## **Trustee Report 2021** 

This year started off very similar to how last year ended, with many restrictions in place around BLGC’s normal activities. However, it is great that it wasn’t too long before some restrictions were lifted. We were able to get bigger groups involved in training sessions as well as continue with lifeguard training courses and summer social events. 

Our training officers have done exceptionally well adapting to the changing guidance for best practices. The quality of sessions, as well as the ability to deliver and assess lifesaving training, has not been compromised at all. 

Some key members of the Management Committee organised a summer weekly Friday evening session at Joseph Steps for club and family members. It was fantastic to see so many people enjoying themselves in the lifesaving setting. It’s a good reminder that lifeguards are allowed to come away from the serious setting and ‘let their hair down’ for a well-deserved BBQ occasionally. 

Planning permission was granted to Bournemouth Lifeguard Corps at the end of 2020 for the development of the new training facility at Joseph Steps which is a great milestone to have achieved. 

Lawrence Watford is continuing to host sessions to publicise and inform members and the public of the changes that we will be undertaking with developments as they happen. 

We continue to seek the assistance of all willing volunteers to make the new training facility a reality. Please keep up to date with the notices and presentations so if you or someone you know can help us, we’d be really pleased to hear from them. 

The Trustees would like to thank everyone for their continued support in making Bournemouth Lifeguard Corps the great charity it has become and continues to be. 

David Gale, Dorothy Fox, Chris Gilbert, John Humphreys, Caryl Bird. 



Bournemouth Lifeguard Corps
Accounts for the year ending
30 September 2021
Charity number 1166158

Bournemouth Llfeguard Corps - 1166158
Contents
Page
Infonnation
Independent Examinerfs report
IncoTne
Expenditure
Balance sheet

Bournemouth Llfeguard Corps - 1166158
Infomiation
Trustees
Mr John William Humphreys (Chair}
Mr David Gale
Mr Chris Gilbert
Mrs Caryl Bird
Dr Dorothy Fox
Tr8asurer
Mrs Caryl Bird
Regsitered address
clo BH Live Slokewood
Siokewood Road
8ournemoulh
Dorsel
BH3 7ND
Accountants
Rowlands Webster Ltd
Austin House
43 Poole Road
Bournemouth
Dorsel
BH4 9DN
Bankers
Barclays Bank PLC
Charity number
1166158

Bournemouth Llfeguard Corps - 1166158
Independent Ex8mlner'$ Report to Ihe Trustees of Bournemouth Lifeguard Corps
I report on the accounts of the for th8 year ended 30 September 2021, which are sel out on the
attached pages.
Respectlv• respon8lbllltl•$ of trustees and examlner
The chartws trustees are responsible for the preparation of the accounts. The charity InJslee$ conslder
that an audit is not required for this year under $8clion 144(21 of thg Charililès Act 2011.
11 is my responsibility to..
examine the accounts under section 145 of the 2011 Act..
to follow the procedures lald down In the general Direcllons glven by the Ch8rity Commission
under section 1451Sllbl of tha 2011 Act., and
to stale whether particular matters have come lo my attenlS0n.
B•818 of Ind•p•nd•nt •xamlnerf• rgport
My examination was carried out in accordance with the general Directions given by the Charity
Commission. An examination includes 8 review ol the accounting records kgpl by the charity and a
comparlson of the accounts presented with those records. 11 also Includeg consideration of 8ny unusu81
items or dis¢lo$ure$ in the accounts. and seeking explanations from you 8$ Iruslees concernlng 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 lo whether the 8c¢ounls present a 'true and fair view, 8nd
thè r8port18 Ilmit•d to those matters Set out In the statement below.
Independent examlner's statement
In connection with my examination, no matter has come lo my att&nllon'.
{8}
which glves me reasonable cause to believe that in any mal¢rial respect the requir8menl$'.
lo keep accounllng records in accordance with section 130 of the 2011 Act; and
lo prepare accounts which comply with the accountsng requirements of the 2011 Acl,.
have not been mel.. or
lo which. in my opinion, 8ttenllon should be drawn Sn order to &nable a proper understsnding of
the accounts to be reached.
Ib)
Mark Ro￿and$
CTA FMAAT AThIFellow}
RO￿and5 Webster Limited
AustlnHouse 43 Poo19 Road
Bournemouth BH4 90N

Bournemouth Llfeguard Corps - 1166158
Income and Expenditure Account
INCOME
Subscriptions..
Weekly subscriptions
Monthly subscriptson5
Annual subscription
2021
2020
45.67
9.506.68
323.95
335.10
2,964.02
3,013.00
9.876.30
6,312.12
Events-.
Rookies
1.972.05
1,972.05
Fund Raising & Other Income-
Donations l Fund raislng
Grants
Awards
OlheT Events
Safely cover
Clothing
HMRC Duty refunded
2,267.83
1.193.81
21,885.30
400.00
800.00
2,100.00
498.03
445.06
2,913.75
469.00
6.110.92
26,861.86
Bank interest received
2.78
2.16
2.78
15,990.00
2.16
35.148.19
T¢)tal Income for the year
EXPENDITURE
General Maintenance & Running Costs..
IRB
Fuel
Maintsinence new garage doors
Equipment
HQ Equipment
171.33
243.42
300.30
216.72
931.76
23.412.67
296.57
1,011.62
24,561.15
Event Expenses..
Pool hire
Boxing Day
Printing, postage & stationery
Affiliation RLSS & PBCLSA
Other event expenseslwebsite
3.069.00
4.065.00
82.36
25.78
367.00
21.00
267.00
171.02
3.507.02
4.561.14
Fund Raising & Other Expenses..
Competitions
Awards
Clothing
32.00
260.15
192.00
87.65
575.93
663.58
484.15
Expensos..
Admin
BBQ
Accounts
Insurance
60.60
737.18
468.00
1.693.32
456.00
1.508.91
2.959.10
1,964.91
Other..
New Building al Beach
1,253.18
1,253.18
6,571.00
Tot81 Expense for the Year
9,394.50
38,142.35
Net surplus (Deflcltl
6,595.50
2994.16

Bournemouth Llfgguard Corps - 1166158
Balance sheet at 30 September 2021
2021
2020
Asset$
Barclays Bank Current Account
Scottlsh Widows Bank Deposll 1
Scottish Widows Bank Deposit 2
Cash
15,408.86
6,134.34
15.523.20
7,485.41
6,133.12
15,521.64
30.00
29.170.17
37,066.40
Llabllltites
Outstanding bllls 8t 3019121
1,300.70
Net current a8set8
35.765.70
29.170.17
Funds
Balance at start of p8nod
Nel surplug I deficit in year
Balance at end of period
29,170.17
6.595.50
35.765.67
32,164.33
2994.16
29,170.17
Theso accounts were approved by the Iruslees on
3rd OecembeT 2021
Signed
Mr John ¥Villiam Humphrey$
Trustee