## Trustees' Annual Report 

## For the period 

|From (start date)|**0**|**1**|**0**|**1**|**2**|**5**|**5**|**3**|**1**|**1**|**2**|**2**|**5**|
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
|||||||||||||||
|**Section A**|||**Reference and administration details**|||||||||||
|Charity name<br>Other names the charity is known by<br>Registered charity number (if any)<br>HQ registration number<br>Charity’s principal address|||11th Welwyn Garden City Scout Group<br>1<br>2<br>1<br>0<br>6<br>6<br>7|||||||||||
||||AttimoreBarns|||||||||||
||||Ridgeway|||||||||||
||||WelwynGardenCity|||||||||||
||||Postcode||||A|L|7||2|A|D|



## Names of the charity trustees who manage the charity 

_(These will be published in the annual report of the charity and the Charity Register if reporting for a Registered Charity with a charity regulator)_ 

|1<br>2<br>3<br>4<br>5<br>6<br>7<br>8<br>9<br>10<br>11<br>12<br>13<br>14<br>15|**Trustee Name**|**Office (if any)**|**Dates acted if not for**<br>**whole year**|
|---|---|---|---|
||DdeNaeyer|||
||JLacey|||
||A Vere|||
||M Thorpe|||
||P Mullens||Oct toDec-25|
||SHill||Dec-25|
|||||
|||||
|||||
|||||
|||||
|||||
|||||
|||||
|||||



Names and addresses of advisers (optional information but encouraged as best practice) 

_(These will be published in the annual report of the charity)_ 

Type of advisor Name Address 

Page 1 



|**Section B**|**Structure, governance and management**|
|---|---|
|Description of the charity’s trusts<br>Additional governance issues (optional information but encouraged as best practice)<br>Type of governing document<br>The Group's governing documents are those of The Scout<br>Association. They consist of a Royal Charter, which in turn<br>gives authority to the Bye Laws of the Association and The<br>Policy, Organisation and Rules of The Scout Association.<br>(e.g. trust deed, constitution)<br>The Group is a trust established under its rules which are<br>common to all Scouts.<br>Trustee selection methods<br>You may choose to include additional<br>information, where relevant, about:<br>The Trustees are appointed in accordance with the Policy,<br>Organisation and Rules of The Scout Association.<br>(e.g. appointed by, elected by)<br>The Group is managed by the Group Trustee Board, the<br>members of which are the ‘Charity Trustees’ of the Scout<br>Group which is an educational charity. As charity trustees they<br>are responsible for complying with legislation applicable to<br>charities. This includes the registration, keeping proper<br>accounts and making returns to the Charity Commission as<br>appropriate.<br>The Trustee Board consists of the Chair, Treasurer and 4<br>Trustees (including 1 Ex Officio Trustee) and on average<br>meets 6 weekly.<br>Members of the Trustee Board complete "Being a Scouts<br>Trustee" learning within the first 6 months of joining the<br>Board.<br>This Group Trustee Board exists to make sure the charity is<br>well-managed, risks are assessed and mitigated, buildings<br>and equipment are in good working order, and everyone<br>follows legal requirements and the organisation's policies and<br>rules. Their support helps other volunteers run high-quality<br>and safe programmes that gives young people skills for life.<br>Policies and procedures adopted for:<br>a) the induction and training of trustees; b)<br>trustee' consideration of major risks and<br>the systems and procedures to manage<br>them<br>How the charity is constituted<br>(e.g. trust, association, company)||
||The Group's governing documents are those of The Scout<br>Association. They consist of a Royal Charter, which in turn<br>gives authority to the Bye Laws of the Association and The<br>Policy, Organisation and Rules of The Scout Association.|
|||
||The Group is a trust established under its rules which are<br>common to all Scouts.|
|||
||The Trustees are appointed in accordance with the Policy,<br>Organisation and Rules of The Scout Association.|
||The Group is managed by the Group Trustee Board, the<br>members of which are the ‘Charity Trustees’ of the Scout<br>Group which is an educational charity. As charity trustees they<br>are responsible for complying with legislation applicable to<br>charities. This includes the registration, keeping proper<br>accounts and making returns to the Charity Commission as<br>appropriate.<br>The Trustee Board consists of the Chair, Treasurer and 4<br>Trustees (including 1 Ex Officio Trustee) and on average<br>meets 6 weekly.<br>Members of the Trustee Board complete "Being a Scouts<br>Trustee" learning within the first 6 months of joining the<br>Board.<br>This Group Trustee Board exists to make sure the charity is<br>well-managed, risks are assessed and mitigated, buildings<br>and equipment are in good working order, and everyone<br>follows legal requirements and the organisation's policies and<br>rules. Their support helps other volunteers run high-quality<br>and safe programmes that gives young people skills for life.|



