Reglstered Charity No. 265209
Diss and District Young Farmers Club
Accounts
Ih
30 June 2024

Diss and District Youn
Index to the aetounts
Year Ended 301b June 2024
Farmers Club
Page Number
Charitv Intom￿tIon and Otlicers, Report
Statement of Trustees. Responsibilities
Independent Examiner's Report
Statement of Financial Aclivities
Balanee Sh¢et
8-11
Notes to the Accounts

Diss and District Youn
Trustees Annual Re
ort
For the Year Ended 30 June 2024
Farmers Club
Ih
The Trysttts pr&sent their r¢w)rt for the year ertd￿ 30 JWR 2024.
Diss Young Famiers Club w&s fornisj in April 1943.
The charity was r¢gistered with the Charity commi￿10￿ (registration number 26521Y)) in 1973 a clwity.
The primary objectives are:
a) lo advance the eth]¢ttion of young memb¢rs of the public at large in agri￿ltll￿, l)ome crafts. country life and
relaied subjects; and
bl in the interests of the xoeial welfue of such mernkn ts) provide and prnmote the provision of facilities for
r¢crcation and other l¢i5ure lime occupaiions, being faciliiies which will improve their colldiiions of life and
will assist in the developrnent of their spiritual and mental e4pacities. self-reliance and in(lividual responsibility
so that th¢y may grow to full maturity &$ individuals and membcr5 of th¢ ¢ommunity.
The charity is an unin￿rporated institution and its 8ovemin8 document is the Constituiiott adopted on 261n July
IY72.
Registered Addr￿.
YFC Office
Norfolk Show8round
Derehani Road
New Costessey
Norwich
Norfolk, NR5 ofT
TNstee$:
Chairrthon
Vic¢ Chairper50n
Tr¢8$urer
Edward Siimson
Edward Saunders
Thomas Webster
Bankers..
BaTclays Bank PIC
Market Pl￿e
Diss
Norfolk
Investment
Mwwg¢T5'.CCLA In•/estM￿t Management Ltd
COIF Charitv Funds
O Chcapsidè
London
EC2Y 6DZ
Independent ExAminers'.
W&veney Accountants Ltd
TIA Ne￿￿nan & C¥J
4b ch￿￿h Sty¢¢t
Diss
Norfolk
IP22 4DD

Diss and District Youn
Trustees Annual Re
ort
For the Year Ended 301h June 2024
Farn)ers Club
Review of Adiylties and Future Developments
The club membership this year stood ai 28 signed up members. with a number of these being new meEnbers
iongsid¢ rnaTry returning fac¢s. Some highlights of the year'5 pmgrdmme include the ￿sual joiut club meetings.
along th¢ tour&lvisits aplenty-
AloTrgside these we held our Annual Fireworks Nigbt & ow theese and Wine evening. however there was the
notable absence of our Foam Party So¢i81.
Tli¢ Club has also SUCC￿sfullY fundraised over £2.5￿ for our chosell for the year. M¥millan Canc¢r
SupporL by holdin8 a successful Race Night and thnatious fr(ym our annual Carol singing.
Publlc Benefit Statement
The charity has coLsidered the r¢quire[t￿nIS of th¢ Charities Commission with respect to ensur1￿ its activitie$ are
demonstrably for the beneftt of the pubti¢.

Diss #nd Distriel Youn
Trustees Annual Re
ort
For the Year Ended 30 June 2024
FAmers Club
Reserves
The charity's free Teserves 8t 30 Julle 2024 amount to £22.665 (2023 - £20J291. This is an acceptsble level bearing
in mind ihe Chan'tv Commis%ion's advice about charitics holding inappropriate larg¢ rtserves. It is the policy of the
charity to maintain sufficient fiuds. th enable it w cauy out its objective
Risk Polici.
The Ttustees have examined the major risks which the charity faces and confwm that sys*ms bave been established
to mitigate those risks.
Edw*rd Stlmgo
Edward Sallnders
Tbom•$ Webster
Date:

jiss and Dlstrict Youn
Farmers Club
Jiatement of Tru5tees' Res
onsibilities
For the Year Ended 30, June 2024
Law applicable to charities in England and Wales requires the trustees to prepare financial stat￿llents for each
financial year which give a thie and fair view of the Charity's financial acuvities during the vear and of its flljancial
position at the e￿1 of the year. In preparing fllLaDcial statements giving a true snd fair view. the trustees should
follow best prnctice and=
8elect suitable xcounting PDIicics #nd then apply thcm cotLSiStently;
make judgments and estimates that are r¢asonable and prthL
state whether applicable accounting styidxrds and tstemeDts of re¢ommended practice have b¢¢n
followed. subjc¢t to any d¢parnires disclosed and ¢xpl&ined in th¢ fin8n¢ial stotem¢nts and..
prepare the financial statements on th¢ going Concern b*si5 wikss it is iDappmpriat¢ to pr¢sum¢ the ch&rity
wsll continue in opefaiion.
The tTUStets srt res￿)nsIble for keeping accounting records which disc105e with reasonable accuracy the fEnan¢ial
posiiion of the ehariry and whi¢h enable them to ascrrtain th¢ financi¥l posilion of th¢ charity and whi¢h cnable
them io ensure ihai ihe financial statements comply with the Chhrities Aet 2011 and the trust deed. They arc also
responsible for safeguarding the L%s¢ts of ¢he charity and h¢nc¢ for tsking re&8onable steps for thc pr¢vcntion and
detcction of frbud and other irregularities.
On behlifofihe Trn51¢
Edw#rd Stlrnso
Edward Saunders
Thomai Webrter
Date:

Diss and District Yfjv
Farniers Club
For the Year Ended.lil 2024
IndepeDdeDt EI8mlner's Report to the Trnstees of Diss and D15trict Young Fanners ￿lll.
I report on the accounts of the club on Pages I to I I for the year 30 June 2024
Respeetlve re5pon517)ilities of trustees amd eumlDer
Th¢ charity trusttts are responsible for the preparation of the accounts. The trustees consider that an audit is ttot
required for the yvdr under section 144(21 of the CIMTities Act 2011 (the Charities Act) and #n independeni
cxwnination is needed. It is my r¢sponsibility ￿..
xamine Ihe accounis u￿ler section 145 of the 2011 Aei:
tollow the PToceduTCS laid down in the generdl Direcuons given by the Charity Com¥ni&sion
(under section 145(5llb} of th¢ 2011 Act- and
stht¢ wh¢ther particular matters have come h) rnv atteniion.
B*$l8 of Independent examlner'l r¢￿rI
My examinaiion was carrted out in accordan¢¢ with the Genernl Directions given by the Charity Commission. An
examination includes a review of the accounting records kept by the charity and a comperison of the accounts
presented wilh those r¢eor&8. li also includ&8 consideration of any wiu5ual i¢¢ms or di￿10$UreS in the accounts, and
geeking explanations from you as trustces concerning any such matt¢r5. The pr(wlures undertaken do not provide
all the evidence that would ￿ requtred in an audit and consequently no opinion is given a5 10 whether the accounts
preseni a 'trne and fair view. and the report is limited io those malters set out in the statement below.
Independent exAmlntr's sl*lemen¢
In ¢0[￿ectIOn with my ex8minAtion. no matter has com¢ to my attention:
Which giyes us reasonabl¢ w$¢ to b¢li¢v¢ thai in any ma￿18] respxt the requirements to k¢¢p a￿ountIng
records in accordance with s¢¢tion 130 of the 2011 Acl: and
to prepare accounts which accord with the accounting r¢¢ords and to comply with the accounting
reouirements of the 2011 Act hav¢ not been m¢L or
io whi¢h. in our opinion. attention should be drn￿ in OTder to enable g propff und¢tsdin8 of the
accounts to be reached.
Wavne Godda
CCA ACA CTA
Waveney Accountants Ltd tla
N¢wmaTL & Co.
Chartered Accountants &
Regi8tcred Auditors
4b Church Street
Di&$
Norfolk
IP22 4DD
Date: .........

