulconbridge Treasurer Mr N Cobb Secretary** 

## _**Management Team**_ 

**Mr N Cobb Team Leader Mr J Faulconbridge Deputy Team Leader Mr A Parkin Deputy Team Leader** 

## _**Trustees**_ 

**Mr J Faulconbridge Mr Nigel Cobb** 



## **TITLE** 

The organisation shall be known as Watersafe UK Search & Rescue Team or by the abbreviation “WUKSART”, hereinafter referred to as WUKSART. 

## **AIMS & OBJECTIVES** 

To relieve suffering and distress amongst persons endangered by flooding or natural hazards, by the provision and maintenance of a trained rescue team to operate throughout the East Midlands, the United Kingdom, or any other place if requested. 

Further co-operation and relationships between other search & rescue teams, police forces, fire authorities, ambulance trusts and any other interested parties with similar objectives to those of WUKSART within the operational area of WUKSART. 

To seek to educate all potential water users, advising of possible dangers and hazards and aiming to prevent tragedies or mishaps by giving talks and demonstrations to interested organisations. 

Maintain and improve the professional standards within WUKSART. 

## **POWERS** 

In furtherance of the objects but not otherwise, WUKSART may exercise the following powers: 

Power to make use of the WUKSART's search, rescue and casualty care abilities, to relieve suffering and distress in any other ways that are considered by WUKSART to be practical and are within the team's legal and insurance operating restrictions. 

Power to raise funds and to invite and receive contributions provided that in raising funds the Committee shall not undertake any substantial permanent trading activities and shall conform to any relevant requirements of the law. 

Power to buy, take on lease or in exchange, any property necessary for the achievement of the objectives and to maintain and equip it for use. 

Power subject to any consents required by law to sell, lease or dispose of all or any part of the property of the Charity. 

Power to co-operate with other charities, voluntary bodies and Statutory authorities operating in furtherance of the objectives or of similar charitable purposes and to exchange information and advice with them. 

Power to establish or support any charitable trusts, associations or institutions formed for all or any of the objects. 

Power to appoint and constitute such advisory committees as the Committee may think fit. 

Power to do all such other lawful things as is necessary for the achievement of the objectives. 

## **MEMBERSHIP** 



Membership of WUKSART shall be in three categories, namely Full Membership, Honorary Membership and Associate Membership. 

## **Full Membership** 

Full Team Members are team members willing, at any time, to attend a Callout and are expected to hold a minimum of Water Rescue Technician qualification as laid down by DEFRA’s Concept of Operations, August 2010 with the addition of a valid first aid certificate. 

Members on this list are expected to attend a minimum of six weekend training exercises during the year, other than where it can be shown that they have a regular weekend commitment to their employment which precludes their attendance. 

Members on this list are also expected to attend a minimum of six evening training sessions during the year as specified by the Team Leader or Training Officer. 

## **Honorary Membership** 

At the discretion of the Committee, positions of Honorary Membership may be awarded, by election, to individual persons or to organisations with the knowledge and approval of the person or organisation concerned, at an AGM. 

No honorary member will have any voting rights but honorary members may attend WUKSART committee meetings and may take part in discussion. 

## **Associate Membership** 

Associate Membership may be offered to organisations with similar aims to those of WUKSART which operate within the WUKSART area, but which do not wish to be full members or which WUKSART does not wish to be full members. 

## **MANAGEMENT** 

The management of the Team shall be in the hands of an elected Committee and management Team, which shall consist of elected Officers. 

The committee endeavour to meet six times per year and an AGM will be held every December. 

The minutes of all the meetings will be taken by the secretary and a copy of these will be sent to each member of the committee. 

In the absence of either or both the Chairman or/and the Secretary the committee will elect a substitute or substitutes to perform the office or offices for a meeting. 

Any motion gaining a majority of votes will be regarded as passed, except those concerning alterations to the Constitution of NESRA or the rescission of a decision. 



## **OFFICERS** 

The officers for WUKSART will consist of: 

Team Leader Deputy Team Leaders Secretary Treasurer Training Officer Vehicle and Boat Officer Equipment Officer Fundraising Officer 

## **TRUSTEES** 

Nigel Cobb J Faulconbridge 

## **FINANCE** 

The Team shall be financed by subscription where applicable, donation and fundraising activities. The assets of the Team shall, in the event of its dissolution, be vested in the Trustees. 

## **Principal Funding Sources** 

Aside from the income generated by fundraising activities, the principal funding sources for the charity are currently by way of water Safety Cover at events providing a service to the Public at events and funding the Team for operational duties. WUKSART has in the last 12 months been lucky enough to receive 3 Grants, a new funding stream that is open to WUKSART. Two of the grants were for new boats and the third for cost of training and requalifying Team Members. 

WUKSART are currently in talks with three separate businesses wishing to sponsor the activities of WUKSART for the next 12 to 36 months. This will bring in a continual funding stream giving stability to the accounts. 

## **ACCOUNTS** 

The Committee shall comply with their obligations under the Charities Act 1993 (or any statutory re-enactment or modification of that Act) with regard to: 

The keeping of accounting records for the Charity. The preparation of annual statements of account for the Charity. The auditing or independent examination of the statements of account of the Charity. The transmission of the statements of account of the Charity to the Commission. 



## **ANNUAL REPORT** 

The Committee shall comply with their obligation under the Charities Act 1993 (or any statutory re-enactment or modification of that Act) with regard to the preparation of an annual report and its transmission to the Commission. 

The Committee shall comply with their obligations under the Charities Act 1993 (or any other statutory re-enactment or modification of that Act) with regard to the preparation of an annual return and its transmission to the Commission. 



