Trustees Annual Report & Financial Statement
Lions Club of Fleet
For Year 1st July 2024 to 30[th] June 2025
Trustees
J.E. Pitkin Appointed 1st July 2022 Chair of Trustees July 1[st] 2024~ 30[th] June 2025
G.J. Pullen Appointed 1st July 2021 Secretary of Trustees: 1.7.2021 to current
L.D. Roberts Appointed 1st July 2020 Treasurer of Trustees July 1[st] 2024~ 30[th] June 2025
B.W. Proctor Appointed 5th April 2023 L.J. Rust Appointed 5th February 2020 M.B. Collen Appointed 1st July 2019 M.L. Cooper Appointed 1st July 2018
J. Storey Appointed 1st July 2021
C. Munday Appointed 1st July 2024
Bankers: HSBC 33 The Borough, Farnham, Surrey, GU9 7NJ
All Trustees are appointed for one year from the 1st July each year, by the Members.
LIONS CLUB OF FLEET (CIO) A Charitable Incorporated Organisaton in England & Wales No. 1177181 TRUSTEES ANNUAL REPORT FOR THE PERIOD ENDED 30TH JUNE 2025
History, objectives and activities of the Charitable Incorporated Organisation
The Club is a member of the International Association of Lions Clubs and was established as a Charitable Incorporated Organisation (CIO) on 15th February 2018. The CIO was formed out of the Club's Charitable Trust and the Club's Administration Fund, which have been chartered by the Lions Clubs International since 1974.
The Objects of the Club are such purposes as are exclusively charitable in England, including in particular: the advancement of citizenship by promoting the principles of good citizenship. encouraging members to take an active interest in the civic, cultural, social and moral welfare of the community. providing a forum for the open discussion of all matters of public interest provided that partisan politics and sectarian religion shall not be debated by members. encouraging service-minded people to serve their community without personal reward and encouraging the promotion of high ethical standards in commerce, industry, professions, public works and private endeavours. supporting youth to develop their skills, capacities and capabilities to enable them to participate in society as mature and responsible individuals. promoting the Voluntary Sector for the public benefit by associating with local authorities in a common effort to advance education and provide facilities in the interests of social welfare for recreation or other leisure time occupation.
The advancement of health or the saving of lives by preventing avoidable blindness, assisting disabled people to lead independent lives, or helping to prevent or manage health issues. promoting for the benefit of the public the conservation, protection and improvement of the physical and natural environment; and promoting community participation in healthy recreation.
Throughout the year, the Trustees have paid regard to the Charity Commission's guidance on public benefits in dealing with the objectives and activities of the Club. The Club relies on the surpluses made from fundraising events, or donations from the public and other organisations, along with grants from local government, to provide the funds with which to carry out its objectives. All administrative expenses of the Club are met from subscriptions paid by its members. There has been no change in these policies during the year. The work of the CIO is carried out entirely by
volunteers. From time to time, as appropriate, the Club works closely with other local and national agencies, with other Lions Clubs, and with Lions Clubs International to achieve its objectives.
Management and governance arrangements
The Club is governed by its CIO Constitution and by the Constitutions and By-Laws of Lions Clubs International, as revised from time to time. The Trustees are appointed in accordance with the CIO Constitution and By-Laws, by the members of the Club, and they have an overall responsibility to ensure that the Club operates in accordance with Charity law and the Club's CIO document. The day to-day running of the Club is overseen by the Trustees, and they form and organise such committees as it deems appropriate for the effective running of the Club. All business of the Club is ratified by the members in general (Club) meetings, which meetings are held at least once per month. The Club is ably supported by the volunteer services of its members and other members of the public.
Details of the Trustees who have served throughout the reporting period are set out at the front of this report and accounts. The Trustees meet at least once a month.
Financial review, investment policy. reserves and risk .
The Trustees present their accounts for the period ending 30th June 2025.
Income for the period was £136,052 as shown in the Statement of Financial Activities. This is 5.8% down on the previous year.
We have continued with our objectives to serve our community, and a wider world, where we assist the Lions Clubs International Foundation. Grants and Donations are listed in Accounts. Club projects continued where possible thanks to generous donations from the public, local government, and others. All funds raised are ready for donation, thus no risk is involved, and no reserves are required other than a working balance to fund the current events and projects. It is not thought necessary to make any investments.
