THE SEA CADETS
ANNUAL STATEMENT OF ACCOUNf FOR THE UNIT
Fum
SCC A3 IR&PI
RECEIPTS & PAYMENTS ACCOUNT lor year •nded 31 March 2028
run6ts In Sc(rtland.' Trms Statwnwrt's I￿￿ orvj It8 8CnJtiny are go¥￿￿j Regul&tlon6- SSI 20CW218)
Pthav AC1
IlJ•oto b•kn¥d•d tD Area Buiinem & m￿a•￿ert LYreLtrrf th•xted nolater l kn•rnbw exh ywl
Charit No..
Unlt Nam•:
enera
Fund-namelpurpose lif not held for the Unit's ￿ purposes):.
THIS
LAST
YEAR
YEAR
REVENUE RECE
PT
Nol•8
CAPITATION
. TRAVEL EXPENSE REFUNDS
DIRECT
SCVA (Soa Cadet Victualling AJlowanc•)
OTHER GRANTS
CADET CONTR18UTIONS
OTHER DONATIONSILEGACIES
FUNDRAISING PROCEEDS {nol.' Spec181 EN*nls as below)
SPECIAL EVENTS PROCEEDS18s SI]￿ actmiy orty)
COMPETITION RECEIPTS
- COURSE FEES
SUNDRY SALES RECEIPTS
INVESTMENT INCOME RECEIVED
BANK DEPOSIT INTEREST
PROPERTY RENTS Ilncludes any occaslonal lettlngsthltys)
OTHER REVENUE RECEIPTS
264
281
-375
TOTAL REVENUE RECEIPTS A
INVESTMENT SALES PROCEEDS
PROCEEDS FROM SALES OF OTHER FIXED ASSETS
LOANS RECEIVEDIRECOVERED Ondude grAnts per contra
TRANSFERS FROM CHARITY 305055 4 DECEMBER 2017
ANY OTHER RECEIPTS
TOTAL NON41EVENue RECEIPTS B
eAtt4ch that Fund's Similar Accounl ol ReceiDl$ as paae AC1A. and so on)
(Yth.. LO￿ arn trace1￿1, here ￿Ymo￿￿' on pagg AC2)
TOTAL RECEIPTS IxA+B) C
39,352
31.517
Re¢onclllatlon.'.
REVENUE ITEMS {- A- D from page AC2)
- NON-REVENUE ITEMS {= B- E Imm page AC2)
COMBINED IzG+H)
CASHIBANK BALANCE FROM LAST YEAR￿N0
CASHIBANK BALANCE AT THIS YEAR￿N0
11,691
-7,507
Page AC1

THE SEA CADETS
ANNUAL STATEMENT OF ACCOUNf FOR THE UNIT
Form
SCC A3 IR&PI
RECEIPTS & PAYMENTS ACCOUNT for y•ar¢nd•d 31 March 2025
Pagv AC2
I'units In Scolland.. Th18 StstemenY8 fomi and content and its 8crullny are govemed by Regulallon8- SSI 2006r218)
(Als¥ to be fo￿Arded to Aréa Bu&n055 & M*agoment ￿'1•¢tor aA (rtherwso drected no lJtorthan 1 Nov•mb•r •xh yaarl
Unit Name: GUILDFORD UNIT OF THE SEA CADET CORPS
ner
Fund-namelpurpose lif not held for the Unit's purp05es):.
