LT700005- *rutineerfs Rep￿ ts the Trustees Vuly
Template for the scrutineer's report
to the trustees
Scrutineer's Report to the Trustees of
Tiverton and District Scout Council
I report on the accounts of the District for the year ended 31st March 2026
As the Group'sloistricvs triJ0t￿O yoL'. a".-
- r*sponsibLe for the preparatir*
-t accounts: you consider that nether
the audit nor independent examination requirements of the Charities Act 2011 apply. Ft is my responsibiLÉty wTthout
carrying o
-t an ?L'dit or independent examination to scrutinise the *fts and to reportto ¥'oJ.
In accordance with the directions gtven in the Group'slDistiict's conststution. I have srnrtinised the records and the
accounts set out on pages........-.
In my opinion the accounts are in accordan￿ wtth the records preduced to me and comply with the constttution.
Name..
Address..
E.¥-.3..l... 1.&.

Tiverton & District Scout Council.
Receipts and Payments Account
For the year
1A.2025
To
3110312026
Receipts and payments
311031?D.?6
Investmètrt
Bond
21 IA31?n25
funds
funds
Total funds
Total funds
Receipts
Lk)natiOn5, legaci95 and similar
Merllbership 5ubs¢rpt
Less.. memtrersh￿ SUbsc￿ptbjns pad
on (Nall￿Vc
Dc￿atIonS
3,697
1,450
Dkstrrt EwEnts
Othersini18r inccffi
Sub to
Grants
Mantenenac£ grant
Hardship Grants
Sub total
647
Fundraising events Igrossl
Othef Income
Group AcccAJnts T￿￿ O
HI￿ of bu1￿1
6.351
1328
9.7S3
1,887
H￿I￿rtOn Grp rep
Sub tot
Scout hut Income
Hire of ￿uIpMent
Otherscwt hut InctsTre
Sub total
Investment income
Bank irttere5t
623
377
Other investrnent inccre
Sub toial
Total Gross Income
As88t and Investsnenlsal4 e
Total receipts
LT7OOtlll Oclcè&-20241
1of3

Tiverton & District Scout Council.
Receipts and Payments Account
Forthe year
1.42025
To
3110312026
Receipts and payments
Unrèstricted
funds
Restrtetèd
funds
Total funds
Totsl funds
Paymènts
Charltable Payments
Youtt) prfsf2mme ￿ xthVitEs
Twerton HQ R&)t to
121
932
Water
150
150
Tiverton HQ running c<tst
El￿t￿cty EDF Er
Insuranee
1734
420
JamborÈe 5)awnÈnts
SoliGrtors
741
Hardship Grantsfor canps
Tra¥el eypenses
Annual Genera meeting EW]SeS
Gambr￿980ne ye8rb
Sub tolal
669
Other payments
meMbe￿hIp Levy
Printing & Station
16hr First A￿1 C￿r$e
27,775
232
100
Oisirict Events
6.807
Payrnents ￿ bthaf Ha￿￿ G
Sank Charges
69
60
60
Subtotsl
Total Gross Expenditure . ,.
Asset and InveslJnert
Totslpayments ::
Net of receipts/(paymefts)
Trydnsfers bekn¥een funds
Cash funds last year end
Cash funds this year end
14,038
20,134
4S.222
LTIIJOW3 Octcts20241
2of3

Tiverton & District Scout Council.
Receipts and Payments Account
Forthe year
01104r2025
To
3410312026
statement of assets and liabilities at the end of the year
Unrestricted
funds
Restricted
nds
Total funds
Total funds
Cash funds
Bank current ￿jnt
1.107
Bank &ctxirt
13.840
26.820
Building si￿1￿Y xcijunt
The sC￿rt A55CC￿1Cm ShcftTwrn
Investrnent Set
Ca3hlFloats
TO￿ cash funds
Other monetsry as$•ts
Henryock Cub Evert DJY
Tiverton Ha Hire5
Sifverton Group debt
Bampton Cub Event
Sub total
1237
832
Investment assets
I￿￿trr￿t property.
Quot￿ inve5tmentS
One Year BLxid Canbr]dge
Sub totsl
Non monetsry assets for
B*e stKk
Shop stock
Other stock
La￿ and buiktings
Motorvehicies
291.(#WJ.QO
129.000
Scouting equ¥)ffient. fumthreetc
Other
Subtotal
Llabilltles
A¢¢ounis not yet
Expenses incurraj ljut ncl irMic8J
subscnpt1￿s not yet p*d
LoaTr- detail
otlw li*ilil
Subtotsi
The above ￿eeipts and payments account and slate￿ent of a&sets and liabililies were approved by the Trusteès on
10th June 2026 (the date of the Tru$tet Board m¢eting that approved the accounts) and signed on their behalf by
Keith Cleeve Chair
Margaret JaTViS T￿Sure[
LT70W03 O¢irtw20241
3￿3

