
## **The Coastguard Association Charity** 

Registered Charity No 279359 

Trustees Report for 2024 

The Association continued to uphold its goals and maintain our phased strategy of raising the profile of the Association with all stakeholders and in particular those within the senior management of Maritime & Coastguard Agency (MCA). There is an ever growing willingness by various departments of the Senior team in the MCA to support our activities in terms of promoting awareness of the Association amongst their employees and to reinforce our aim of continuing to encourage more engagement from within the Service to interact with the Association further. We are not only engaged in providing financial support,  for 2025 we are looking at providing training in peer to peer  Mental Health awareness and support. We feel this is particularly current for those working in “blue light”  services. 

We continued our presence at the Emergency Services Show at the NEC in order to be more visible to our members. Coastline Magazine continues to be a vital part of our mission to inform all stakeholders of our ongoing activities and is our main tool in driving increased membership. 

Our Membership Assistance Programme initiative in partnership with a leading service provider, which enables members to access Health and Wellbeing facilities as well as providing other benefits associated with lifestyle preferences is now a permanent feature and is a universal benefit of membership. 

The management team continues to add to the building blocks of maintaining sustainability and controlling our expansion with the view to providing a formal base for our activities going forward as part of as drive to make the Association more proactive and dynamic in order to foster further growth. The Association continues to explore and support a variety of local and national fundraising activities. Our  reserves are continuing to show strength and growth maintaining our ability to provide the help appropriate to our stated aims. 

As described above the  management team continues to steer progress and growth in the activities of the Association in order to  extend the reach of the assistance we continue to offer our stakeholders. 

Registered Charity Number 279359 Email: Treasurer@coastguardassociation.org.uk 



We are  grateful to our loyal supporters and partners without whose efforts much of our aims would not be possible. In line with our policy of providing area support our next Annual General Meeting will be held at the end of March 2025 in Chepstow by local invitation. 


## Stuart Arundel 

Trustee and Chairman of the Committee 22[nd] March 2025. 

Registered Charity Number 279359 Email: Treasurer@coastguardassociation.org.uk 



The Co•st8uard Assocl•llo
Rrylsternd Charlty 140 279359
Recelpts and Payment Account lor the year ended 31 December2024
Yur•nd•d
D•¢20241
Dtshtrtion5 andiubsulplon5 DndudTw ￿t￿lI80￿)
IrN•stment M•wrfty
Prop•rtyrnntsi Ineom•
Int•r•rt•nd InYestM¢n¢iw¢
Inrorne from prOm￿On￿lIt@n￿jnd lundnw
Br•nch Intome
122,2¢6
114,627
26￿13
8,6SO
09
S￿.00
927
8,573
21,50)
161.
15&050
fjrints •nd rdkf- 13 port1d￿nts1Pr￿10usyr5)
Rerired Ofllc*rsl xM￿Gr￿￿￿rth
MimtserA%slrtant• Pdl
Posts8•& it1tlor￿ry
PMmotlen•l thm¥•nd
Ill3251
116,1001
ILS241
14,S591
IL7221
13.5361
1854
431
11.76BI
P90
11,7231
Trn¥•l
Prop•rty Runnlw rc4ts
F••5
16421
1162
li.2￿
Inwr4nt•Co&ts
rrewnses
13,4311
17971
15931
11,5311
SubscrfptsNs
AGM expehs
¢)th•riener•l *xp•n5•5
Totslp•wMfvts In th•y•v
116541
12,6671
IX2971
I44￿￿
117147
117,J52
Y•v•Trthd 11
Y•v4TrdedJl
Cath and In¥•stsp•n¢bilw¢•s4tth*itirtofth•y•r
Ext•Mof Incorne w•¥pensesln thE￿•r
OrWn•lcostofCAF Inv•sim•ntmibJrqd knthgywr
Fund ￿11￿￿5*tth¢Cnd ofthewar
503,366
117.247
418.5S3
117,352
131539
•ZO,612
Y•v•hd•dSI
Ropr•Mnted bv:
RI￿dentI11 Property lOr￿[neI costl
h. c￿r￿A￿D￿nts
Cash. Genqril A￿nts
PÈtty Cash
ranth Cash
142.6B7
314,262
141687
2Z7.759
1,320
973
2¥5tsJ
610.612
l FovEexaffllnedtheDb￿ pymtsolThRcoastsuwd
mfvteln aye￿]entW￿the￿yDkSUndre￿TdspreMniedtornL

The Co•st8uard Assocl•llo
Rrylsternd Charlty 140 279359
Recelpts and Payment Account lor the year ended 31 December2024
Yur•nd•d
D•¢20241
Dtshtrtion5 andiubsulplon5 DndudTw ￿t￿lI80￿)
IrN•stment M•wrfty
Prop•rtyrnntsi Ineom•
Int•r•rt•nd InYestM¢n¢iw¢
Inrorne from prOm￿On￿lIt@n￿jnd lundnw
Br•nch Intome
122,2¢6
114,627
26￿13
8,6SO
09
S￿.00
927
8,573
21,50)
161.
15&050
fjrints •nd rdkf- 13 port1d￿nts1Pr￿10usyr5)
Rerired Ofllc*rsl xM￿Gr￿￿￿rth
MimtserA%slrtant• Pdl
Posts8•& it1tlor￿ry
PMmotlen•l thm¥•nd
Ill3251
116,1001
ILS241
14,S591
IL7221
13.5361
1854
431
11.76BI
P90
11,7231
Trn¥•l
Prop•rty Runnlw rc4ts
F••5
16421
1162
li.2￿
Inwr4nt•Co&ts
rrewnses
13,4311
17971
15931
11,5311
SubscrfptsNs
AGM expehs
¢)th•riener•l *xp•n5•5
Totslp•wMfvts In th•y•v
116541
12,6671
IX2971
I44￿￿
117147
117,J52
Y•v•Trthd 11
Y•v4TrdedJl
Cath and In¥•stsp•n¢bilw¢•s4tth*itirtofth•y•r
Ext•Mof Incorne w•¥pensesln thE￿•r
OrWn•lcostofCAF Inv•sim•ntmibJrqd knthgywr
Fund ￿11￿￿5*tth¢Cnd ofthewar
503,366
117.247
418.5S3
117,352
131539
•ZO,612
Y•v•hd•dSI
Ropr•Mnted bv:
RI￿dentI11 Property lOr￿[neI costl
h. c￿r￿A￿D￿nts
Cash. Genqril A￿nts
PÈtty Cash
ranth Cash
142.6B7
314,262
141687
2Z7.759
1,320
973
2¥5tsJ
610.612
l FovEexaffllnedtheDb￿ pymtsolThRcoastsuwd
mfvteln aye￿]entW￿the￿yDkSUndre￿TdspreMniedtornL