ChaTity No.. 1171483
This
YEAR
LAST
YEAR
Notes
REVENUE PAYMENTS-
FUNDRAISING COSTS (not.. Sp•clal Events as beluw)
INVESTMENT MANAGEMENT COSTS {rf any)
- SPECIAL EVENTS COSTS
- COMPETITION COSTS
- FUEL AND TRAVEL COSTS
- CATERING COSTS
- TRAINING COURSES COSTS
GRANTS Oncludlng any charitabl• loan8 wrltten offj
ARTICLES PURCHASED FOR RESALE
743
-109
-331
947
- RENT I COUNCIL TAX
- HEAT, LIGHT & WATER
- TELEPHONE
- POSTAGE, OFFICE SUPPLIES AND PRINTING
- RECRUITMENT, PUBLICITY, ETC
616
520
453
428
562
100
BUILDINGS
- BOATS
- VEHICLES
- COMPUTERS
- OTHER EQUIPMENT
FUEL COSTS
INSURANCE COSTS
8ANK INTEREST & CHARGES
257
60
74
561
21
FOR AUDIT OR INDEPENDENT EXAMINATION
FOR ACCOUNTS PREPARATION
FOR LEGAL ADVICE (for constitution or trustees)
OTHER REVENUE COSTS
TOTAL REIENUE PAYMENTS D
FOR INVESTMENTS PURCHASED
ASSET PURCHASES
LOANS MADEIREPAID
TRANSFERS FROM ANY OTHER. FUND OF THE UNIT
ANY OTHER PAYMENTS
0.00
TOTAL NON41EVENUE PAYMENTS E
TOTAL PAYMENTS IxD+EI F
¢Attach that Fund's similar Account of Pavmenls as Daae AC2A. and so on)
Paoe AC2

THE SEA CADETS
ANNUAL STATEMENT OF ACGOUNf FOR THE UNIT
orm
SCC A3 IR&PI
STATEMENT OF BALANCES & ACCOUNTS NOTES for year ended 31 March 2025
PaN¥ A¢3
I'units In Scotland.. Th18 Statement's fomi and Content and its 8CTullny are govwned by Regul*ion#- SSI 2t)0612181
IA*0 tD be lo￿arded lo Area Busi￿￿ & MJnaaomènl D+Féctor 8nd a6 Otherwi•e directed no l•tv than 1 Novernber ￿ch yearl
Name
of Fund
THIS
YEAR
LAST
YEAR
In England & Wale*: STATEMENT OF ASSETS & LIABILITIES
IEnoli•hMlolihlNI Unkn.. tIA vahja￿On•k¢th or a¢¢oLrt• not￿ req￿r•dI
CASHIBANK BALANCEISI AT YEAR-END (from page AC1)
CASHIBANK BALANCEISI AT YEAR-END (from p8ge AC1A)
BANK DEPOSITS (If any) not included above
LOANS RECOVERABLE
OTHER DEBTS (total recov8r&bl8- 6xdude any'accruals)- Note 3
'STOCKS OF ITEMS FOR RESALE (total C￿1)
INVESTMENTS Ipfesent value of secuiilies &c)
INVESTMENTS Idltto- belonglng to a R86tr1cted Fund, If any)
- LAND & BUILDINGS
- BOATS
- VEHICLES
- COMPUTERS AND OTHER EQUIPMENT
'For all those Items fjnduding any gifts at estimatod valug wthen tyv•n)
not owned
not owned
LOANS REPAYABLE
OTHER CREDITORS Ootal pay8ble- exdude any'accruahl Se• Nolo 4
CONTINGENT LlhBIUTIES1oslmalod lolal amount)
0.00
40.00
[S¢ottl¥h] ACCOUNTS NOTES. Of nol wltlln Annual Repcrft)
For any ullatdio Receipls & Payments Account indud•d in thls
Slalemenl of Account.. the nature and purpose ol each Fund
Total number and •mount of any grants pald lo (l) Indlvlduals and (11)
instttutlons, anatysed by type of octlvty or projéct
Amounts
Partlcularn
Qfv• pag•
nol•l. or My il
Amount of trustee remuneratlon Ilnc. to connected person$) pald and
Amount of any iruslee expenses relmbur$ed and for how many
Irustees
Amount and nature of any other Irusteglltransactlons (Includlng wlih
connected persons. slallng the relalionshipl -
tog•ther wlth any amount owlng at Ihe year-•nd (say If none)
lor My Ifnom)
lor ¥y Ifnon•l
horrty.
Foi how many..
Any further Inforni4tlon that 'may réasonabty a8s1sl' the rnader
Ofve pall•
-or￿y￿n0rn
f'show d8taMs on an •xtra attach&d (numbared) page if necessary)
Signed as au
orise
's Management Committaè- Date..
.Unit Chair and Treasurer
Unit Trustee
Not•.. Tho statutory 8udt orInt￿p8nd8nt examination rep)rt on Ihis st816n￿nt of Account musl be attached.
Page AC3

THE SEA CADETS
ANNUAL STATEMENT OF ACCOUNP FOR THE UNIT
Form
SCC A3 IR&PI
TRUSTEES, ANNUAL REPORT ON ACTIVITIES for year ended 31 March 2026
Page AC4
I'UnitB In Scotland.. Th16 Stal•nKints fcrfm and contqnt and tts SCNtiny we ggvem•d by R•gulation8- SSI 2006r2181
IA80 lo be forw•rded to h•a Bu•irti• & M•n•g¢mert Clir•clor and al othaM6• directed rK14ter Ih•n 1 Nvwmber vach s*arl
Unlt Name:
GUILDFORD UNIT OF THE SEA CADET CORPS
Charfty No..