The Club maintains financial assets in Current Bank accounts with its main Bank being HSBC. The Club has no longterm commitments, other than a twenty-five year lease (2018) with Fleet Town Council, as all available funds are for immediate donation or use in the case of other assets. The Trustees do not consider a long-term Investment policy as currently required.
Other Current Assets are maintained mainly for use within the Lions Community Store, being two commercial vehicles and storage units. Other assets include the Club's Father Christmas Sleigh and sound equipment and a Portakabin that is a workshop and store for the Recycle IT Project.
It is the policy of the Club to maintain restricted funds as well as unrestricted funds to the extent that donations and some Club funds have been donated or allocated for specific objectives of the Club. The adequacy of the reserves policy is reviewed annually. The Club also maintains its own funding for administrative costs and therefore maintains these within a restricted fund. The Trustees have considered the major risks to which the Club is exposed to satisfy themselves that systems are in place to mitigate those risks.
COMMUNITY SERVICE ACTIVITIES
This Fiscal year has been one of very high activity within the community as demands for support grow. We work with the community for the community. Our Restricted Funds (ringfenced) projects sustain this work with Lions Community Store as our long-term major project, The Store remains the major project of Lions Clubs, supported by the other Clubs within our area, known collectively as the Zone. This project collects, sorts, and redistributes household items for those who need help in establishing a home. It cost £29,558 to carry out this vital community work, in the year. We undertake to lead on the project, with help and financial support from other Zone Lion Clubs and Farnham Lions. Demand for this service continues and we were again able to distribute a larger number of Christmas Hampers in December 2024. Our services are being called on with hardships being experienced more and more. The support we receive is tremendous. Hart District Council have again funded deliveries and helping people in their housing.
Again, the demand for these services grow. The newly added Baby Bank was set up to service a need for clothes and baby items. We cannot thank the 15 dedicated volunteers enough for running this project. 3 Lions work at the Store,
and one in particular manages the project 20 hours a week with admin at home when needed. On average 120 hours per week are given over to this valuable community project. Thank you to all of you who helped. More details may be obtained through the website: www.communitystore.org.uk
Medical screening is another main project area and this year the club have helped purchase, for local use, Sight Cameras to check on children’s vision and also provided 250 subsidised PSA blood tests to help men to detect the possible start of prostate cancer. we offer a venue to take samples and have them analysed. We are proud to say we have been successful in detecting the start of cancer in many men and it has therefore been treated early. We have also continued with a test at home solution.
We have a community fund to help with paying utility bills for those that are unable to meet this ever increasing cost, the Utilities Project. This is regularly funded by donations from the community. This year funds have also been added from the general charity fund to meet demands.
The road sign project, for local events with volunteers and a stock of road signs to assist the community with road closures, known as the Fleet Lions Temporary Traffic Management Team, has re-started. Use of road signs is confined to storage, for those able to insure their own event. Organisers of community events are helped with the distribution of road signs under their own insurance.
Recycling & Environment The Lions Recycle IT, coordinated by Fleet FLOGS Branch helped by Zone Lion Clubs, continues to service local demands. This has been very successful and has proved again to be vital to those in financial difficulty. Spectacles have continued to be collected and dispatched to Lions' British HQ. Then on for sorting and transportation to other countries for use by their opticians, an initiative known as Spektrek. Our Spektrek glasses recycling continues to grow, and all are fully recycled with funds being used for Lions Sight projects. The new Bra recycling has been very positive too. This year we have again purchased and distributed wildflower seeds that can be sown in the garden to help Pollinators. Some schools have also taken up this offer for their wildflower areas.
Aldershot Lions Branch Club members have been a branch of Fleet Lions Club. and this has allowed them to make donations and grants They have also made donations to the Lions Community Store for Christmas hampers and helping them with packing and distribution. They help at the Aldershot Grub Hub. During the year the members joined up with Farnborough Lions to become a fully fledged club working in their Unitary authority region.