WUKSART LIMITED
COMPANY LIMITED BY GUAII4NTEE
FINANCIAL STATEMENTS
FOR
31 JULY 2020
Company Registratlon Number 08158395
Charity Number Il52138
DERBY COMMUNITY ACCOUNTANCY SERVICE
Babington Lodge
128 Green Lane
Derby
DEI IRY

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
FINANCIAL STATEMENTS
YEAR EI¥4DED 31 JULY 2020
Contsnts
Page
Members of the board and professional advisers
Trustees, annual report
24
Independent Examiner's Report
Statement of financial activities
Balance sheet
Notes to the financial statements
8-15

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
REFERENCE AND ADMINISTRATIVE DETAILS
The board oftrusteej
Nigel Cobb
John Faulconbrid8e
Registered offic¢
Redhill Marina
Ralcliffe-on-soar
Nottingham
NGI I OEB
DEI IRY
Independent Examlner
Mark Newey ACMA
Derby Community Accountsncy Service
BabIn￿On Lodge
128 Green Lane
Derby
DEI IRYT

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
TRUSTEFS. ANNUAL REPORT
YEAR ENDED 31 JULY 2020
The trustees, who are also Directors for thc PUTPX)ses of the Companies ACL have pleasure in
presenting their re￿}rt and the unaudited financial statements of the charity for the y¢ar ended 31
July 2020.
IVTTIE
The company's objects and principal activities remain:
l. To relieve suffering and distress amongst persons endangered by flooding or natural
hazards by the provision and maintenance of a trained rescue team to operate
predominantly throughout the East Midlands and the United Kingdom or t operate
worldwide if requested.
2. To promote co-operation and relationships with other search and rescue teams, police
forces, fire authorities ambulance trusts and any other interested parties with similar
objective to those of the charity within operational area of the charity.
3. To educate the public at large with all ￿tentIal wa*r users by giving talks and
demonstrations of the ￿ssIble dangers and hazaTds of water and water sources with the
aim of preventing tragedies or mishaps.
4. To maintain and improve the professional Standar￿ with Charity.
SUMMARY OF THE MAIN ACTIVITIES U
IN REL
TI
THESE OBJEcrs
DERTAKEN FOR THE PUBLIC BENEFIT
In planning our activities each year our Tntstees have regard to both the Charity Commissions
generdl guidance on public benefit and its supplementsry guidance on advancing edu¢a¢ion. The
Tru5tces alway5 ensure that the programmes we undertake are in line with our charitsble
objectives and aims.
ACHIEVEMENTS AND PERFORMANCE
Our charitsble objectives state we exist for public benefiL to reliev¢ suffering and distress
amongst persons endangered by flooding or natural hazards. It is increasingly apparent that there
is a nccd for our services. which the public are i*coming i￿￿1n8]Y aware of.
Wuksart Limited spxcialises in the followin&-
* RespKJnding nationally to flooding under the DEFRA Concem of Operations.
* Water rescue incidents within the East Midlands and Nationally.
* tA)cal & widespread fl(KMlin8.
* Searches for missing and vulnerable people.
* Provide supwrt during times of adverse weather conditions.
* Provide support at wa*r r¢lat¢d in¢idents when required.
* Powerboat ￿Scue operdtions.
* Provide underwater sta￿h Capability.
* Flood support to local communities including flood evacuation

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
TRUSTEES, ANNUAL REPORT
YEAR ENDED 31 JULY 2020
With skills in search & rescuc, water & fl(￿ rescue, rope r￿u¢ and advanced medi￿1 care
Wuksart Limited always aims to deliver a fasL dynami¢ and pxbfessional icam.
The charity had a successful year in which it received a grdnt from the Department of Trnnsp)
which it used to purchase, equipm¢nL boats and vehicles to enhance its service capability.
We have c¢)ntinued to provide volunlary service5 in the water rescue arena. Providing support to the
National kn¢t R¢8i5ter. l(Kal agreements with Fir¢ Services and Local Police Services for Missing
RESERVES
The Charity aims to build up reserves to cover 3 months opernting Costs.
STR
RE GOVERNANCE AIYD MANAGEMENT
Governing doeumenl
Wuksart Limited is a rcgistcred charity, number 1152138, whose company registrdtion numlKr is
08158395. The charity's governing document is the Memorandum and Articles of Association
being adopted on 26 July 2012. The charitys registered otrice i& Redhill Marin4 Ratcliffe-On-
Soar, Nottingham, NGI OEB
IDdudion and training oftn
The Charity undertakes, when the need arise& a skills audit to detennine the requirements of the
trustee b)dy. If a skill shortage is identified. approaches are made to spe¢ifi¢ w>ple identified &$
having these skills
Risk management policy
The trustees examine the major risks that the Charity faces each flnancial year when preparing and
updating the strategic plan. The charity has develoF*d sy5tem5 to monstor and control these risks
to mitigate any impact that they may have on the charity in the future.
Indepelldent Examiner
Derby Community Accountancy Service and will be in olTice as independent examiner for the
ensuing year.
Sm211 company provisions
This rewrt has IKen prepared in accordance with the special w)visions for small companies
under Part 15 of the comp￿leS Act 2006.