1171483
Unit address (or address for corre
House name..
ondence ,
Street and No..
9Da
den Road
Shalford
GUILDFORD
Surre
GU4 8DD
Area or Estate..
Townlcity:
County..
Post Code..
Unit Management Comrnlttee members
MrDCha
an
Commander M. J. Evans RN
Prof A Hadfield
Mr A Keen
Mr D. Owen
Lieut. Cdr. J M Robertson OBE RN
the 'tharit trustees,
at date of si
nin
Re
ort'.-
po
scc
F van Schelle
Narnes of any other
ersons who were chari
Cdre. M. Potter CBE RN
scc
Dave Thomas
trustees of th8 Unlt at an
time in the financial
ear'.-
Name of any person who is now (or was, in the financial yearl a 'trustee for the charity, _ 1,8., holding or in possession of
8ny assets belonging to the Unit (includes custodians, nominees &c) [not.' Scotlandj:.
Nature and date of the Unlt's constitutlon {govemlng document):.
Charitable Incor
orated Or
anisation. Constitution 26 Feb 2017 and b Sea Cadet R ulations
The method(8) adopted lor recrultlng new trustee4 and how trust•g¥ 4r• ol•cted or otherwl8e appolnted (and by
whom
In accordance wlth the Unlt'3 conslltutlon are as follows:.
Unit Managemenl Committee (UMC) members are elected annually at the Annu81 General Meeting (AGM). In
accordance with the constitution, one third of UMC Members must sland down each year. Mernbe￿ standing down may
put themselv8s foNan* for ￿-electIOn. Members rnay serve for a maximum of three consecutive tenns and must then
stand down lor at least a year before seeking Tr*leGtion. In the event of a vacanGy arising during the year (known as a
casual vacancy), the UMC h8ve the power to appoint 8 new UMC member. The UMC member appointed Mll serve until
the date or the next AGM, aifer which the post will be filled by election.
Tho Unlt's charltable purpose(s) as set out In Its constltullon Is:.
The charitable purpose of the CIO Is to promote the development of young people in achieving their physcal, inte118Ctual
and social potential as individuals and as responsible atizens by the provi&on of education and leisure time activities
u&ng a nautical theme and in accordance wth the prinaples, ethos 8nd practices of the Marine Soaety and Sea Cadets
( MSSC") vknose registered chanty number is 313013.
Trustees Report - Page 1 of 2

The Unlt's maln actlvltles and achlevements In the flnanclal
The charity continues to deliver on its objective of providing developmental opportunities for young people in the
Guildford area. Cadet numbers have remained at around 50 throughout the year and there has been good recruitment into
the junior section. Cadets have partiapated enthu&astically in all available activltles . These have induded competitions,
boating, incjuding offshore voyages, camps, cnmpetitions and engaging wth the local community. We are cooperating
th Surrey Open Leaming and Development, we continue to host Surrey Care Trust boats and the local RAF Air Cadets.
Although we were delighted vthen our Commanding Officer was promoted this meant that he had to move on. Fortunately,
there is a very able successor. Trustees continue to spend to maintain viable premises for the medium term.
ear were:.
Publlc Beneflt
The UMC contlnue to glve due regard to the publlc beneflt provlded by the Unlt In relatlon to the charftable
purpose of the S•a Cadet movement as set out In the actlvltles and achlevements a8 Outllned above. Tha alm l•
to promote the development of young peoplo In achlevlng thelr physlcal. Intellectual and soclal potentlal a8
Indlvlduall and responslble cltlzen8 In a 8afe envlronment. In order to achleve th1• the Unlt takes young people
from all backgrounds, Includlng whern pos8lble those wlth dl8abllltle8 and develop8 thelr •klll4 and abllltles by:
Regular and 8tructured actlvltlm wlth a nautl¢al th•m•.
Allowlng young people to take part In actlvltlos connected wlth the wlder Sea Cadat movement such as
seabomé actlvltles, events and competltlon8 at dlstrfct, area and natlonal levels.
Avallablllty of formal gducatlonal achlavements whllst taklng cournes to eam badges and promotlon•
Contrlbutlons arn kept low In order to en•urn all those who wlgh to take part In the actlvltles of tho Unlt may do
80.