Page 2 



|**Section B**|**Structure, governance and management (continued)**|
|---|---|
||Risk and Internal Control<br>The Group Trustee Board has identified the major risks to<br>which they believe the Group is exposed. The main areas of<br>concern that have been identified are:<br>Damage to the building, property and equipment. The Group<br>would request the use of buildings, property and equipment<br>from neighbouring groups. The Group has sufficient buildings<br>and contents insurance in place to mitigate against<br>permanent loss.<br>Injury to leaders, helpers, supporters and members. The<br>Group through the capitation fees contributes to the Scout<br>Associations national accident insurance policy. Risk<br>Assessments are undertaken before all activities.<br>Reduced income. The Group is primarily reliant upon income<br>from subscriptions and contributions from a resident pre-<br>school. The group does hold a reserve to ensure the<br>continuity of activities should there be a major reduction in<br>income. The Board could raise the value of subscriptions to<br>increase the income to the group on an ongoing basis, either<br>temporarily or permanently.<br>Reduction or loss of leaders. The group is totally reliant upon<br>volunteers to run and administer the activities of the group. If<br>there was a reduction in the number of leaders to an<br>unacceptable level in a particular section or the group as a<br>whole then there would have to be a contraction,<br>consolidation or closure of a section. In the worst case<br>scenario the complete closure of the Group.<br>Reduction or loss of members. The Group provides activities<br>for all young people aged 4 to 18. If there was a reduction in<br>membership in a particular section or the group as whole then<br>there would have to be a contraction, consolidation or closure<br>of a section. In the worst case scenario the complete closure<br>of the Group.|



Page 3 



|**Section C**|**Objectives and activities**|
|---|---|
|Additional details of the objectives and activities (optional information but encouraged as best practice)<br>You**may choose**to include further<br>statements, where relevant, about:<br>• policy on grantmaking;<br>• contribution made by volunteers;<br>• policy on investments.<br>Public benefit statement<br>**The Purpose of Scouting**<br>Scouting exists to actively engage and support young people<br>in their personal development,<br>empowering them to make a positive contribution to society.<br>**The Values of Scouting**<br>As Scouts we are guided by these values:<br>**Integrity -**We act with integrity; we are honest, trustworthy<br>and loyal.<br>**Respect -**We have self-respect and respect for others.<br>**Care -**We support others and take care of the world in which<br>we live.<br>**Belief -**We explore our faiths, beliefs and attitudes.<br>**Co-operation -**We make a positive difference; we co-operate<br>with others and make friends.<br>**The Scout Method**<br>Scouting takes place when young people, in partnership with<br>adults, work together based on the<br>values of Scouting and:<br>- enjoy what they are doing and have fun<br>- take part in activities indoors and outdoors<br>- learn by doing<br>- share in spiritual reflection<br>- take responsibility and make choices<br>- undertake new and challenging activities<br>- make and live by their Promise.<br>Summary of the objects of the charity set<br>out in its governing document<br>Summary of the main activities in relation<br>to these objects<br>Provision of indoor and outdoor adventurous activites.<br>Including camping, climbing and archery. Team building and<br>personal development activities areprovided to all ages.<br>The Group meets the Charity Commission's public benefit<br>criteria under both the advancement of education and the<br>advancement of citizenship or community development<br>headings.|**The Purpose of Scouting**<br>Scouting exists to actively engage and support young people<br>in their personal development,<br>empowering them to make a positive contribution to society.<br>**The Values of Scouting**<br>As Scouts we are guided by these values:<br>**Integrity -**We act with integrity; we are honest, trustworthy<br>and loyal.<br>**Respect -**We have self-respect and respect for others.<br>**Care -**We support others and take care of the world in which<br>we live.<br>**Belief -**We explore our faiths, beliefs and attitudes.<br>**Co-operation -**We make a positive difference; we co-operate<br>with others and make friends.<br>**The Scout Method**<br>Scouting takes place when young people, in partnership with<br>adults, work together based on the<br>values of Scouting and:<br>- enjoy what they are doing and have fun<br>- take part in activities indoors and outdoors<br>- learn by doing<br>- share in spiritual reflection<br>- take responsibility and make choices<br>- undertake new and challenging activities<br>- make and live by their Promise.|
|||
||Provision of indoor and outdoor adventurous activites.<br>Including camping, climbing and archery. Team building and<br>personal development activities areprovided to all ages.|
|||
|||
||The Group meets the Charity Commission's public benefit<br>criteria under both the advancement of education and the<br>advancement of citizenship or community development<br>headings.|