Lions Zone Funfest The Zone Lions Clubs each year organize a major event and pay for a day for families and carers with special needs, this year 1100 registered. The demand for this is growing - see www.lions-funfest.org.uk
FUNDRAISING ACTIVITIES Collections and work with the Father Christmas Sleigh, which is partly shared with Hart Lions Club, continued with a new team and schedule. This is not only fundraising but also as a community service. The children do enjoy a visit. Funds raised at Christmas go mainly to fund the growing demand for Christmas Hampers which provide much needed food items for those unable to afford them, especially at that time of year. These hampers were distributed by the Lions Community Store. We are pleased to report that the Classic Motorcycle Rally and Concourse, that has been organised for over thirty years, grew this year, helped by great weather. It will again be staged in 2026 on May Day Bank Holiday. The Beerfest has become a great tradition, this being the 16[th] event in the Town's calendar, and we are pleased to organise and use the money for different causes. This year we moved some funds to our Restricted Funds for use by the Lions Community Store and Prostate Cancer Screening. In November, we were able to stage our biggest fundraiser, the Firework Fiesta and a major success. This is so popular in the area but takes a lot of volunteers to run. If you would like to help, please let us know.
FUTURE PLANS & OUTLOOK The Club continues to support the community both proactively and when, reactively, the regular fundraising events are now underway for the following year and much needed funds will help to continue the work we do for the community, which is at the heart of everything. Regular liaison with Hart Voluntary Action and other Town organisations has brought us into local events where we have been able to help other charities, who experience the same problems that we do. We are especially happy to help Fleet Town Council and volunteer team with their local events.
We are constantly seeking new members and our membership remains healthy and our Volunteer support network is growing. The volunteers help with fundraising (Fireworks needs a lot of helpers) as well as the Lions Community Store, loading and driving to deliver or collect. Marshalling for the Town at community events and helping where we
can. As always, we will continue to promote our work through social media, not to seek praise but to interest more people and encourage them to volunteer and join us as members and thus enable the work to continue. Join us on Facebook (Fleet Lions) for the latest reports or visit our website: www.feetlions.org.uk
The Trustees would like to thank all our Volunteers, Lions Clubs, Local Government support and of course our wonderful community for their valuable contribution in time or financial support.
INDEPENDENT EXAMINER: The Trustees recognize and are grateful for the work of the independent examiner who has undertaken the examination of the accounts for the year ended 30 June 2025 on a “pro bono” basis.
Approved on behalf of the Trustees of Lions Club of Fleet (CIO)
Michael B Collen Chair of Trustees
Date : 30 April 2026
LIONS CLUB OF FLEET (CIO) STATEMENT OF FINANCIAL AFFAIRS YEAR TO 30 JUNE 2025
REG NO: 1177181
| Notes INCOMING RESOURCES Incoming resources from generated funds Grants & Donations 3a Fundraising events 3b Investment income Incoming resources from charitable activities 3c Club dues 3d Club Administration 3d Total Incoming Resources RESOURCES EXPENDED Costs of generating funds Costs of generating voluntary income 4a Fundraising trading costs 4b Investment management costs Charitable activities 4c Payments on Special Projects 4c Dues to LCI & Districts 4d Other resources expended 4d Total resources expended Net Incoming /Outgoing resources before transfers Gross transfers between funds 13 Net Incoming /Outgoing resources before other recognised gains/(losses) Other recognised gains/ (losses) Gains/ (losses) on revaluation of fixed assets for the charity Gains/( losses) on investment Net movement in funds Total funds brought forward Total funds carried forward |