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
TRUSTEES, ANNUAL REPORT
YEAR ENDED 31 JULY 2020
Registered office:
Redhill Marin8
Ratcliff¢-On-Soar
Nottin8ham
NGI I OEB
Signed on behalf of the trustees
J. Faul¢onbridg¢
Trustee
Approved by the trustees on

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
YEAR ENDED 31 JULY 2020
I report on the accounts of the cornpany for the year ended 31 July 2020 which arc set out on
pages 6 to IS.
Respectlv¢ rnsponsibililles of trustees and ex&mln¢r
The tru5tces (who are also the directors of the company for the purposes of company law) are
responsible for the preparation of the accounts. The trustees consider that an audit 15 not required
for this year und¢r section 144{2) of the Chariti¢s Act 2011 (the 2011 Act) and that an
independ¢nt examination is needed.
Having satisfied myself that the Charity is not subject to an audit under company law and is
eligible for indepcndcnt examination, it is my responsibility to:
examine the accounts under section 145 of the 2011 Act;
follow the procedur¢s laid down in the general DI￿¢10nS 8iv¢n by the Charity Commission
under section 145(5)(b) of the 2011 Act, and
state wh¢th¢r particular matters have come to my attention.
Basls of Independent examiner'j report
My examination was carried out in accordance with general Directions given by the Charity
Commission. An examin&iion 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
unusuAI items or disclosures in the aecounis, and seeking explanations from you as trustees
concerning any such matters. The procedurcs 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 ,￿rue and fair view" and th¢ ￿POrt is limited to those matters set out in the statement
below.
Independent examlner's stalement
In connection with my examination, no matter has come to my attention:
which gives me reasonabl¢ ¢ause to believe thal in any material respect, the requirements..
to keep accounting records in accordance with section 386 of the Companies Act 2006. and
to prepare accounts which accord with the accountin8 records, comply with the accounting
requirements of 5CCtion 396 of the Companies Act 2006 and with the methods and principles
of the Ststement of Recommended Practice: Accounting and Reportin8 by Charities have
not been met; or
to which. in my opinion. attention should be drawn in order to enable a proper
undcrslanding of the account5 to be reached.
Iwlzi
Mark Newey ACMA
Derby Community Accountancy Service
Babin8ton Lodge
128 Green
Derby
DEI IRY

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
STATEMENT OF FINANCIAL ACTIVITIES
YEAR ENDED 31 JULY 2020
Unrestrleted
Funds
R¢strl¢led
Funds
Total Funds
Year to31
July 2020
Total Funds
Yearto 31
July2019
Note
Ineome from:
Donation5
ChariLqble activities
Other in¢ome
Inv¢stment income
2,135
5,744
6ffj15
2,135
31,701
6,615
21,264
16,725
984
25,957
Totsl incoming resourcej
14,494
25,957
40,451
38,973
Raising funds
Charitable activities
20,064
21,788
41152
43,713
Total expendlturn
20064
21,788
41052
43,713
Net (expendlture) Income
{SJ70)
4,169
(1,401)
(4,740)
Transfer between funds
Net movement In funds
(5A70)
4,169
{1,401)
(4,740)
Fund balvdncej at l Aug
2019
16,719
61,195
77,914
82,654
Fund b8lan¢eJ at 31July
2020
11.149
65J64
76A13
77,914
The Company had no new or discontinued activities durin8 the year.
The notes on pages 8 to 15 form part of these financial statements.

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
BALANCE SHEET
YEAR ENDED 31 JULY 2020
2020
2019
Note
Flxed assets
Tangible assets
Current assets
Debtors
Cash at bonk and in hand
77,907
71,928
12
542
5,986
542
5,986
Credliors: amounts fAlling due
withln one year
13
(936)
N¢t current assets
(394)
5,986
Totsl assets less eurrent Ilabllltles
77,513
77,914
Creditors: amounts falllng due after
One year
N¢t assets
14
(1,000)
76,513
77,914
The funds of the charlty:
Restricted
Unrestricted- general reserves
Unr¢stricted- designated reser4es
TOTAL CHARITY FUNDS
15
Is
Is
65J64
11,149
61,195
16,719
76,513
77,914
For ihe year ending 31 July 2020 the company was entitled to exemoion from audit und¢r section
477 of the Companies Act 2006 relatin8 to small companies.
Directors, responsibilities:.
The mem￿rS have not required the company to obtain an audit of its accounts for the year
in qu¢stion in accordance with seciion 476.
The directors acknowledge their responsibility for complyin8 With the requirements of the
Act with respect to accounting records and th¢ preparation of accounts.
These financial statements have been prepared in accordance with the provisions applicable to
comp&nies subject to the small companies re81rn¢.
These fi
ancial ststements were approved by the directors and authorised for is5uc on
XOFI
and are signed on their behalf by:
J. Faulconbridgc
Director
Company Registration Number: 08158395
The notes on pages 8 to 15 form part of these financial statements.

WUKSART LIMITED
COMPANY LllVIITED BY GUARANTEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 JULY 2020
A¢¢ounting poli¢ie8
The principal accounting policies adopted. judgements and key sources of estimation
uncertainty in the preparation of the financial statements are as follows:
Company Informatlon
Wuks&rt Limited is a ￿mPanY limited by guarantee not havin8 8 sharc capital. The
company's re8iStered olTi¢e is Redhill Marina, Ratcliffe-on-soar. At the end of the year
there were 2 Trustees. each of whom. under the tern?s of the Mernorandum and Articles of
Association, had undertaken to contribute the sum not exceedin8 £1 in the event of a winding
up of the company.
1.1 Aecounting convention
These accounts have been prepared in a¢¢ordanc¢ with FRS 102, "The Financial Reporting
Standard applicable in the UK and Republic of Ir¢land" ("FRS 102"), 'Accountin8 and
Reporting by Charities" the Statement of Recommended Practice for Charities Applying FRS
102, the Companie5 Aet 2006 and UK Generally Accepted Accountin8 Practice as it apples
from l January 2015. The charity is a Publi¢ Benefit Entity 8$ defined by FRS 102.
The accounts are prepared in St¢rlin8 which is the functional CUrr¢￿Y of the company
Monetary amounts in these financial stat¢ments to the nearest £.
The a¢¢ounts have been pr¢par¢d on historical cosl convention apart from freehold property
that is Carried at market value. The principal accountin8 policies adopted are sct oui below.
These are accounts for the year ended 31 July 2020 prepared in 8c¢ordance with FRS 102,
The Financial Reporting Slandard applicable in the UK and Republi¢ of Ireland. The date of
transition to FRS 102 was l August 2014.
1.2 Golng concern
At the time of approving the accounts, the directors have a reasonable expe¢tstion that the
charity has adequate resources to continue in operational exisl¢nce for the foreseeable future.
Thus the Trustees continue to adopt the goin8 concem basis of accounting in preparing the
a¢counts.
1.3 Charltable Funds
Unrestricted funds are available for use at the dI￿retIOn of th¢ trustees in furtheran¢e of the
Beneral objectives of the charity.
D¢si8nated funds are unrestricted funds eamiarked by the trustees for particular purFK)$es.
Restricted funds are subje¢ted to restrictions on their expenditure imposed by the donor or
through the ternis of an appeal.
1.4 Incoming resour¢es
All incoming resources are included in the SOFA when the charity is legally entitled to the
income and the amount can be quantified wilh reasonable a¢curacy. Gifts in kind have been
included at market value of gifts received and in assets acquired. No amounts are included in
the financial statements for services donated by volunteers.