Page 4 



|**Section D**|**Achievements and performance**|
|---|---|
|Summary of the main achievements of<br>the charity during the year||
||* An exciting and varied program of scouting activities<br>* Steady membership across the year with a strong waiting list<br>* Investment of £5k in camping equipment<br>* Recruitment of additional trustees<br>* Awarded Harry's Award by District Lead Volunteer|



|**Section E**|**Financial Review**|
|---|---|
|Quantify and explain any designations<br>Details of any funds materially in deficit<br>(circumstances plus steps to eliminate)<br>Brief statement of the charity’s policy on<br>reserves|**Reserves Policy**<br>The Group's policy on reserves is to hold sufficient resources<br>to continue the charitable activities and maintenance of the<br>Group's scout hut, should subscriptions or income fall short.<br>To sustain the charitable activites, the Group Trustee Board<br>considers that the group should hold a sum equivalent to 12<br>months utilities,services and insurance costs, circa £10K.<br>To ensure that our scout hut remains well-maintained for<br>years to come, we have established an ongoing repair fund<br>dedicated to future maintenance and necessary upgrades. In<br>particular the removal and replacement of the existing roof.<br>This fund is sustained through regular contributions from our<br>budget. There is continuous assessment of the building’s<br>condition to anticipate potential repair costs. This is regularly<br>discussed at trustee meetings and the funding strategy<br>adjusted as needed. Our aim is to preserve the long-term<br>value and safety of the property.|
|||
|||



Page 5 



Further financial review details (optional information) 

|You**may choose**to include additional<br>information, where relevant, about:<br>• the charity’s principal sources of funds<br>(including any fundraising);<br>• how expenditure has supported the key<br>objectives of the charity;<br>• investment policy and objectives;|<br>The Group does not have sufficient funds to invest in longer<br>term investments. The Group has therefore adopted a risk<br>averse strategy to the investment of its funds. All funds are<br>held in cash using only mainstream banks or building<br>societies. Savings accounts with competitive rates of interest<br>are sought for cash reserves in an attempt to best mitigate<br>any inflation erosion to the capital held.<br> <br>|
|---|---|



**Section F Other Optional Information** Plans for future periods (details of any significant activities planned to achieve them) 

**Section G Declaration** 

The trustees declare that they have approved the trustees’ report above 

Signed on behalf of the charity’s trustees 

Signature(s) D de Naeyer Full name(s) David de Naeyer Position (eg Secretary, Chair) Chair Date **2 0 0 5 2 6** 

Page 6 



11TH WELWfN GARDEN crry sc(KTr GROUP
(A RegiSte￿d Charity)
Charity Number. 1210667
TRUSTEES. ANNUAL REPORT AND
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025
Astons Accountants
Chartered Certifiad Accountsnts
6b Parkway, Porters Wood
SL Atbans
AL3 6PA
Paje 1

11th Wolwyn Garden City Scout Group
Contents
For the Year Ended 31 December 2025
Reference and Administralive t)etails
Truslees, Annual ReF(Srt
Independent Examinerfs Rew)rt
Statement of Financial Activities
Balance Sheet
Notes to the Financial Statements

11th Welwyn Garden Cty Scout Group
Reference and Administrative Details
For the Year Ended 31 December 2025
Charity Narne
Charlty Registration
Number
Governing Document
Legal Status
11th Welvryn Garden Cty Scoul Group
121￿7
The Policy. Or9anisation and Rules of The Scout Assocrdti¢)n
Unincorporated ass(￿latiOn
Principal Address
Attimore Bam, Rmlgeway, WePwyn Garden City, AL7 2AD
Trustees
The trustees who served duriNJ the year ar¥J up to the date of apKrnal of these financial
statements were..
Group Lead Voluntser
Chair
Andrerfl Vere
David de Naeyer
James L&ey
Michael Thorpe. Peter Mullens, Steven Hill
Treasurer
Olher Trustees
Indepgndent Examlner
Astons Accountants
Chartered Certified Accountants
6b Parkway, Porters Wood
St. Albans
AL3 6PA

11th Welwyn Garden City Scout Group
Trustees. Annual Report
For the Year Endgd 31 December 2025
The trustees present their annual rewrt tojether wth the financial statements of the charity for
the year ended 31 December 2025. The financral staterrtnts have been prepared in accordance
with the accounting pdicies sel out in the notes and comply wlth the charity's governing
document, the Charities Act 2011 and Accounting and Reporting by Charities". Statement of
Recommended Practice applicable to charibes preparing their accounts in accordance with the
Financial Reporting Standard applicatAe in the UK Republic of IrEland (FRS 1021 {effeclive 1
January 20191.
Structure, Governance and Managernent
The 11 th WeWn Garden City Scout Group is an Uninc0rp￿ted assoualion, u)nstituted under
the Policy, Organisation and Rules {POR) of The Scout Association. The Scout Group is part of
the wider Scout Association., a charrty registered in England and Wales (Charty No. 306101) and
in Scotland (Charty No. SC0384371.
The trustees of the Group, known as the Group Trustee Boa￿, are appointed in accordan￿ with
the rules of The Scout Associakn'on. The Group Trustee Board is responsible for the management
of the propety ofthe Group and for the safeguarding of the funds. with the daY-￿daY
administration of Ihe Group delegat￿j to the Group Lead Volunteer and the Group Leadership
Team.
New Iruslees receive an inductK)n inlo the activities and govemance of the Group and are made
aware of their responsibilrties through The Scout Assocsation's online leaming programme and
through guidance issued by the Charity commi￿On.
Financial Rgview
Total income for the year an￿Unted to £41.735 {2024: £33,399). with total expenditure of
£40.536 {2024: £25,603). This resutted in a net surplus for the year of£1.19912024.. £7,796).
Total funds carried forward at 31 December 2025 an￿nted to £83,321 (2024". £82,122). all of
which are unrestricted genefal funds.
The principal sour￿$ of income for Ihe Group are merrtjership subscriptsons. lettings of the
Group's premises. fijndraising arKI events, and Gift Aid claimed on eligible donations and
subscriptions.
Reserves Policy
The trustees have reviewed the level of free reser4es hetd by the Group. Free reserves represent
unrestricted funds that are freety available to spend on any of the charitys purposes. The
trustees consider rt prudent to hold reseNe5 at a level sufficient to cover at least six months of
ongoing operating expendrture, together wlth an allowarte for the maintenance and replacement
of equipment and headquarters infrastruciure.
As at 31 December 2025. free reserves stc#xl at £83.321. which the tTUStees consider to be in
line with the Fdicy.
Stattrment of Trustees. Responsibilities
The trustees are responsible for preparing the Trustees, knnual Rewrt and the financial
statements in accordance with applicable law and Unrted Kingd(Jn Accounts'ng Standards Iuntted
Kingdom Generally Accepted Accounting Practice).
The law applicable to charities in England and Wales requires the tTUStees to prepare financial
statements for each financial year which give a true and fair viw of the state of affairs of the