Unrestricted Funds Restricted Funds Administration Fund Total for the year to 30 June 2025 £ £ £ £ 4,574 30,452 0 35,025 88,672 0 0 88,672 - - - - 480 - - 480 - - 8,074 8,074 - - 3,801 3,801 93,725 30,452 11,875 136,052 16,333 - - 16,333 38,928 - - 38,928 - - - - 51,289 - - 51,289 - 39,067 - 39,067 - - 4,354 4,354 - - 7,473 7,473 106,549 39,067 11,827 157,443 (12,824) (8,615) 49 (21,391) (1,047) (99) 1,146 0 (13,871) (8,714) 1,195 (21,391) - - - 0 - - - 0 - - - 0 (13,871) (8,714) 1,195 (21,391) 94,408 30,820 3,643 128,871 80,537 22,106 4,838 107,480 |
Total for the year to 30 June 2024 £ 34,109 93,306 - 2,996 6,751 7,316 |
|---|---|---|
| 144,478 | ||
| 22,637 39,824 - 35,899 31,436 4,755 11,278 |
||
| 145,829 | ||
| (1,351) - |
||
| (1,351) 64 - - |
||
| (1,287) 130,158 |
||
| 128,871 |
LIONS CLUB OF FLEET (CIO) BALANCE SHEET AS AT 30 JUNE 2025
| Notes FIXED ASSETS Investment Assets 9 Tangible Assets 10 Total Fixed Assets CURRENT ASSETS Stock at cost Debtors 11 Short term investments Cash at bank and in hand Total Current Assets Creditors: Amounts falling due within one year 12 Net current assets/ (liabilities) Total Assets less current liabilities Creditors: Amounts falling due after more than one year 12 Provisions for liabilities and charges Net Assets Represented by: FUNDS OF THE CHARITY Unrestricted Funds - Fleet Restricted Funds 13 Fleet Lions Community Store Administration Funds 13 Signed by two Trustees on behalf of the Board of Trustees on 30 April 2026 Chair of Trustees – Michael Collen |
Unrestricted Funds Restricted Funds Administration Funds At 30 June 2025 £ £ £ £ 0 17,819 17,819 17,819 0 0 17,819 894 894 3,034 596 1,125 4,755 0 61,663 21,510 4,442 87,615 65,591 22,105 5,567 93,263 (2,873) (729) (3,602) 62,718 22,105 4,838 89,661 80,537 22,105 4,838 107,480 0 0 80,537 22,105 4,838 107,480 80,537 80,537 15,521 15,521 6,584 6,584 4,838 4,838 80,537 22,105 4,838 107,480 |
At 30 June 2024 £ 0 27,457 |
|---|---|---|
| 27,457 | ||
| 0 1,451 0 105,346 |
||
| 106,797 (5,383) |
||
| 101,414 | ||
| 128,871 0 0 |
||
| 128,871 | ||
| 94,408 15,704 15,116 3,643 |
||
| 128,871 | ||
Trustee – Grahame Pullen
LIONS CLUB OF FLEET (CIO)
REG: 1177181
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 30 JUNE 2025
1 BASIS OF PREPARATION
1.1 Basis of Accounting
These Accounts have been prepared on the basis of historic cost in accordance with the Accounting and Reporting by Charities- Statement of Recommended Practice (SORP 2005), Accounting Standards and with the Charities Act.
1.2 Change in basis of accounting
There has been no change in the accounting policies (valuation rules and methods of accounting) since last year.
1.3 Changes to previous accounts
No changes have been made to the accounts for previous years.
2 ACCOUNTING POLICIES
The accounting policies are unchanged from the previous year.
| INCOMING RESOURCES | |
| Recogniton of incoming resources |
These are included in the Statement of Financial Afairs (SoFA) when: • The charity becomes enttled to the resources; • The Trustees are virtually certain they will receive the resources: and • The monetaryvalue can be measured with sufcient reliability. |
| Incoming resources with related expenditure |
Where incoming resources have related expenditure (as with fundraising or contract income) the incoming resources and related expenditure are reported gross in the SoFA. |
| Grants and Donatons | Grants and donatons are only included in the SoFA when the charity has unconditonal enttlement to the resources. |
| Tax reclaims on donatons andgifs |
Incoming resources from tax reclaims are included in the SoFA at the same tme as thegif to which theyrelate. |
| Contractual income and performance related grants |
This is only included in the SoFA once the related goods or services have been delivered. |
| Gifs in Kind | Gifs in kind are accounted for at a reasonable estmate of their value to the Charity or the amount realised. Gifs in kind for sale or distributon are included in the accounts as gifs only when sold or distributed by the Charity. Gifs in kind for use by the Charity are included in the SoFA as incoming resources when receivable. |
| Donated services and facilites |