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 JULY 2020
1.5 Resources ￿pended
All expenditure is accounted for on an awuals basls and has been ¢lassified under headings
that aggregate all costs rclaling to the ¢a*80ry. Where costs cannot be directly attributed to
particular headings they have been allocated to activilies on a basis consistent with use of the
resources. Fund-raising costs are those incurred in seeking voluniary contributions and do not
include the costs of disseminating infomiation in the sUp￿rt of the charitable activities.
1.6 Debtors
Trade and other debtors are reco8nis¢d it the settlement amount due after any trade discounts
offered. PrepAym¢nts are valued at the amount prepAid net of any trade discounts due.
1.7 Cash and cajh equlvalents
Cash and cash equivalents include cash in hand, deFK)sits held at call with banks. other short-
t¢rn) liquid investments with original maturitics of three months or les4 and bank overdrafts.
Bank overdrafts are shown within borrowings in current liabilities.
1.8 Credltors and provlslons
Creditors and provisions are rKo8nised wherc the ¢harity has a pr¢sent obligation resulting
from a past ev¢nt that will probably result in transfer of funds to a third party and the
amount due to settle the obligation can be musured or estimated reliably, Creditors and
provisions are nonnally recognised at their settlement amount after allowing for any trade
discounts due.
1.9 Flnaneial instrumeDts
The charity has financial assets and financial liabilities of a kind that qualify a5 basic
financial instruments. Basic financial instruments are initially recognised at transaction value
and subsequently measured al their settlement value.
Dereeognltion ofJ7nanclal Ilabllliles
Financial liabilities are derecognised when the compny's contractual obligations expl￿ or
are diKharged or caneclled.
1,10 Employee benefits
The cost of any unused holiday ¢ntitlement is re￿gniSed in the period in which the
employ¢¢'s services are received.
Ternination bcncfits arc recognised immediatrly as an expense when the company is
demonstrably wmmitted to ierniinal¢ thc employment of an cmployec or to provide
leThnination bcncfits.
1.11 Taxation
The charity is exempt from tax on income and gains falling with section 505 of the Taxes Act
1988 or section 252 of the Taxation of Chargcablc Gains Act 1992 to the extent that these are
applied to its charitable objects.
1.12 Depreeiation
Individual fixed assets are capitslised at cost and are depreciated over their estimated useful

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 ￿Ly 2020
economic lives on a reducing balance basis as follows:.
Asset eategory
Equipment
Fixtures and Fittings
Annual rate
25Yo
Critieal a¢¢ountlDg eslfimates Vdnd judgements
In the application of the charity's accounting policies, the directors are required to make
judgements, estimates and assumptions about the carrying amount of assets and liabilities
that are not readily apparent from other sources. The estimated and associated assumptions
are based on historical experience and other factors that are considered to be relevant. Actual
results may differ from these estimat¢s.
Donations
Totsl Funds
Year to 31
Juty 2020
Totsl Funds
Yearto31
July2019
Unrestri¢ted
Funds
R¢stri¢ted
Funds
Donations
2.135
2,135
2,135
2,135
21.264
21,264
In¢om¢ from ¢haritsble activities
Totsl Funds
Total Funds
Year to 31 Year to 31 July
July 2020
2019
Unre8trl¢t¢d Restrlcted
Funds
Funds
Grants
Department for Transport
DEFRA
25,957
25,957
7,124
Subscriptions
Sales and fundraising
2,770
2,974
5,744
2,770
2,974
2.860
6,741
16,725
25,957
31,701
io-

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 JULY 2020
Other income
Totsl Funds
Year to 31
July 2020
Totsl Funds
Yearto 31
July 2019
HMRC Refund
Sundry income
4,409
2206
893
91
6,615
984
Investment in¢ome
Total Funds
Year to 31
July 2020
Totsl Funds
Yearto31
July2019
Bank interest receivable (unrestricted)

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 JULY 2020
Analysis of expenditsre (unrestricted)
Ac￿MMOdatiOn
Stationery
Sub5iStence
Maintenance
tkpreciation
Base costs
14
51
26
25,969 23,976
2J93
547
537
49
1,460
4,445
3.231
1.301
4,920
1,486
1.250
420
Equipment
Insurdnce
Vehicle
Diesel and petrol
Computer costs
Sundry
Training
Wages
Fees
3,422
1.993
2,077
636
2,760
899
41352 43,713
Expenditure on charilable activities was £41.852 (2019: £43.713) of which £21.788 was restricted
(2019 £20J99)
Net (¢Jp¢nditsr¢)fin¢ome
Net (expenditureyincome for the year is ststed after ¢harginW(CTediting):
2020
2019
Independent Examiner's Fees
Depreciation
430
25,969
420
23,976
Directors and key management personu
During the year twstees did not receive remuneralion
The key management personnel of the charity consists of the trustee&
12-