Ois
#Rd District You
Farmers Club
t8tement of Financi81 ActiTrities
For the Ye8r Ended 30, JuDe 21124
Notes
UDr¢stricted
F￿￿d5
2024
Restrlcted
Funds
2024
Tot*1
Funds
2024
Total
Fullds
202.1
ICOMING RESOURCES
Incomlng resources from geDer*ted funds
Activsti¢s for ¥eneratiny ltsNIs"
Inyestment income
25.426
4596
30.022
27.1811
328
Total Incoming Resour¢e8
25,970
4.596
30.566
27,516
RESOURCES EXPENDE
Dlreet eharftable expendl¢ure
SubsLrip¢iotLS
Donations
2265
2.265
3.120
2.887
3.120
Other Expendlture
Fundraising Costs
Manag¢ni¢nt and Administrati¢)n
23,704
166
899
24.603
19.031
1.245
To¢*1 ReJources expended
26.135
4.019
30.154
23.163
Net (outgolnE)/ltteomlng resourees
{165)
577
412
4.35.:
Unrealised gains on investments
Transfer between funds
2,455
19961
2,455
1,729
996
Net movemertt Art funds
1294
.573
2.867
6,082
Fund balances brought forward
43,409
,302
Fund balances carried fonvard
44.703
2.875
47,578
44.711

L)Iss *nd Distrirt YOUD
Balinte Sheet
For the Year Ettded 301b June 2024
F*rmers
lub
Noles
Uorestrleted
Funds
2024
Total
Funds
2024
Total
Funds
2023
Funds
2024
Fixed Assets
Investsnents
26,836
26,836
24,382
Current Asseis
Cash ai bank and in hand
Short temi deposits
DebtOTS
5.493
12.374
2,875
8.368
12,374
8.49¥
11,831
17.867
2,875
20.742
20.329
Current Lllblllttes
Creditors
TntAI ntt assets
44.703
2.875
47,578
44,711
Funds
44,703
2,875
47,578
44.711
Iv¢ approve The accounts on pa8&4 6 to I l and confirni thai the records produe&l together with th¢ infomiation and
¢xplanarions provided, constitute & trne and correct record of the ¢Tansa¢tions of Diss and District Young F￿er8
Club for th¢ year ended 30 Jun¢ 2024.
SlgD¢d on b¢hAifol ttse Offlcers
S#wnders
Edw*rd
Thomu W'ebster
D4t¢:

Iss and Dlstrlct Youll
F•rmers Club
Nntès tQb the Financial StAttments
For the Year Ended JO,. June 2024
Princlple a£countfjng polleies
(a)
Accountlng eonvetttlott
The charity constitute5 a public benefit entity a5 defined by FRS 102. The finoncial statements
have been prepared in accordance with Accountitl8 and Reporting by Charities.. Statement of
Recommended Prnctice applicable to charities preparing their accounts in accordance with the
Financial Rqjorting Stsndard applicable in the UK and Republic of Ireland (FRS 102} igsucd in
October 2019, the Financial Reporting Standard applk¢able ID the United kn"ngdom and Republic
of Irelatxl (FRS 102), the Clwiiies Act 2011, and UK Generally Accepted Practice.
(b)
Don8tlons grants *Dd 51rnll*r Incomlng resDllrc¢s
Donatiofts. fvndraising income, subscriptlOlLS and sirnilar incoming r&*oU￿ are recorded in the
statcmeni of financial activiiitt as soon as thev are received.
(e)
Investm¢n¢
Bank interest 15 received ¢ross of tax and includeAI in the Statcment of Finan¢ial AetiViri¢8 on
receipt. Dividends are receiyed net of their non- recovernble tsx credii.
(d)
Regourc¢J e¥peDd¢O
All expenses are included in the Statement of Financial Activities as the obligation hrise$.
(e)
Flxed atsei lthvestmenti
Invesmwnts held as fixed assets are ststed at the market value. Any loss or gain on revaluation is
tsken lo the Stst¢ment of Financial Activiu¢s. Profils and losses ￿lsIng on ihe disposal ol.
investments are included in the Statemeni of Financial Activities as thev arise. bgsed on th-
broughi forward ¥alue (or cost for additions di$￿}Sed of during the same year) of the investments
sold.
(o
Stocks
Stocks of merchandise are s¢a*d ai the lower of cost and net Tealisable value.
(gl
Funds
The charitv mainlaiThs Vario￿ ty￿5 of fimd ￿ follows..
UnresÉri¢fed fvnds r¢pr¢5¢nt unr¢strictcd In￿Me whicb is exFendable at th¢ di￿r¢tIOn of th¢
T￿￿tr¢S in furthaHnc¢ of th¢ obj￿11¥¢5 of th¢ chanTh'.
Re5fric¢edfvnds rep￿Sellt &m￿tiOnS and 81allts rec¢ived which ar¢ allocat¢d by the doJM)r for
specific putwbse.