The charily trustees, policy airns to malntain unrestrlcted re8arvas at a level equating to
three
months
revenue payments in order to safeguard the Unit's ongoing activities from any unexpected fluctuations in Income.
Year-end reserves amounted to
£6,000 equal lo
three
monthg on that basis.
£5000
designated fvnds rnprnsenting fixed assets needed lor future actiwties and
for futurn projerts to be carried out %wthin
five year
as cunently planned/expected
The Unit holds
£15,
See nole 3 .
We confimi that there are no serious inrydents or matters r8lating to the charity over the previous financial year Nthich
should have been brought to the Commission's attention but have not.
D8te slgned as SU
0rf88d
y the Unlt's Management Committe&:
Date:
7tyz
uzr
Unit Chair and Treasurer
. Unit Trustee
Independent Examiner
Note.. The statutory audit orindependent examination rnport on this sfatement of Account must be attached.
Trustees Re
ort-Pa
e2of2

THE SEA CADET3
ANNUAL 8TATEMENT OF ACCOUNT FOR THE UNIT
Lvm
C A3,'R&PI
NOTE8 TO THE ACCOUNT for ye•r endod J1 March 20215
Unll QUILDFORD UNIT OF
Charfty No.. 1171413
N•me: THE 8EA CADEr
CORP8
Not• 1
ThD Unit M•n•yment Cornrrlilm to •Gkno*kdg• th• i•n•rMity ofth• fdkn￿'ng m•b¥>r hmhclorn..
Mr• N Hicks
ConwwNty Found•tion for 8urr•y lor ￿d•ll h••d• wop¢t
£10,CO)
£5,C
Th• Unh IA•naqem•nt Corrorltt•• •kn to th•nk th• mAny athw gon•roui donors ot •mill•r
Not• Z
Th• Ic4k*4ng points rr•y help • rn•d•ts und•tYtsndhg wfi•n MI￿n0 ¢orfP•flR¢rn of and Ihe F￿￿ou• y••rn'thy••.
C•d8t Conlritth'on• in 202*25 Indudpd Aid or 2 y••rn. No Gfft WA• r•uiv•d in 202>24
Th• £5COJ d￿gnal•d •r• • gr•nt from th• ComrrnY*ty Fa￿dI￿on for Swr•y to b• •p•nt on upy•dlfvJ th• ￿d•ty, tsilots •nd
f•rA1￿•0
Notsj
Th• CDmrnltt•• Antru••to ￿ l￿d& frJnd•lorkn• lubJr• T•F4*pJm•nt of k•y *•••t• •nd r•d•v•lapn•nl olth• owr•nt Frtrfl••& T
arnounts ••t ••d• •t 31 M•rch 2025 4r•..
IT lo￿*
1,5CO.C
2,OCQ.C¥)
5.000.00
2.QC#J.00
s.000.00
15 500.LKI
Bollor r•rl8c•rn•nt Iwd
Mini bu• r•F4•c•rn•nt fund
Pr•rnl•M r•d•v•lown•ntfund
Totsl
The Corrfflth• ￿nInU•• to ••• lh• n••d to •p•nd on th• F¥•rrlu• to iddMwlh• ol th• 2022 •lN¢ttnl wrv•y.

CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's
report on the accounts
Section A
Independent Examiner's Report
Report to the trusteesl
members of
Guildford Unit of the Sea Cadet Corps
On accounts for the year
ènded
31 March 2025
CharSty no
(If any)
1171483
Set out on pagos
AC1 to AC4 and Notes to the Accounts
I report to the trustees on my examination of the accounts of the above
charity (Yhe Trust.) for the year ended 3110312025
Responslbllltlos and As the charity trustees of the Trust, you are responsible for the p￿paratIOn
basls of report of the accounts in accordance with the requirements of the Charities Act
2011 (￿he Act.).
I report in respect of my examination of the Trust's accounts carried out
under section 145 of the 2011 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.
I have completed my examination. I confirm that no material matters have
come to my attention
in connection with
the examination which gives me cause to believe that in, any material
respect:
accounting records were not kept in accordance with section 130 of
the Act or
the accounts do not accord with the accounting records
Independent
examiner's Statement
I have no concems and have come across no other matters in connection
with the examination to which attention should be drawn in order to enable
proper understanding of the accounts to be reached.
. Please delete the words in the brackets if they do not 8ppIy.
Slgned:
Dats:
Name:
Relevant professlonal
quallflcation(s) or body
(If any):
Addrnss:
z)rs
IER
October 2018