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 JULY 2020
10. Employees
The avera8¢ rnonthly number of persons employed during the year was
Year to
31 Jul 2020
No
YeAr to
31 July2019
Charitable activities
Employment costs
Year to31
July 2020
Y¢arto31
July 2019
Wages and salaries
Social security ¢OSts
Other pension costs
1,250
1,250
No employee earned more than £60,￿0 per annum.
I l. Tingible fixed assets
Equlprnent
Total
Cost
At 31 July 2019
Additions
Disposals
At 31 July 2020
212,625
31,948
212,625
31,948
244,573
244,573
Deprecladon
At 31 July 2019
Charge for the year
At31 July 2020
140,697
25,969
166,666
140,697
25,969
166,666
Net book value
At31 July 2020
At31 July2019
77,907
71,928
77,907
71,928
13-

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
NOTES TO THE FINANCIAL sTATEmE￿s
YEAR ENDED 31 JULY 2020
12. Debtors
2020
2019
Trade debtors
Other debtors
13. Crediton: Amounts falllng due wlthln one year
2020
2019
Trade creditors
936
936
14. Creditor•: Amounts fAlllng du¢ Tvlthln one year
2020
2019
1,000
1,000
IS. Anitysis of charltabk funds
At
IAug
2019 Ineomlng O•tgoin8 Tranjfe
At
31July
2020
General regerve
Desi8llat¢d r¢gerv¢
IA719
14894
120,064)
11,149
Total unrestrl¢t¢d funds
16,719
14,494
(20,064)
11,149
rkpartment of TranspKJrt and
Charilies Aid Foundation
DEFRA
57,984
3311
25,957
(20,985)
(803)
62.956
2,408
Total restrleted funds
61,195
25,957
121,788)
65 J64
Total funds
77,914
40,451
{41,852)
76,513
14-

WUKSART LIMITED
COMPANY LIMITED BY GUAII4NTEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 JULY 2020
General reserve
General reserves are the free reserves after allowing for all designated funds.
Departhient of TrAnsport and Charitlej Aid Foundallon
The money is to be spent on equipment. The balance rclates to fixed ass¢ts to b¢ depreciated
over 4 years.
DEFRA
The money is to be spent on equipment. Thc balance relates to fixed assets to be depreciated
over 4 y¢ars.
16. Analygls of net gJ8ets between funds
Tangible
fixed assets
Other
net assets
Total
Unrestrlcted funds
Unrestricted Funds
Designated Funds
12J43
{lJ94)
11,149
Rejtrieted fundfj
De￿rtrnenl of Transport and Charities Aid
Foundation
DEFRA
62,956
2,408
62,956
2,408
Total funds
77,907
(1,394)
76,513
17. Related party tranjactionj
The charity had no related party transactions that required disclosure.
15-

WUKSART LIMITED
COMPANY LIMITED BY GUAII4NTEE
FINANCIAL STATEMENTS
FOR
31 JULY 2020
Company Registratlon Number 08158395
Charity Number Il52138
DERBY COMMUNITY ACCOUNTANCY SERVICE
Babington Lodge
128 Green Lane
Derby
DEI IRY

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
FINANCIAL STATEMENTS
YEAR EI¥4DED 31 JULY 2020
Contsnts
Page
Members of the board and professional advisers
Trustees, annual report
24
Independent Examiner's Report
Statement of financial activities
Balance sheet
Notes to the financial statements
8-15

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
REFERENCE AND ADMINISTRATIVE DETAILS
The board oftrusteej
Nigel Cobb
John Faulconbrid8e
Registered offic¢
Redhill Marina
Ralcliffe-on-soar
Nottingham
NGI I OEB
DEI IRY
Independent Examlner
Mark Newey ACMA
Derby Community Accountsncy Service
BabIn￿On Lodge
128 Green Lane
Derby
DEI IRYT

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
TRUSTEFS. ANNUAL REPORT
YEAR ENDED 31 JULY 2020
The trustees, who are also Directors for thc PUTPX)ses of the Companies ACL have pleasure in
presenting their re￿}rt and the unaudited financial statements of the charity for the y¢ar ended 31
July 2020.
IVTTIE
The company's objects and principal activities remain:
l. To relieve suffering and distress amongst persons endangered by flooding or natural
hazards by the provision and maintenance of a trained rescue team to operate
predominantly throughout the East Midlands and the United Kingdom or t operate
worldwide if requested.
2. To promote co-operation and relationships with other search and rescue teams, police
forces, fire authorities ambulance trusts and any other interested parties with similar
objective to those of the charity within operational area of the charity.
3. To educate the public at large with all ￿tentIal wa*r users by giving talks and
demonstrations of the ￿ssIble dangers and hazaTds of water and water sources with the
aim of preventing tragedies or mishaps.
4. To maintain and improve the professional Standar￿ with Charity.
SUMMARY OF THE MAIN ACTIVITIES U
IN REL
TI
THESE OBJEcrs
DERTAKEN FOR THE PUBLIC BENEFIT
In planning our activities each year our Tntstees have regard to both the Charity Commissions
generdl guidance on public benefit and its supplementsry guidance on advancing edu¢a¢ion. The
Tru5tces alway5 ensure that the programmes we undertake are in line with our charitsble
objectives and aims.
ACHIEVEMENTS AND PERFORMANCE
Our charitsble objectives state we exist for public benefiL to reliev¢ suffering and distress
amongst persons endangered by flooding or natural hazards. It is increasingly apparent that there
is a nccd for our services. which the public are i*coming i￿￿1n8]Y aware of.
Wuksart Limited spxcialises in the followin&-
* RespKJnding nationally to flooding under the DEFRA Concem of Operations.
* Water rescue incidents within the East Midlands and Nationally.
* tA)cal & widespread fl(KMlin8.
* Searches for missing and vulnerable people.
* Provide supwrt during times of adverse weather conditions.
* Provide support at wa*r r¢lat¢d in¢idents when required.
* Powerboat ￿Scue operdtions.
* Provide underwater sta￿h Capability.
* Flood support to local communities including flood evacuation

