1st Thorley (St. James) Scout Group Registered Charity No.279424
Financial Statements for the year ended 31st December 2024
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1st Thorley (St. James) Scout Group Financial Statements for the year ended 31[st] December 2024
Contents
| Information | 3 |
|---|---|
| Trustee’s Annual Report | 4 |
| Independent Examiner’s Report to the Trustees | 5 |
| Consolidated Group Summary Statement of Income and Expenditure | 6 |
| Consolidated Group Statement of Income and Expenditure | 7 |
| Group Statement of Income and Expenditure | 8 |
| Statements of Income and Expenditure: | |
| Adventurer Scouts | 9 |
| Buccaneer Scouts | 10 |
| Norman Cubs | 11 |
| Saxon Cubs | 12 |
| Viking Cubs | 13 |
| Drake Beavers | 14 |
| Raleigh Beavers | 15 |
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1st Thorley (St. James) Scout Group
Information
President Mr G. Bishop
Trustees
Mr C. Nicholls Group Chairman Mrs C. Hills Group Secretary Mr N. Reed Group Scout Leader Mrs S. Carrington Deputy Group Scout Leader Mrs S. Byford Group Executive Member Mrs P. Mothersole Group Executive Member Mr. M. Ritchie Group Treasurer
Bankers:
Lloyds TSB 20 North St Bishop’s Stortford CM23 2LN
Group / District Registration Number:
32343
Charity Registration Number: 279424
Contact Name & Address:
Mr C. Nicholls 19 Mazoe Road Bishop’s Stortford Herts, CM23 3 JS
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1st Thorley (St. James) Scout Group Trustee’s Annual Report for the Year Ended 31[st] December 2024
The aim of the Scout Association is to promote and encourage “the physical, mental and spiritual wellbeing of its members so they can take a rightful place in society”. We offer a balanced and progressive programme from the age of six through to sixteen, supported by a Group Executive made up of parents past and present. Our Group continues to grow with members from all sections gaining top training awards and having lots of fun along the way.
Scouting is alive and well in Bishop’s Stortford with 1st Thorley (St. James) Scout Group currently being one of the largest Groups both locally as well as in Hertfordshire.
Group Scout Leader
Group Chairman
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Independent Examiner’s Report to the Trustees of the 1st Thorley (St. James) Scout Group
I report on the accounts of the 1st Thorley (St. James) Scout Group for the year ended 31[st] December 2024.
As the Charity’s Trustees you are responsible for the preparation of accounts; you consider that the audit requirement of Section 43(2) of the Charities Act 1993 (the Act) does not apply. It is my responsibility to state, on the basis of procedures specified in the General Directions given by the Charity Commission under section 43(7)(b) of the Act, whether particular matters have come to my attention.
Basis of Examiner’s Report
My examination was carried out in accordance with the General Directions given by the Charity Commissioners. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from you as Trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently I do not express an audit opinion on the view given by the accounts.
Independent Examiner’s Statement
In connection with my examination, no matter has come to my attention:
which gives me reasonable cause to believe, that in any material respect, the requirements to keep accounting records in accordance with Section 41 of the Act, to prepare accounts, which accord with the accounting records, and to comply with the accounting requirements of the Act, have not been met,
or to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached,
or which gives me reasonable cause to believe that in any material respect the accounting rules of the Group’s constitution have not been met.