charity and of the incoming resour￿$ and application of resource5 of the charity for thal period.
In preparing these financial statements. the trustees are required to:
select suitsble accounting FdKie$ and then appty them consistenty:
observe Ihe methods and principles in the Charities SORP.
make judgements and ests"mate5 that are reasonable and prudent..
state whether ap￿icable accounting standard5 have tEen frllowed, subject to any
material departures disclosed and explained in the financial 5tatemenls', and
prepare the financial statements on the going concem basis unless rt is inappropriale to
presume that the Charity will continue in operaticm.
The trustees a￿ resrx)nsible for keeping prO￿T accounting records which disclose with
reasonable accur￿ at any lime the financial posthon of the charity and enable them to ensure
that the financial statemenls compty with the Charities Acl 2011. They are also responsible for
safeguarding the assets of the charrty and hence for taking reasonable steps for Ihe prevention
and detection of fraud and other irregularities.
Approval
This report was approv&J by the Injstees on ..
. and Sign￿ on Iheir behalf by:
Chair of Trustees
p￿e5

11th Welwyn Garden City Scout Group
Independent Examinerfs Report to the Trustees
For the Year Ended 31 December 2025
Independent examinerfs report to the trustees of The 11th Welwyn Garrkn City Scout
Group.
I report to Ihe charity trustees on my examination of the accounts of The 11th We￿￿ Garden
City Scout Group for the year ended 31 December 2025.
Responsibilities and basis of report
As the charity trustees of the Trust you are reswnsible for prerwation of the accounts in
accordance with the requirements of the Chankn Act 2011 (Ihe Acf).
l ￿pOrt in respect of my examination ofthe Tru5fs accounts caffied out under Section 145 of the
Act and in carying out my examination I have follNed all applicable Directions given by the
Charity Commission under Section 14515){b) of the ACL
Independent examlnerfs statement
I have completed my examinalion. I confimi that materid matters have come to my attention
in connection with the exarrdnation giving (ause to believe that in any material respect:
. accounting records were not kept in respect ofthe Trusl as requir￿1 by Section 130 ofthe Act"
or
2. the accounts do not accord wrth those records; or
3. the accounts do not compty with the applicable requirements con￿MIng the form and content
of accounts set out in the Charrties {Accounts and Reports) Regulalions 2008 other than any
requirement that the accounts give a true and fair vithv which not a matter considered as pafl
of an independent examination_
I have no concerns and have come across other matters in connection with the examinats.on
lo which attention should be drawn in this reFhyt in order to enable a proper understanding of the
accounts to be reached.
Astons Accountants & Business Advisors Limil
charter￿ Certified ACc￿ntsnts
6b Parkway
Porters W¢>xl
st. Albans
AL3 6PA
Date..
2610£12026

11th Welwyn Garden City Scout Group
ststement of Financial Activities (including Income and Expendlturo A¢¢ount)
For the Year Ended 31 December 2025
2025
2024
Income and endowments from:
Donations and legacies
Charitable activities
Other tiading activities
Invesbnents
3.268
15,539
21,957
971
1.938
9.688
20,802
971
Total Income
41,735
33,399
Expenditure on:
Raising funds
Charitable activities
7,917
32.619
7,743
17.860
Total expenditure
40,536
25,603
Net ineome I (expenditure) and net
movement in funds
1.199
7,796
Reconclllallon of funds:
Total funds brought forward
82,122
74,326
Total funds Garried forward
11
83.321
82.122
All of the charitys aCtiV￿eS derive fn)m confv"nuing operdtions durirRg the al)ove two periods. The
charity has no other recognised gains or losses other than those included in the Statement of
FinanualActivities. All income and expenditure relales to unresthcted general thnds,. accordingly,
a single column is presented foreach yearin lieu of separate t￿umnS for un￿stricted. ￿$￿1¢fed
and total funds.
Page 7