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
TRUSTEES, ANNUAL REPORT
YEAR ENDED 31 JULY 2020
With skills in search & rescuc, water & fl(￿ rescue, rope r￿u¢ and advanced medi￿1 care
Wuksart Limited always aims to deliver a fasL dynami¢ and pxbfessional icam.
The charity had a successful year in which it received a grdnt from the Department of Trnnsp)
which it used to purchase, equipm¢nL boats and vehicles to enhance its service capability.
We have c¢)ntinued to provide volunlary service5 in the water rescue arena. Providing support to the
National kn¢t R¢8i5ter. l(Kal agreements with Fir¢ Services and Local Police Services for Missing
RESERVES
The Charity aims to build up reserves to cover 3 months opernting Costs.
STR
RE GOVERNANCE AIYD MANAGEMENT
Governing doeumenl
Wuksart Limited is a rcgistcred charity, number 1152138, whose company registrdtion numlKr is
08158395. The charity's governing document is the Memorandum and Articles of Association
being adopted on 26 July 2012. The charitys registered otrice i& Redhill Marin4 Ratcliffe-On-
Soar, Nottingham, NGI OEB
IDdudion and training oftn
The Charity undertakes, when the need arise& a skills audit to detennine the requirements of the
trustee b)dy. If a skill shortage is identified. approaches are made to spe¢ifi¢ w>ple identified &$
having these skills
Risk management policy
The trustees examine the major risks that the Charity faces each flnancial year when preparing and
updating the strategic plan. The charity has develoF*d sy5tem5 to monstor and control these risks
to mitigate any impact that they may have on the charity in the future.
Indepelldent Examiner
Derby Community Accountancy Service and will be in olTice as independent examiner for the
ensuing year.
Sm211 company provisions
This rewrt has IKen prepared in accordance with the special w)visions for small companies
under Part 15 of the comp￿leS Act 2006.

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
TRUSTEES, ANNUAL REPORT
YEAR ENDED 31 JULY 2020
Registered office:
Redhill Marin8
Ratcliff¢-On-Soar
Nottin8ham
NGI I OEB
Signed on behalf of the trustees
J. Faul¢onbridg¢
Trustee
Approved by the trustees on

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
YEAR ENDED 31 JULY 2020
I report on the accounts of the cornpany for the year ended 31 July 2020 which arc set out on
pages 6 to IS.
Respectlv¢ rnsponsibililles of trustees and ex&mln¢r
The tru5tces (who are also the directors of the company for the purposes of company law) are
responsible for the preparation of the accounts. The trustees consider that an audit 15 not required
for this year und¢r section 144{2) of the Chariti¢s Act 2011 (the 2011 Act) and that an
independ¢nt examination is needed.
Having satisfied myself that the Charity is not subject to an audit under company law and is
eligible for indepcndcnt examination, it is my responsibility to:
examine the accounts under section 145 of the 2011 Act;
follow the procedur¢s laid down in the general DI￿¢10nS 8iv¢n by the Charity Commission
under section 145(5)(b) of the 2011 Act, and
state wh¢th¢r particular matters have come to my attention.
Basls of Independent examiner'j report
My examination was carried out in accordance with general Directions given by the Charity
Commission. An examin&iion 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
unusuAI items or disclosures in the aecounis, and seeking explanations from you as trustees
concerning any such matters. The procedurcs 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 ,￿rue and fair view" and th¢ ￿POrt is limited to those matters set out in the statement
below.
Independent examlner's stalement
In connection with my examination, no matter has come to my attention:
which gives me reasonabl¢ ¢ause to believe thal in any material respect, the requirements..
to keep accounting records in accordance with section 386 of the Companies Act 2006. and
to prepare accounts which accord with the accountin8 records, comply with the accounting
requirements of 5CCtion 396 of the Companies Act 2006 and with the methods and principles
of the Ststement of Recommended Practice: Accounting and Reportin8 by Charities have
not been met; or
to which. in my opinion. attention should be drawn in order to enable a proper
undcrslanding of the account5 to be reached.
Iwlzi
Mark Newey ACMA
Derby Community Accountancy Service
Babin8ton Lodge
128 Green
Derby
DEI IRY

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
STATEMENT OF FINANCIAL ACTIVITIES
YEAR ENDED 31 JULY 2020
Unrestrleted
Funds
R¢strl¢led
Funds
Total Funds
Year to31
July 2020
Total Funds
Yearto 31
July2019
Note
Ineome from:
Donation5
ChariLqble activities
Other in¢ome
Inv¢stment income
2,135
5,744
6ffj15
2,135
31,701
6,615
21,264
16,725
984
25,957
Totsl incoming resourcej
14,494
25,957
40,451
38,973
Raising funds
Charitable activities
20,064
21,788
41152
43,713
Total expendlturn
20064
21,788
41052
43,713
Net (expendlture) Income
{SJ70)
4,169
(1,401)
(4,740)
Transfer between funds
Net movement In funds
(5A70)
4,169
{1,401)
(4,740)
Fund balvdncej at l Aug
2019
16,719
61,195
77,914
82,654
Fund b8lan¢eJ at 31July
2020
11.149
65J64
76A13
77,914
The Company had no new or discontinued activities durin8 the year.
The notes on pages 8 to 15 form part of these financial statements.