Name Matthew Ritchie 86 Thorley Hill Bishop’s Stortford CM23 3NB
Signed
Dated
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1st Thorley (St. James) Scout Group (Registered Charity No. 279424)
CONSOLIDATED GROUP SUMMARY STATEMENT OF INCOME & EXPENDITURE FOR THE YEAR ENDED 31 DECEMBER 2024
| Total Receipts for the year Total Payments for the year Net Receipts/(Payments) for the year Net current assets brought forward Net current assets carried forward |
Year ended 31 Dec 2024 Total £ Year ended 31 Dec 2023 Total £ 70,747 62,194 69,769 59,244 979.21 2,950 77,823 74.873 78,803 77,823 |
|---|---|
Approved by the Trustees and signed on their behalf by:
Group Chairman
Group Scout Leader
Dated :
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1st Thorley (St. James) Scout Group
(Registered Charity No. 279424)
CONSOLIDATED GROUP STATEMENT OF INCOME & EXPENDITURE FOR THE YEAR ENDED 31 DECEMBER 2024
| Income Membership Gift Aid Use of HQ Donations/Grants Troop & Pack activities Camp income Electricity Uniforms and badges Bank interest Other income Total income Expenditure Membership Troop & Pack activities Camp costs Fund raising expenses Building fund Cleaning Donations Utilities Equipment Insurance Rent Repairs & Maintenance Uniforms and badges Transport Miscellaneous Total Expenditure Net Income/(Expenditure) Opening cash & bank balance Closing cash & bank balance Represented by: Current Accounts Deposit Acount Cash in hand Debtors and prepayments Accrued costs |
Year ended Year ended 31 December 2024 31 December 2023 Total Total £ £ 25,996.29 24,102.78 - 3,757.64 1,830.00 1,527.00 778.27 4,711.08 18,117.53 12,785.86 19,855.64 10,664.32 - - 1,822.90 1,458.85 997.17 636.41 1,349.99 2,550.28 70,747.79 62,194.22 10,587.48 9,894.38 19,271.44 18,813.28 22,760.82 11,909.65 - - - 1,776.00 160.00 1,170.28 535.00 616.81 1,427.73 1,693.82 524.72 2,143.60 574.30 563.14 6,512.50 707.54 1,731.78 1,799.73 3,471.05 4,813.97 - - 2,211.76 3,341.80 69,768.58 59,244.00 979.21 2,950.22 77,835.17 74,873.11 78,814.38 77,823.33 37,180.66 37,874.65 41,237.20 40,240.03 236.84 126.37 - - 159.68 (417.72) 78,814.38 77,823.33 |
|---|---|
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1st Thorley (St. James) Scout Group
(Registered Charity No. 279424)
STATEMENT OF INCOME & EXPENDITURE FOR THE YEAR ENDED 31 DECEMBER 2024
| Income Membership subscriptions Gift Aid Use of HQ Donations/Grants Troop & Pack activities Camp income Electricity Uniforms and badges Bank interest Other income Total income Expenditure Membership Troop & Pack activities Camp costs Fund raising expenses Building fund Cleaning Donations Utilities Equipment Insurance Rent Repairs & Maintenance Uniforms and badges Transport Miscellaneous Total Expenditure Net Income/(Expenditure) Opening cash & bank balance Closing cash & bank balance Represented by: Current Account Deposit Acount Cash in hand Debtors and prepayments Accrued costs |
Year ended Year ended 31 December 2024 31 December 2023 Total Total £ £ 18,798.06 18,007.49 - 3,757.64 1,830.00 1,527.00 - - 2,050.05 - - - 39.00 72.00 997.17 636.41 300.00 781.70 24,014.28 24,782.24 10,675.00 9,800.00 542.69 417.23 - 72.00 - 1,776.00 160.00 1,170.28 - - 1,374.73 1,649.33 332.59 965.38 574.30 563.14 6,512.50 707.54 1,731.78 1,799.73 1,638.71 2,070.05 - - 345.35 1,019.60 23,887.65 22,010.28 126.63 2,771.96 64,434.13 61,662.17 64,560.76 64,434.13 17,009.79 21,444.07 41,237.20 40,240.03 30.48 30.48 6,283.29 2,911.08 - (191.53) 64,560.76 64,434.13 |
|---|---|
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Adventurer Scout Troop
(Registered Charity No. 279424)
STATEMENT OF INCOME & EXPENDITURE FOR THE YEAR ENDED 31 DECEMBER 2024