11th Welwyn Garden City 5￿ut Group
Balance Sheet
As at 31 December 2025
2025
2024
Current assets
Cash at bank and in hand
83.321
82,122
Total current assets
83.321
82,122
Creditors: amounts falling due wthin one year
10
Net current assets
83.321
82,122
Total net ass&ts
83.321
82,122
The fvnds of the charity:
unrestn.cted funds- general
11
83,321
82,122
Total charity funds
83.321
82.122
For the year ending 31 December 2025 the charity was entitled to exemptKffl from audit under
section 144 of the Charilies Act 2011 and is required to have an independent examination.
The trustees acknowledge their responsibillbes for ensuring that the charity keeps accounting
records which compty with section 130 of the 2011 Act and for preparing financial statements
which give a true and fair view of the state of affairs of the charity as at the end of the financial
year and of its ino)ming resources and apptiCAtion of resources, including its income and
expenditure, for the financial year. in accordance with the requirements of sectK)ns 132 to 133 of
the 2011 Act.
These financial Staterr￿nts were apwoved by Ihe tnjstees on11 .. .tsand are signed on their
behalf by:
Chair of Trustee$
Treasurer

11th Wglwyn Garden City Scout Group
Notes to the Finan¢lal Statements
For the Year Ended 31 December 2025
1. Accounting Policies
Basis of preparatton
The financial ststements have teen prepared in accordan￿ wtth Accounting and Reporting by
Charities.. Statement of Recommended Practice applicable lo charities preparing their accounts
in accordance with the Financial ReFQrting Standard applicable in the UK and Republic of Ireland
IFRS 102) (effective 1 January 2019} {Charities SORP {FRS 10211, the Financial Reporting
Standard applicable in Ihe UK and Republic of Ireland IFRS 102) and the Charities Act 2011.
111h Welwyn Garden City Scout Group meets the deffin￿on of a public benefit entty under FRS
102. Assels and liabilrties are initially recognised at historical cost or transaction value unless
otherwise stated in the rdevant account.ng policies. The financial statements are presented in
slerling, which is the fu￿b"Onal currew ofthe charty. Monetsry amounts are rounded to the
nearest £1.
Income recognftlon
All income is Tecognised in the Ststement of Financial Activities ￿ce the charity has enliuement
lo the funds., it is probable that the in¢cAne will be received and the amount can be measured
reliably.
Expenditure recognition
Liabilities are recognised as exFenditure as s(N)n as there is a legal or conslnjctive obligation
committing the charity lo that expenditure. it is probable that a transfer of economic benefits will
be required in setdemenl and the arrK)UF7t of the obligation can be measured reliably. Expenditure
is accounted for on an accruals basis and has been classified under headings that aggregate all
cost related to the category. Where costs cannot be direcuy attributed lo particular headings they
have alk)¢ated to acttvtbes on a basis consistent wrlh the use of reSoUr￿s.
Fund accounting
Unrestricted funds are available for use at the discretion of the trustees in fvjrtheran￿ ofthe
general obj&tives of the charity. Restricted funds are subjected to restrictions on their
expenditure dedared by the donor or through the tem)s of an appeal. There were no restricted or
endowment fvnds during the year or the prior year.
Cash at bank and in hand
Cash at bank and in hand comprises rash a￿1 short-term de￿)￿ts with 8n original maturity of
three months or less.
Taxation
The charity is exempt from corp)ratM)n tax on its tharttabEe &tivities under Part 11 ofthe
Corporation Tax Act 2010.
2. Income from Donations and Legacies
2025
2024
Donaltons received
641
Gift Aid received
Total
2,627
3,268
1,938
1,938
Page 9

3. Incorne from Charitable Activities
2025
2024
Membership subscriptions
Meeting income (subs. weekly contrbutions)
T¢)tal
13.195
125
15,539
9.688
4. Income from Other Trading Activities
2025
2024
Events
9.315
598
7,070
Fundraising actiwties
HI￿ of premises {renl received)
12.044
13,725
Total
21.957
20,802
Income fmm hire of premises is geneTrled thmugh letting of the Gmup s headquarters lo local
groups and organisations. The twstees consider these 8Ctivities to be an￿lIary to the charitys
prim8ry pU￿oSe and the income lalls wilhin the Chant￿S exempt 8Ctivrties for tax purposes.
5. Investment In¢ome
2025
2024
Bank interest receivalAe
Total
971
971
971
971
6. Expenditure on Raising Funds
2025
2024
Events expenses
Fundraising exFenses
Total
7,751
166
7,743
7.917
7.743
7. Expenditure on Charitable Activttios
2025
2024
Utilities
Venue maintenance
3.753
6,128
3,990
2,515
221
Insurance
Meeting expenses
Membership costs (capitation to The Scrxrt
Association)
Unifom
5,090
1,730
6.174
3,625
462
2,347
1,094
1,423
Badges and awards
Camping equipment
1.413
5,653