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
BALANCE SHEET
YEAR ENDED 31 JULY 2020
2020
2019
Note
Flxed assets
Tangible assets
Current assets
Debtors
Cash at bonk and in hand
77,907
71,928
12
542
5,986
542
5,986
Credliors: amounts fAlling due
withln one year
13
(936)
N¢t current assets
(394)
5,986
Totsl assets less eurrent Ilabllltles
77,513
77,914
Creditors: amounts falllng due after
One year
N¢t assets
14
(1,000)
76,513
77,914
The funds of the charlty:
Restricted
Unrestricted- general reserves
Unr¢stricted- designated reser4es
TOTAL CHARITY FUNDS
15
Is
Is
65J64
11,149
61,195
16,719
76,513
77,914
For ihe year ending 31 July 2020 the company was entitled to exemoion from audit und¢r section
477 of the Companies Act 2006 relatin8 to small companies.
Directors, responsibilities:.
The mem￿rS have not required the company to obtain an audit of its accounts for the year
in qu¢stion in accordance with seciion 476.
The directors acknowledge their responsibility for complyin8 With the requirements of the
Act with respect to accounting records and th¢ preparation of accounts.
These financial statements have been prepared in accordance with the provisions applicable to
comp&nies subject to the small companies re81rn¢.
These fi
ancial ststements were approved by the directors and authorised for is5uc on
XOFI
and are signed on their behalf by:
J. Faulconbridgc
Director
Company Registration Number: 08158395
The notes on pages 8 to 15 form part of these financial statements.

WUKSART LIMITED
COMPANY LllVIITED BY GUARANTEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 JULY 2020
A¢¢ounting poli¢ie8
The principal accounting policies adopted. judgements and key sources of estimation
uncertainty in the preparation of the financial statements are as follows:
Company Informatlon
Wuks&rt Limited is a ￿mPanY limited by guarantee not havin8 8 sharc capital. The
company's re8iStered olTi¢e is Redhill Marina, Ratcliffe-on-soar. At the end of the year
there were 2 Trustees. each of whom. under the tern?s of the Mernorandum and Articles of
Association, had undertaken to contribute the sum not exceedin8 £1 in the event of a winding
up of the company.
1.1 Aecounting convention
These accounts have been prepared in a¢¢ordanc¢ with FRS 102, "The Financial Reporting
Standard applicable in the UK and Republic of Ir¢land" ("FRS 102"), 'Accountin8 and
Reporting by Charities" the Statement of Recommended Practice for Charities Applying FRS
102, the Companie5 Aet 2006 and UK Generally Accepted Accountin8 Practice as it apples
from l January 2015. The charity is a Publi¢ Benefit Entity 8$ defined by FRS 102.
The accounts are prepared in St¢rlin8 which is the functional CUrr¢￿Y of the company
Monetary amounts in these financial stat¢ments to the nearest £.
The a¢¢ounts have been pr¢par¢d on historical cosl convention apart from freehold property
that is Carried at market value. The principal accountin8 policies adopted are sct oui below.
These are accounts for the year ended 31 July 2020 prepared in 8c¢ordance with FRS 102,
The Financial Reporting Slandard applicable in the UK and Republi¢ of Ireland. The date of
transition to FRS 102 was l August 2014.
1.2 Golng concern
At the time of approving the accounts, the directors have a reasonable expe¢tstion that the
charity has adequate resources to continue in operational exisl¢nce for the foreseeable future.
Thus the Trustees continue to adopt the goin8 concem basis of accounting in preparing the
a¢counts.
1.3 Charltable Funds
Unrestricted funds are available for use at the dI￿retIOn of th¢ trustees in furtheran¢e of the
Beneral objectives of the charity.
D¢si8nated funds are unrestricted funds eamiarked by the trustees for particular purFK)$es.
Restricted funds are subje¢ted to restrictions on their expenditure imposed by the donor or
through the ternis of an appeal.
1.4 Incoming resour¢es
All incoming resources are included in the SOFA when the charity is legally entitled to the
income and the amount can be quantified wilh reasonable a¢curacy. Gifts in kind have been
included at market value of gifts received and in assets acquired. No amounts are included in
the financial statements for services donated by volunteers.

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 JULY 2020
1.5 Resources ￿pended
All expenditure is accounted for on an awuals basls and has been ¢lassified under headings
that aggregate all costs rclaling to the ¢a*80ry. Where costs cannot be directly attributed to
particular headings they have been allocated to activilies on a basis consistent with use of the
resources. Fund-raising costs are those incurred in seeking voluniary contributions and do not
include the costs of disseminating infomiation in the sUp￿rt of the charitable activities.
1.6 Debtors
Trade and other debtors are reco8nis¢d it the settlement amount due after any trade discounts
offered. PrepAym¢nts are valued at the amount prepAid net of any trade discounts due.
1.7 Cash and cajh equlvalents
Cash and cash equivalents include cash in hand, deFK)sits held at call with banks. other short-
t¢rn) liquid investments with original maturitics of three months or les4 and bank overdrafts.
Bank overdrafts are shown within borrowings in current liabilities.
1.8 Credltors and provlslons
Creditors and provisions are rKo8nised wherc the ¢harity has a pr¢sent obligation resulting
from a past ev¢nt that will probably result in transfer of funds to a third party and the
amount due to settle the obligation can be musured or estimated reliably, Creditors and
provisions are nonnally recognised at their settlement amount after allowing for any trade
discounts due.
1.9 Flnaneial instrumeDts
The charity has financial assets and financial liabilities of a kind that qualify a5 basic
financial instruments. Basic financial instruments are initially recognised at transaction value
and subsequently measured al their settlement value.
Dereeognltion ofJ7nanclal Ilabllliles
Financial liabilities are derecognised when the compny's contractual obligations expl￿ or
are diKharged or caneclled.
1,10 Employee benefits
The cost of any unused holiday ¢ntitlement is re￿gniSed in the period in which the
employ¢¢'s services are received.
Ternination bcncfits arc recognised immediatrly as an expense when the company is
demonstrably wmmitted to ierniinal¢ thc employment of an cmployec or to provide
leThnination bcncfits.
1.11 Taxation
The charity is exempt from tax on income and gains falling with section 505 of the Taxes Act
1988 or section 252 of the Taxation of Chargcablc Gains Act 1992 to the extent that these are
applied to its charitable objects.
1.12 Depreeiation
Individual fixed assets are capitslised at cost and are depreciated over their estimated useful