| Income Membership Gift Aid Use of HQ Donations/Grants Troop & Pack activities Camp income Electricity Uniforms and badges Bank interest Other income Total income Expenditure Membership Troop & Pack activities Camp costs Fund raising expenses Building fund Cleaning Donations Utilities Equipment Insurance Rent Repairs & Maintenance Uniforms and badges Transport Miscellaneous Total Expenditure Net Income/(Expenditure) Opening cash & bank balance Closing cash & bank balance Represented by: Current Account Deposit Acount Cash in hand Debtors and prepayments Accrued costs |
Year ended Year ended 31 December 2024 31 December 2023 Total Total £ £ 5,010.00 4,743.00 100.00 4,415.33 3,977.20 3,235.00 3,445.00 310.00 959.20 12,970.33 13,224.40 3,578.57 3,387.86 4,904.31 4,797.93 3,462.62 3,276.19 53.00 - 1,178.22 29.49 938.33 370.80 12,936.83 13,040.49 33.50 183.91 3,769.92 3,586.01 3,803.42 3,769.92 3,803.42 3,769.92 3,803.42 3,769.92 |
|---|---|
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Buccaneer Scout Troop
(Registered Charity No. 279424)
STATEMENT OF INCOME & EXPENDITURE FOR THE YEAR ENDED 31 DECEMBER 2024
| Income Membership Gift Aid Use of HQ Donations/Grants Troop & Pack activities Camp income Electricity Uniforms and badges Bank interest Other income Total income Expenditure Membership Troop & Pack activities Camp costs Fund raising expenses Building fund Cleaning Donations Utilities Equipment Insurance Rent Repairs & Maintenance Uniforms and badges Transport Miscellaneous Total Expenditure Net Income/(Expenditure) Opening cash & bank balance Closing cash & bank balance Represented by: Current Account Deposit Acount Cash in hand Debtors and prepayments Accrued costs |
Year ended Year ended 31 December 2024 31 December 2023 Total Total £ £ 3,872.02 3,256.32 - 523.60 641.85 6,964.64 1,909.12 344.44 48.57 11,704.70 5,855.86 2,987.14 3,003.29 754.69 2,039.20 10,035.12 1,449.01 385.91 443.84 14,162.86 6,935.34 (2,458.16) (1,079.48) 2,777.94 3,857.42 319.78 2,777.94 1,212.64 2,777.94 (892.86) 319.78 2,777.94 |
|---|---|
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Norman Cub Pack
(Registered Charity No. 279424)
STATEMENT OF INCOME & EXPENDITURE FOR THE YEAR ENDED 31 DECEMBER 2024
| Income Membership Gift Aid Use of HQ Donations/Grants Troop & Pack activities Camp income Electricity Uniforms and badges Bank interest Other income Total income Expenditure Membership Troop & Pack activities Camp costs Fund raising expenses Building fund Cleaning Donations Utilities Equipment Insurance Rent Repairs & Maintenance Uniforms and badges Transport Miscellaneous Total Expenditure Net Income/(Expenditure) Opening cash & bank balance Closing cash & bank balance Represented by: Current Account Deposit Acount Cash in hand Debtors and prepayments Accrued costs |
Year ended Year ended 31 December 2024 31 December 2023 Total Total £ £ 3,730.57 3,209.76 113.27 1,224.67 6,085.44 3,502.04 3,615.00 50.00 404.00 337.55 72.05 455.48 14,020.33 8,779.50 2,726.13 2,535.74 5,849.27 3,615.18 1,905.98 2,114.21 - 235.00 26.11 911.30 1,415.30 236.85 299.84 11,864.53 10,006.38 2,155.80 (1,226.88) 650.56 1,877.44 2,806.36 650.56 4,828.81 2,673.01 15.37 17.29 (2,037.82) (2,039.74) 2,806.36 650.56 |
|---|---|
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Saxon Cub Pack
(Registered Charity No. 279424)
STATEMENT OF INCOME & EXPENDITURE FOR THE YEAR ENDED 31 DECEMBER 2024
| Income Membership Gift Aid Use of HQ Donations/Grants Troop & Pack activities Camp income Electricity Uniforms and badges Bank interest Other income Total income Expenditure Membership Troop & Pack activities Camp costs Fund raising expenses Building fund Cleaning Donations Utilities Equipment Insurance Rent Repairs & Maintenance Uniforms and badges Transport Miscellaneous Total Expenditure Net Income/(Expenditure) Opening cash & bank balance Closing cash & bank balance Represented by: Current Account Deposit Acount Cash in hand Debtors and prepayments Accrued costs |