These are only included in incoming resources (with an equivalent amount in resources expended) where the beneft to the Charity is reasonably quantfable, measurable and material. The value placed on the resources is the estmated value to the Charity of the service or facility received. |
| Volunteer help | The value of any voluntary help received is not included in the accounts but is described in the trustees Annual Report. |
| Investment Income | This is included in the accounts when receivable. |
| Investment gains and losses |
This includes any gain or loss on the sale of investments and any gain or loss resultngfrom revaluinginvestments to market value at the end of theyear. |
| EXPENDITURE AND LIABILITIES | EXPENDITURE AND LIABILITIES |
|---|---|
| Liability recogniton | Liabilites are recognised as soon as there is a legal or constructve obligaton commitngthe Charitytopayout resources. |
| Governance costs | Include the costs of the preparaton and examinaton of statutory accounts, the cost of trustee meetngs and cost of any legal advice to Trustees on governance or consttutonal maters. |
| Grants with performance conditons |
Where the Charity gives a grant with conditons for its payment being a specifc level of service or output to be provided, such grants are only recognised in the SoFA once the recipient of the grant has provided the specifed service or output. |
| Grants payable without performance conditons |
These are only recognised in the accounts when a commitment has been made and there are no conditons to be met relatng to the grant which remain in the control of the Charity. |
| Support costs | Support costs include central functons and have been allocated to actvity cost categories on a basis consistent with the use of resources, eg allocatng property costs by foor area, or per capita, staf costs by the tme spent and other costs bytheir usage. |
| ASSETS | |
| Tangible fxed assets for use by the Charity |
These are capitalised if they can be used for more than one year, and cost at least £1,000. They are valued at cost or a reasonable value on receipt. Depreciaton is charged in the fxed assets on the following bases: • Other land & Buildings - 5% per annum on the reducing balance basis • Plant, machinery & motor vehicles - 25% per annum on the reducing balance basis • Fixtures, ftngs and equipment - 33% per annum on the straight-line basis |
| Investments | Investments quoted on a recognised stock exchange are valued at market value at the year end. Other investment assets are included at trustees best estmate of market value. |
| Stocks and work in progress |
These are valued at the lower of cost or market value. |
3 INCOME RESOURCES
| 3a. Grants & Donations Received Lions Community Store Donations Lions Clubs for Store Christmas Hampers Donations for Recycle IT Utilities Project PD Prostate Cancer Screening General Donations 3b. Fundraising Fleet Beer Festival Fleet Fireworks Fiesta VE/ VJ 80 Christmas Festival Christmas Float Collections Advent Calendar Classic Motorcycle Rally Fleet Carnival Funfest 3c. Income from Charitable Activities Christmas Concert for Snr citizens 3d. Club Administration Income Charter income Members Dues Gift Aid (GASDS) Members Social Fund Meeting raffle receipts Tail Twister fines TOTAL INCOMING RESOURCES |
Unrestricted Income Restricted Income Administration Fund Total for the year to 30 June 2025 £ £ £ £ 11,355 11,355 9,769 9,769 2,110 2,110 756 756 6,462 6,462 4,574 4,574 |
|---|---|
| 4,574 30,452 0 35,025 |
|
| 21,560 21,560 47,926 47,926 360 360 1,773 1,773 8,766 8,766 3,444 3,444 3,414 3,414 80 80 1,348 1,348 |
|
| 88,672 0 0 88,672 |
|
| 480 480 |
|
| 480 0 0 480 |
|
| 2,120 2,210 4,829 4,829 1,125 1,125 |
|
| 0 0 8,074 8,074 3,577 3,577 192 192 32 32 |
|
| 0 0 11,875 11,875 |
|
| 93,725 30,452 11,875 136,052 |
4 RESOURCES EXPENDED
| 4a. Generating Voluntary income Costs Fundraising equipment Fundraising expenses Young Leaders in service Compound expenses Depreciation Bank & Just Giving charges 4b. Fundraising Costs Fleet Beer Festival Fleet Fireworks Fiesta Fleet Christmas Festival Advent Calendar Classic motorcycle Rally Funfest 4c. Charitable Activities Dementia Care Group Christmas Float Collections Christmas Concert for Snr citizens Disability boat trips Lions Projects Youth Projects Message in a Bottle project Lions Marwell Fun Day Pre-school Easter eggs Pollinator promotion Sight camera Lions ROAR for Schools Spektrek Recycling Specs Grants & Donations Made |