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 ￿Ly 2020
economic lives on a reducing balance basis as follows:.
Asset eategory
Equipment
Fixtures and Fittings
Annual rate
25Yo
Critieal a¢¢ountlDg eslfimates Vdnd judgements
In the application of the charity's accounting policies, the directors are required to make
judgements, estimates and assumptions about the carrying amount of assets and liabilities
that are not readily apparent from other sources. The estimated and associated assumptions
are based on historical experience and other factors that are considered to be relevant. Actual
results may differ from these estimat¢s.
Donations
Totsl Funds
Year to 31
Juty 2020
Totsl Funds
Yearto31
July2019
Unrestri¢ted
Funds
R¢stri¢ted
Funds
Donations
2.135
2,135
2,135
2,135
21.264
21,264
In¢om¢ from ¢haritsble activities
Totsl Funds
Total Funds
Year to 31 Year to 31 July
July 2020
2019
Unre8trl¢t¢d Restrlcted
Funds
Funds
Grants
Department for Transport
DEFRA
25,957
25,957
7,124
Subscriptions
Sales and fundraising
2,770
2,974
5,744
2,770
2,974
2.860
6,741
16,725
25,957
31,701
io-

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 JULY 2020
Other income
Totsl Funds
Year to 31
July 2020
Totsl Funds
Yearto 31
July 2019
HMRC Refund
Sundry income
4,409
2206
893
91
6,615
984
Investment in¢ome
Total Funds
Year to 31
July 2020
Totsl Funds
Yearto31
July2019
Bank interest receivable (unrestricted)

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 JULY 2020
Analysis of expenditsre (unrestricted)
Ac￿MMOdatiOn
Stationery
Sub5iStence
Maintenance
tkpreciation
Base costs
14
51
26
25,969 23,976
2J93
547
537
49
1,460
4,445
3.231
1.301
4,920
1,486
1.250
420
Equipment
Insurdnce
Vehicle
Diesel and petrol
Computer costs
Sundry
Training
Wages
Fees
3,422
1.993
2,077
636
2,760
899
41352 43,713
Expenditure on charilable activities was £41.852 (2019: £43.713) of which £21.788 was restricted
(2019 £20J99)
Net (¢Jp¢nditsr¢)fin¢ome
Net (expenditureyincome for the year is ststed after ¢harginW(CTediting):
2020
2019
Independent Examiner's Fees
Depreciation
430
25,969
420
23,976
Directors and key management personu
During the year twstees did not receive remuneralion
The key management personnel of the charity consists of the trustee&
12-

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 JULY 2020
10. Employees
The avera8¢ rnonthly number of persons employed during the year was
Year to
31 Jul 2020
No
YeAr to
31 July2019
Charitable activities
Employment costs
Year to31
July 2020
Y¢arto31
July 2019
Wages and salaries
Social security ¢OSts
Other pension costs
1,250
1,250
No employee earned more than £60,￿0 per annum.
I l. Tingible fixed assets
Equlprnent
Total
Cost
At 31 July 2019
Additions
Disposals
At 31 July 2020
212,625
31,948
212,625
31,948
244,573
244,573
Deprecladon
At 31 July 2019
Charge for the year
At31 July 2020
140,697
25,969
166,666
140,697
25,969
166,666
Net book value
At31 July 2020
At31 July2019
77,907
71,928
77,907
71,928
13-

WUKSART LIMITED
COMPANY LIMITED BY GUARANTEE
NOTES TO THE FINANCIAL sTATEmE￿s
YEAR ENDED 31 JULY 2020
12. Debtors
2020
2019
Trade debtors
Other debtors
13. Crediton: Amounts falllng due wlthln one year
2020
2019
Trade creditors
936
936
14. Creditor•: Amounts fAlllng du¢ Tvlthln one year
2020
2019
1,000
1,000
IS. Anitysis of charltabk funds
At
IAug
2019 Ineomlng O•tgoin8 Tranjfe
At
31July
2020
General regerve
Desi8llat¢d r¢gerv¢
IA719
14894
120,064)
11,149
Total unrestrl¢t¢d funds
16,719
14,494
(20,064)
11,149
rkpartment of TranspKJrt and
Charilies Aid Foundation
DEFRA
57,984
3311
25,957
(20,985)
(803)
62.956
2,408
Total restrleted funds
61,195
25,957
121,788)
65 J64
Total funds
77,914
40,451
{41,852)
76,513
14-

WUKSART LIMITED
COMPANY LIMITED BY GUAII4NTEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 JULY 2020
General reserve
General reserves are the free reserves after allowing for all designated funds.
Departhient of TrAnsport and Charitlej Aid Foundallon
The money is to be spent on equipment. The balance rclates to fixed ass¢ts to b¢ depreciated
over 4 years.
DEFRA
The money is to be spent on equipment. Thc balance relates to fixed assets to be depreciated
over 4 y¢ars.
16. Analygls of net gJ8ets between funds
Tangible
fixed assets
Other
net assets
Total
Unrestrlcted funds
Unrestricted Funds
Designated Funds
12J43
{lJ94)
11,149
Rejtrieted fundfj
De￿rtrnenl of Transport and Charities Aid
Foundation
DEFRA
62,956
2,408
62,956
2,408
Total funds
77,907
(1,394)
76,513
17. Related party tranjactionj
The charity had no related party transactions that required disclosure.
15-