Activity equipment
Administration expenses
Bank charges
Total
679
341
317
962
597
32.619
17.860
9. Cash at Bank and in Hand
202S
2024
Cash at bank
Total
83,321
83,321
82,122
82,122
10. Cr•ditors: Amounts Falling Due Within One Year
There were no creditors at 310ecember 2025 {2024: £nil}.
11. Anatysis of Charilable Funds
At1Jan
2025
IrKome Expendityrg
At 31 Dec
2025
Unrestricted- General Fund
82.122
41,735
(40,5361
83,321
Total funds
82.122
41,735
(40,536)
83,321
13. Related Party Transactions
There were no related party transaclions during the year or th8 prior year other than the trustees
acting in their capacty as such. for which no remuneration vms paid.
1& Restri¢tod Funds
There were no restricted funds during the year or the pricw year.
Page 11

11TH WELWfN GARDEN crry sc(KTr GROUP
(A RegiSte￿d Charity)
Charity Number. 1210667
TRUSTEES. ANNUAL REPORT AND
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025
Astons Accountants
Chartered Certifiad Accountsnts
6b Parkway, Porters Wood
SL Atbans
AL3 6PA
Paje 1

11th Wolwyn Garden City Scout Group
Contents
For the Year Ended 31 December 2025
Reference and Administralive t)etails
Truslees, Annual ReF(Srt
Independent Examinerfs Rew)rt
Statement of Financial Activities
Balance Sheet
Notes to the Financial Statements

11th Welwyn Garden Cty Scout Group
Reference and Administrative Details
For the Year Ended 31 December 2025
Charity Narne
Charlty Registration
Number
Governing Document
Legal Status
11th Welvryn Garden Cty Scoul Group
121￿7
The Policy. Or9anisation and Rules of The Scout Assocrdti¢)n
Unincorporated ass(￿latiOn
Principal Address
Attimore Bam, Rmlgeway, WePwyn Garden City, AL7 2AD
Trustees
The trustees who served duriNJ the year ar¥J up to the date of apKrnal of these financial
statements were..
Group Lead Voluntser
Chair
Andrerfl Vere
David de Naeyer
James L&ey
Michael Thorpe. Peter Mullens, Steven Hill
Treasurer
Olher Trustees
Indepgndent Examlner
Astons Accountants
Chartered Certified Accountants
6b Parkway, Porters Wood
St. Albans
AL3 6PA

11th Welwyn Garden City Scout Group
Trustees. Annual Report
For the Year Endgd 31 December 2025
The trustees present their annual rewrt tojether wth the financial statements of the charity for
the year ended 31 December 2025. The financral staterrtnts have been prepared in accordance
with the accounting pdicies sel out in the notes and comply wlth the charity's governing
document, the Charities Act 2011 and Accounting and Reporting by Charities". Statement of
Recommended Practice applicable to charibes preparing their accounts in accordance with the
Financial Reporting Standard applicatAe in the UK Republic of IrEland (FRS 1021 {effeclive 1
January 20191.
Structure, Governance and Managernent
The 11 th WeWn Garden City Scout Group is an Uninc0rp￿ted assoualion, u)nstituted under
the Policy, Organisation and Rules {POR) of The Scout Association. The Scout Group is part of
the wider Scout Association., a charrty registered in England and Wales (Charty No. 306101) and
in Scotland (Charty No. SC0384371.
The trustees of the Group, known as the Group Trustee Boa￿, are appointed in accordan￿ with
the rules of The Scout Associakn'on. The Group Trustee Board is responsible for the management
of the propety ofthe Group and for the safeguarding of the funds. with the daY-￿daY
administration of Ihe Group delegat￿j to the Group Lead Volunteer and the Group Leadership
Team.
New Iruslees receive an inductK)n inlo the activities and govemance of the Group and are made
aware of their responsibilrties through The Scout Assocsation's online leaming programme and
through guidance issued by the Charity commi￿On.
Financial Rgview
Total income for the year an￿Unted to £41.735 {2024: £33,399). with total expenditure of
£40.536 {2024: £25,603). This resutted in a net surplus for the year of£1.19912024.. £7,796).
Total funds carried forward at 31 December 2025 an￿nted to £83,321 (2024". £82,122). all of
which are unrestricted genefal funds.
The principal sour￿$ of income for Ihe Group are merrtjership subscriptsons. lettings of the
Group's premises. fijndraising arKI events, and Gift Aid claimed on eligible donations and
subscriptions.
Reserves Policy
The trustees have reviewed the level of free reser4es hetd by the Group. Free reserves represent
unrestricted funds that are freety available to spend on any of the charitys purposes. The
trustees consider rt prudent to hold reseNe5 at a level sufficient to cover at least six months of
ongoing operating expendrture, together wlth an allowarte for the maintenance and replacement
of equipment and headquarters infrastruciure.
As at 31 December 2025. free reserves stc#xl at £83.321. which the tTUStees consider to be in
line with the Fdicy.
Stattrment of Trustees. Responsibilities
The trustees are responsible for preparing the Trustees, knnual Rewrt and the financial
statements in accordance with applicable law and Unrted Kingd(Jn Accounts'ng Standards Iuntted
Kingdom Generally Accepted Accounting Practice).
The law applicable to charities in England and Wales requires the tTUStees to prepare financial
statements for each financial year which give a true and fair viw of the state of affairs of the