Unrestricted Expenditure Restricted Expenditure Administration Fund Total for the year to 30 June 2025 £ £ £ £ 127 127 5,306 5,306 25 25 808 808 9,638 9,638 428 428 |
|---|---|
| 16,333 0 0 16,333 |
|
| 10,631 10,631 23,024 23,024 272 272 1,232 1,232 1,253 1,253 2,516 2,516 |
|
| 38,928 0 0 38,928 |
|
| 184 184 2,220 2,220 936 936 268 268 2,145 2,145 15,151 15,151 265 265 1,361 1,361 235 235 505 505 6,010 6,010 300 300 70 70 21,639 21,639 |
|
| 51,289 0 0 51,289 |
| 4. RESOURCES EXPENDED (CONTINUED) 4c. Charitable Activities Payments made from Special Projects (Restricted Funds) Lions Community Store Lions Community Store HDC Deliveries Prostate Cancer screening Utilities fund Temporary traffic sign management Lions Recycle IT 4d. Club Administration Expenditure Dues Expense- Multi District Business Meetings Charter/Club guests Club clothing & Supplies Flowers/gifts/donations Meeting raffle prizes Office expenses Presidents expenses Bookkeeping fees Regalia, awards etc Social fund Flogs branch social Bank charges Club supplies TOTAL RESOURCES EXPENDED |
Unrestricted Expenditure Restricted Expenditure Administration Fund Total for the year to 30 June 2025 £ £ £ £ 26,983 26,983 2,576 2,576 4,288 4,288 2,951 2,951 740 740 1,530 1,530 |
|---|---|
| 0 39,067 0 39,067 |
|
| 4,354 4,354 |
|
| 0 0 4,354 4,354 440 440 2,271 2,271 14 14 92 92 5 5 780 780 125 125 146 146 24 24 2,966 2,966 512 512 62 62 38 38 |
|
| 0 0 11,827 11,827 |
|
| 106,549 39,067 11,827 157,443 |
5 SUPPORT COSTS
The Charity did not incur support costs in the year.
6 DETAILS OF CERTAIN ITEMS OF EXPENDITURE
No payments were made to third parties for expenses incurred by Trustees in the year (2024-none). Out of pocket expenses were reimbursed to Trustees on production of appropriate proof of purchase.
During the year £146 was paid to the Independent Examiner of the Accounts for the year ended 30 June 2024, an increase of £10 on the previous year. The independent Examiner of the 2025 Accounts is undertaking the assignment on a pro bono basis.
7 PAID EMPLOYEES
The Charity did not have any paid employees during the year (2024-none).
8 ANALYSIS OF GRANTS AND DONATIONS MADE
| 6th Fleet Ancells Accessible Boating B Mtombeni Benches for VE80 Bench Fixing Citizens Advice Eggs for Charity Event Fleet Town Council Frensham Pond Girl Guiding Hampshire Air Ambulance Hampshire Search Hart Foodbank Hart Voluntary Hygiene Kids Cancer Man Down Repair Café Royal British Legion Rushmoor Defib Spain Spikees Stone, P Sunflower- Romania The Tweseldown Ukraine Stoves Volunteer Day Zone Clubs |
Expenditure £ 150 105 1,500 6,079 250 150 153 300 1,000 250 500 500 250 500 100 1,750 250 650 505 1,250 2,000 42 250 1,000 1,100 655 150 250 |
|---|---|
| 21,639 |
9 INVESTMENT ASSETS
The Charity does not have any investment assets (2024- £nil)
10 TANGIBLE FIXED ASSETS
The assets were not revalued in the year under review.
| COST At 1 July 2024 Additions Disposals At 30 June 2025 DEPRECIATION At 1 July 2024 Depreciation charge for the year Released on disposal At 30 June 2025 NET BOOK VALUE At 1 July 2024 At 30 June 2025 |
Other Land & Buildings Plant, machinery & Motor vehicles Fixtures, fittings & Equipment Total £ £ £ £ 14,040 54,048 7,572 75,660 |
|---|---|
| 14,040 54,048 7,572 75,660 |
|
| 4,461 36,170 7,572 48,203 702 8,936 9,638 |
|
| 5,163 45,106 7,572 57,841 |
|
| 9,579 17,878 - 27,457 |
|
| 8,877 8,942 - 17,819 |
11 DEBTORS AND PREPAYMENTS
| Prepayments & Accrued income | Amounts falling due within one year Amounts falling due after more than one year 2025 2024 2025 2024 £ £ £ £ 4,755 1,451 - - |
|---|---|
12 CREDITORS AND ACCRUALS
| Amounts falling due | Amounts falling due after more | |
|---|---|---|
| within one year | than one year | |
| 2025 2024 |
2025 2024 |
|
| £ £ |
£ £ |
|
| Other creditors (unsecured) | 3,602 5,383 |
- - |
13 RESTRICTED INCOME FUNDS
13.1 FUNDS HELD
The Charity has the following restricted funds.