LT700005- *rutineerfs Rep￿ ts the Trustees Vuly
Template for the scrutineer's report
to the trustees
Scrutineer's Report to the Trustees of
Tiverton and District Scout Council
I report on the accounts of the District for the year ended 31st March 2026
As the Group'sloistricvs triJ0t￿O yoL'. a".-
- r*sponsibLe for the preparatir*
-t accounts: you consider that nether
the audit nor independent examination requirements of the Charities Act 2011 apply. Ft is my responsibiLÉty wTthout
carrying o
-t an ?L'dit or independent examination to scrutinise the *fts and to reportto ¥'oJ.
In accordance with the directions gtven in the Group'slDistiict's conststution. I have srnrtinised the records and the
accounts set out on pages........-.
In my opinion the accounts are in accordan￿ wtth the records preduced to me and comply with the constttution.
Name..
Address..
E.¥-.3..l... 1.&.

Tiverton & District Scout Council.
Receipts and Payments Account
For the year
1A.2025
To
3110312026
Receipts and payments
311031?D.?6
Investmètrt
Bond
21 IA31?n25
funds
funds
Total funds
Total funds
Receipts
Lk)natiOn5, legaci95 and similar
Merllbership 5ubs¢rpt
Less.. memtrersh￿ SUbsc￿ptbjns pad
on (Nall￿Vc
Dc￿atIonS
3,697
1,450
Dkstrrt EwEnts
Othersini18r inccffi
Sub to
Grants
Mantenenac£ grant
Hardship Grants
Sub total
647
Fundraising events Igrossl
Othef Income
Group AcccAJnts T￿￿ O
HI￿ of bu1￿1
6.351
1328
9.7S3
1,887
H￿I￿rtOn Grp rep
Sub tot
Scout hut Income
Hire of ￿uIpMent
Otherscwt hut InctsTre
Sub total
Investment income
Bank irttere5t
623
377
Other investrnent inccre
Sub toial
Total Gross Income
As88t and Investsnenlsal4 e
Total receipts
LT7OOtlll Oclcè&-20241
1of3

Tiverton & District Scout Council.
Receipts and Payments Account
Forthe year
1.42025
To
3110312026
Receipts and payments
Unrèstricted
funds
Restrtetèd
funds
Total funds
Totsl funds
Paymènts
Charltable Payments
Youtt) prfsf2mme ￿ xthVitEs
Twerton HQ R&)t to
121
932
Water
150
150
Tiverton HQ running c<tst
El￿t￿cty EDF Er
Insuranee
1734
420
JamborÈe 5)awnÈnts
SoliGrtors
741
Hardship Grantsfor canps
Tra¥el eypenses
Annual Genera meeting EW]SeS
Gambr￿980ne ye8rb
Sub tolal
669
Other payments
meMbe￿hIp Levy
Printing & Station
16hr First A￿1 C￿r$e
27,775
232
100
Oisirict Events
6.807
Payrnents ￿ bthaf Ha￿￿ G
Sank Charges
69
60
60
Subtotsl
Total Gross Expenditure . ,.
Asset and InveslJnert
Totslpayments ::
Net of receipts/(paymefts)
Trydnsfers bekn¥een funds
Cash funds last year end
Cash funds this year end
14,038
20,134
4S.222
LTIIJOW3 Octcts20241
2of3

Tiverton & District Scout Council.
Receipts and Payments Account
Forthe year
01104r2025
To
3410312026
statement of assets and liabilities at the end of the year
Unrestricted
funds
Restricted
nds
Total funds
Total funds
Cash funds
Bank current ￿jnt
1.107
Bank &ctxirt
13.840
26.820
Building si￿1￿Y xcijunt
The sC￿rt A55CC￿1Cm ShcftTwrn
Investrnent Set
Ca3hlFloats
TO￿ cash funds
Other monetsry as$•ts
Henryock Cub Evert DJY
Tiverton Ha Hire5
Sifverton Group debt
Bampton Cub Event
Sub total
1237
832
Investment assets
I￿￿trr￿t property.
Quot￿ inve5tmentS
One Year BLxid Canbr]dge
Sub totsl
Non monetsry assets for
B*e stKk
Shop stock
Other stock
La￿ and buiktings
Motorvehicies
291.(#WJ.QO
129.000
Scouting equ¥)ffient. fumthreetc
Other
Subtotal
Llabilltles
A¢¢ounis not yet
Expenses incurraj ljut ncl irMic8J
subscnpt1￿s not yet p*d
LoaTr- detail
otlw li*ilil
Subtotsi
The above ￿eeipts and payments account and slate￿ent of a&sets and liabililies were approved by the Trusteès on
10th June 2026 (the date of the Tru$tet Board m¢eting that approved the accounts) and signed on their behalf by
Keith Cleeve Chair
Margaret JaTViS T￿Sure[
LT70W03 O¢irtw20241
3￿3