charity and of the incoming resour￿$ and application of resource5 of the charity for thal period.
In preparing these financial statements. the trustees are required to:
select suitsble accounting FdKie$ and then appty them consistenty:
observe Ihe methods and principles in the Charities SORP.
make judgements and ests"mate5 that are reasonable and prudent..
state whether ap￿icable accounting standard5 have tEen frllowed, subject to any
material departures disclosed and explained in the financial 5tatemenls', and
prepare the financial statements on the going concem basis unless rt is inappropriale to
presume that the Charity will continue in operaticm.
The trustees a￿ resrx)nsible for keeping prO￿T accounting records which disclose with
reasonable accur￿ at any lime the financial posthon of the charity and enable them to ensure
that the financial statemenls compty with the Charities Acl 2011. They are also responsible for
safeguarding the assets of the charrty and hence for taking reasonable steps for Ihe prevention
and detection of fraud and other irregularities.
Approval
This report was approv&J by the Injstees on ..
. and Sign￿ on Iheir behalf by:
Chair of Trustees
p￿e5

11th Welwyn Garden City Scout Group
Independent Examinerfs Report to the Trustees
For the Year Ended 31 December 2025
Independent examinerfs report to the trustees of The 11th Welwyn Garrkn City Scout
Group.
I report to Ihe charity trustees on my examination of the accounts of The 11th We￿￿ Garden
City Scout Group for the year ended 31 December 2025.
Responsibilities and basis of report
As the charity trustees of the Trust you are reswnsible for prerwation of the accounts in
accordance with the requirements of the Chankn Act 2011 (Ihe Acf).
l ￿pOrt in respect of my examination ofthe Tru5fs accounts caffied out under Section 145 of the
Act and in carying out my examination I have follNed all applicable Directions given by the
Charity Commission under Section 14515){b) of the ACL
Independent examlnerfs statement
I have completed my examinalion. I confimi that materid matters have come to my attention
in connection with the exarrdnation giving (ause to believe that in any material respect:
. accounting records were not kept in respect ofthe Trusl as requir￿1 by Section 130 ofthe Act"
or
2. the accounts do not accord wrth those records; or
3. the accounts do not compty with the applicable requirements con￿MIng the form and content
of accounts set out in the Charrties {Accounts and Reports) Regulalions 2008 other than any
requirement that the accounts give a true and fair vithv which not a matter considered as pafl
of an independent examination_
I have no concerns and have come across other matters in connection with the examinats.on
lo which attention should be drawn in this reFhyt in order to enable a proper understanding of the
accounts to be reached.
Astons Accountants & Business Advisors Limil
charter￿ Certified ACc￿ntsnts
6b Parkway
Porters W¢>xl
st. Albans
AL3 6PA
Date..
2610£12026

11th Welwyn Garden City Scout Group
ststement of Financial Activities (including Income and Expendlturo A¢¢ount)
For the Year Ended 31 December 2025
2025
2024
Income and endowments from:
Donations and legacies
Charitable activities
Other tiading activities
Invesbnents
3.268
15,539
21,957
971
1.938
9.688
20,802
971
Total Income
41,735
33,399
Expenditure on:
Raising funds
Charitable activities
7,917
32.619
7,743
17.860
Total expenditure
40,536
25,603
Net ineome I (expenditure) and net
movement in funds
1.199
7,796
Reconclllallon of funds:
Total funds brought forward
82,122
74,326
Total funds Garried forward
11
83.321
82.122
All of the charitys aCtiV￿eS derive fn)m confv"nuing operdtions durirRg the al)ove two periods. The
charity has no other recognised gains or losses other than those included in the Statement of
FinanualActivities. All income and expenditure relales to unresthcted general thnds,. accordingly,
a single column is presented foreach yearin lieu of separate t￿umnS for un￿stricted. ￿$￿1¢fed
and total funds.
Page 7

11th Welwyn Garden City 5￿ut Group
Balance Sheet
As at 31 December 2025
2025
2024
Current assets
Cash at bank and in hand
83.321
82,122
Total current assets
83.321
82,122
Creditors: amounts falling due wthin one year
10
Net current assets
83.321
82,122
Total net ass&ts
83.321
82,122
The fvnds of the charity:
unrestn.cted funds- general
11
83,321
82,122
Total charity funds
83.321
82.122
For the year ending 31 December 2025 the charity was entitled to exemptKffl from audit under
section 144 of the Charilies Act 2011 and is required to have an independent examination.
The trustees acknowledge their responsibillbes for ensuring that the charity keeps accounting
records which compty with section 130 of the 2011 Act and for preparing financial statements
which give a true and fair view of the state of affairs of the charity as at the end of the financial
year and of its ino)ming resources and apptiCAtion of resources, including its income and
expenditure, for the financial year. in accordance with the requirements of sectK)ns 132 to 133 of
the 2011 Act.
These financial Staterr￿nts were apwoved by Ihe tnjstees on11 .. .tsand are signed on their
behalf by:
Chair of Trustee$
Treasurer