| NAME OF RESTRICTED INCOME FUND |
PURPOSE AND RESTRICTIONS |
|---|---|
| Prostate Cancer Testng Fund |
Donatons received to cover cost of Blood Tests and related exp2nses. |
| Utlites Fund | Donatons to helpcitzens unable topayfuel costs. |
| Lions Recycle IT | Donatons & Grants received to fund refurbishment of personal computers. Distributed to those unable to fund their own, especially school children and refugees. |
| Lions Community Store (Fleet)Portakabin No 2 |
Donaton for the replacement of Portakabin Store. |
| Lions Community Store (Fleet) |
Grants ^ Donatons received to fund costs involved in the collecton, storage and distributon of second-hand household goods to support citzens unable to fund themselves. |
| Lions Community Store (Fleet)BabyBank |
Funds ringfenced for supply of Baby Clothes and other baby items. |
| Lions Community Store (Fleet) Donaton for Childrens Clothing over 2 years-(Wave Radio) |
Donatons for Childrens Clothes for those over 24 months. |
| Lions Community Store (Fleet)Grant byHart DC |
Grants to fund costs involved in distributon of second hand household goods to support Hart HousingSolutons Department. |
| Trees for Queens Green Canopy |
Donaton for the purchase & plantng of trees. |
| Fleet Lions Temporary Trafc Management |
Grants 7 donatons received to fund costs involved in the purchase and use of Road Trafc signage. For use at community events. |
| Fleet Lions Administraton Fund |
Fleet Lions including Branches funding of their administraton costs. |
13 RESTRICTED INCOME FUND (CONTINUED)
13.2 MOVEMENT OF MAJOR FUNDS
| Prostate Cancer Testing Fund Utilities Fund Lions Recycle IT Fleet Lions Temporary Traffic Management Trees for Queens Green Canopy Lions Community Store (Fleet) Lions Community Store (Fleet) Wave Radio Lions Community Store (Fleet) Portakabin No 2 Lions Community Store (Fleet) Grant by Hart DC Lions Community Store (Fleet) Baby Bank Rounding adjustment Administration Fund |
Fund Balance at 1 July 2024 Incoming resources Outgoing resources Transfers Gains & losses Fund Balance at 30 June 2025 £ £ £ £ £ £ 5,724 6,462 - 4,288 7,897 6,592 756 - 2,951 4,398 2,417 2,110 - 1,530 2,997 969 - 740 229 - - 9,909 21,124 - 26,983 - 103 3,947 1,051 - 1,051 844 - 844 2,572 - 2,576 4 0 740 - 740 2 2 |
|---|---|
| 30,820 30,452 - 39,067 - 99 - 22,106 3,643 11,875 - 11,827 1,146 4,838 |
|
| 34,463 42,327 - 50,893 1,047 - 26,943 |
During the year £103 was transferred from the Lions Community Store (Fleet) Fund towards Broadband and incidental costs.
14 TRANSACTIONS WITH RELATED PARTIES
There are no transactions to report.
INDEPENDENT EXAMINERS REPORT TO THE TRUSTEES ON THE ACCOUNTS OF THE LIONS CLUB OF FLEET (CIO) (CHARITY NUMBER 1177181) FOR THE YEAR ENDED 30 JUNE 2025
I report to the Trustees on my examination of the accounts of the above Charitable Incorporated Organisation for the year ended 30 June 2025.
RESPONSIBILITIES AND BASIS OF REPORT
As the Charity’s Trustees, you 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 CIO’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 Commissioner under section 145(5)(b) of the Act.
INDEPENDENT EXAMINERS STATEMENT
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;
-
The accounting records were not kept in accordance with section 130 of the Charities Act; or
-
The accounts did not accord with the accounting records; or
-
The accounts did not comply with the applicable requirements concerning the form and content of the accounts set out in the Charities (accounts and Reports) Regulations 2008 other than any requirement that the accounts give a “true and fair” view which is not a matter considered as part of an independent examination.
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn on this report in order to enable a proper understanding of the accounts to be reached.
Elisabeth J Noble FCA BFP Chartered Accountant Providence Financial Limited 01 Meadlake Place Thorpe Lea Road Egham Surrey TW20 8HE
Date: 30 April 2026