Dis$ and Distriet yo￿￿
Farmer$ Club
-Yotes to the FinaDcial Statements
For the Ye•r Ended 30 JuDe 21J24
2. In¢oJniDg reyoitrces
Unrestrkted Res¢rkted
Funds
Funds
2024
2024
Total
Funds
21124
Total
Funds
2023
Actlvities for getheratkng funds
FundTaising
Sub8criptions
Inve5tmeDt Intome
ank Interest
Divid¢ni
23.796
.630
4J96
28.392
.630
26.118
1.070
439
ios
439
105
217
25.970
4,596
30.566
27.516
J. DDnatlo#s
Fire Fi8hier Clwity
The Bit ('
3,080
3.080
3.120
3.121
4. Fvndr*l$lne Costs
Dan¢ei, social ¢venL8 and competitions
Club Shiris
23.7(
899
24.603
18.378
23.704
899
24,603
19.031
S. M*naqement and •drnlnl$tratlo
PostaBe 2nd Stationery
Equipment
1.24--
.24)
6. Officer'j remullerltlott
No remuneratiotk or expenses wcr¢ poid to any of the Officers.

Diss and Districl Youn
F8rmer5 Club
Staternent of Fin&￿¢1&1 ActiTrities
or the Yethr Ended IO" JuDe 2024
2024
2(J23
7. Investments
arket Value at IJT Julv 2023
Unrealised profit in the year
24.382
2,455
22,653
1,729
26.837
24.3112
Inveqtments at rnarkd value compnse:
cotF Charities Investhieni Fund Accumulatton UDits
LOtF Charities Fixed Interest Fund Incom¢ Uttits
22.283
4.554
20.038
4.344
26.837
24.382
Investments at trLiStorical cost as at 3￿ Juu¢ 2024 comprise..
',IF deposit acwunts
7.749
7.268
7,268
Investsnents are revalued annually #t a V41ue detemiined by the Club's inv¢strneni m8no8ers.
11. Debton
2024
2023
Swidry Debtors & Prepavmeni
g. Credltors
2024
21123
A¢¢nwl*

Diss District You
F*rmers Club
YoÉes ID the Fin8Dcial Statements
For the Yesr Ended 3(1 June 2024
10. RestTi¢ted fund5
B*lance as •¢
Ill Julv 2023
Incoming
Rtsource
Tr#ttsfer
of Furtds
Outgoing
Rewurce
B#lanee as At
311 June 2024
The Firefighters Charity
Macmillon Cancer Resear¢b
IJ02
1,818
2.778
(3,120)
(899)
996
2,875
IJ02
4.596
(4,019)
2.87<
li
Control
The Club is controlled by the officers who are listed on Page l.
12
Tax Starns
The Charity has no liability to In￿rne tax or capital gaills tsx.