11th Wglwyn Garden City Scout Group
Notes to the Finan¢lal Statements
For the Year Ended 31 December 2025
1. Accounting Policies
Basis of preparatton
The financial ststements have teen prepared in accordan￿ wtth Accounting and Reporting by
Charities.. Statement of Recommended Practice applicable lo charities preparing their accounts
in accordance with the Financial ReFQrting Standard applicable in the UK and Republic of Ireland
IFRS 102) (effective 1 January 2019} {Charities SORP {FRS 10211, the Financial Reporting
Standard applicable in Ihe UK and Republic of Ireland IFRS 102) and the Charities Act 2011.
111h Welwyn Garden City Scout Group meets the deffin￿on of a public benefit entty under FRS
102. Assels and liabilrties are initially recognised at historical cost or transaction value unless
otherwise stated in the rdevant account.ng policies. The financial statements are presented in
slerling, which is the fu￿b"Onal currew ofthe charty. Monetsry amounts are rounded to the
nearest £1.
Income recognftlon
All income is Tecognised in the Ststement of Financial Activities ￿ce the charity has enliuement
lo the funds., it is probable that the in¢cAne will be received and the amount can be measured
reliably.
Expenditure recognition
Liabilities are recognised as exFenditure as s(N)n as there is a legal or conslnjctive obligation
committing the charity lo that expenditure. it is probable that a transfer of economic benefits will
be required in setdemenl and the arrK)UF7t of the obligation can be measured reliably. Expenditure
is accounted for on an accruals basis and has been classified under headings that aggregate all
cost related to the category. Where costs cannot be direcuy attributed lo particular headings they
have alk)¢ated to acttvtbes on a basis consistent wrlh the use of reSoUr￿s.
Fund accounting
Unrestricted funds are available for use at the discretion of the trustees in fvjrtheran￿ ofthe
general obj&tives of the charity. Restricted funds are subjected to restrictions on their
expenditure dedared by the donor or through the tem)s of an appeal. There were no restricted or
endowment fvnds during the year or the prior year.
Cash at bank and in hand
Cash at bank and in hand comprises rash a￿1 short-term de￿)￿ts with 8n original maturity of
three months or less.
Taxation
The charity is exempt from corp)ratM)n tax on its tharttabEe &tivities under Part 11 ofthe
Corporation Tax Act 2010.
2. Income from Donations and Legacies
2025
2024
Donaltons received
641
Gift Aid received
Total
2,627
3,268
1,938
1,938
Page 9

3. Incorne from Charitable Activities
2025
2024
Membership subscriptions
Meeting income (subs. weekly contrbutions)
T¢)tal
13.195
125
15,539
9.688
4. Income from Other Trading Activities
2025
2024
Events
9.315
598
7,070
Fundraising actiwties
HI￿ of premises {renl received)
12.044
13,725
Total
21.957
20,802
Income fmm hire of premises is geneTrled thmugh letting of the Gmup s headquarters lo local
groups and organisations. The twstees consider these 8Ctivities to be an￿lIary to the charitys
prim8ry pU￿oSe and the income lalls wilhin the Chant￿S exempt 8Ctivrties for tax purposes.
5. Investment In¢ome
2025
2024
Bank interest receivalAe
Total
971
971
971
971
6. Expenditure on Raising Funds
2025
2024
Events expenses
Fundraising exFenses
Total
7,751
166
7,743
7.917
7.743
7. Expenditure on Charitable Activttios
2025
2024
Utilities
Venue maintenance
3.753
6,128
3,990
2,515
221
Insurance
Meeting expenses
Membership costs (capitation to The Scrxrt
Association)
Unifom
5,090
1,730
6.174
3,625
462
2,347
1,094
1,423
Badges and awards
Camping equipment
1.413
5,653

Activity equipment
Administration expenses
Bank charges
Total
679
341
317
962
597
32.619
17.860
9. Cash at Bank and in Hand
202S
2024
Cash at bank
Total
83,321
83,321
82,122
82,122
10. Cr•ditors: Amounts Falling Due Within One Year
There were no creditors at 310ecember 2025 {2024: £nil}.
11. Anatysis of Charilable Funds
At1Jan
2025
IrKome Expendityrg
At 31 Dec
2025
Unrestricted- General Fund
82.122
41,735
(40,5361
83,321
Total funds
82.122
41,735
(40,536)
83,321
13. Related Party Transactions
There were no related party transaclions during the year or th8 prior year other than the trustees
acting in their capacty as such. for which no remuneration vms paid.
1& Restri¢tod Funds
There were no restricted funds during the year or the pricw year.
Page 11