Year ended Year ended 31 December 2024 31 December 2023 Total Total £ £ 3,341.15 3,381.30 - - 2,715.00 3,112.10 431.80 345.30 80.50 6,487.95 6,919.20 2,428.23 2,193.86 817.55 1,814.91 2,594.13 1,816.99 44.49 126.33 264.79 5,966.24 6,135.04 521.71 784.16 2,002.74 1,218.58 2,524.45 2,002.74 3,419.09 2,897.48 (894.64) (894.74) 2,524.45 2,002.74 |
|---|---|
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Viking Cub Pack
(Registered Charity No. 279424)
STATEMENT OF INCOME & EXPENDITURE FOR THE YEAR ENDED 31 DECEMBER 2024
| Income Membership Gift Aid Use of HQ Donations/Grants Troop & Pack activities Camp income Electricity Uniforms and badges Bank interest Other income Total income Expenditure Membership Troop & Pack activities Camp costs Fund raising expenses Building fund Cleaning Donations Utilities Equipment Insurance Rent Repairs & Maintenance Uniforms and badges Transport Miscellaneous Total Expenditure Net Income/(Expenditure) Opening cash & bank balance Closing cash & bank balance Represented by: Current Account Deposit Acount Cash in hand Debtors and prepayments Accrued costs |
Year ended Year ended 31 December 2024 31 December 2023 Total Total £ £ 2,800.00 2,778.00 300.00 206.00 357.46 760.00 600.00 - 130.00 4,196.00 3,735.46 1,462.50 2,015.00 1,111.10 671.61 407.56 300.00 310.00 - - 16.10 60.00 2,889.70 3,464.17 1,306.30 271.29 1,015.82 744.53 2,322.12 1,015.82 2,151.23 945.48 170.89 70.34 2,322.12 1,015.82 |
|---|---|
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Drake Beavers Colony
(Registered Charity No. 279424)
STATEMENT OF INCOME & EXPENDITURE FOR THE YEAR ENDED 31 DECEMBER 2024
| Income Membership Gift Aid Use of HQ Donations/Grants Troop & Pack activities Camp income Electricity Uniforms and badges Bank interest Other income Total income Expenditure Membership Troop & Pack activities Camp costs Fund raising expenses Building fund Cleaning Donations Utilities Equipment Insurance Rent Repairs & Maintenance Uniforms and badges Transport Miscellaneous Total Expenditure Net Income/(Expenditure) Opening cash & bank balance Closing cash & bank balance Represented by: Current Account Deposit Acount Cash in hand Debtors and prepayments Accrued costs |
Year ended Year ended 31 December 2024 31 December 2023 Total Total £ £ 3,249.31 2,589.40 219.26 280.70 2,074.00 308.10 495.50 416.00 200.00 6,038.07 3,794.20 2,306.97 1,942.05 989.69 369.20 2,076.00 328.10 280.70 192.13 302.57 443.77 53.00 342.99 5,920.36 3,706.81 117.71 87.39 777.59 690.20 895.30 777.59 1,077.99 960.28 20.10 20.10 (202.79) (202.79) 895.30 777.59 |
|---|---|
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Raleigh Beavers Colony
(Registered Charity No. 279424)
STATEMENT OF INCOME & EXPENDITURE FOR THE YEAR ENDED 31 DECEMBER 2024
| Income Membership Gift Aid Use of HQ Donations/Grants Troop & Pack activities Camp income Electricity Uniforms and badges Bank interest Other income Total income Expenditure Membership Troop & Pack activities Camp costs Fund raising expenses Building fund Cleaning Donations Utilities Equipment Insurance Rent Repairs & Maintenance Uniforms and badges Transport Miscellaneous Total Expenditure Net Income/(Expenditure) Opening cash & bank balance Closing cash & bank balance Represented by: Current Account Deposit Acount Cash in hand Debtors and prepayments Accrued costs |
Year ended Year ended 31 December 2024 31 December 2023 Total Total £ £ 3,993.24 4,145.00 365.00 3,386.41 4,617.85 4,026.61 492.00 1,240.00 452.60 288.00 193.50 24.83 10,114.19 13,110.85 3,221.00 3,024.07 4,302.14 5,088.02 2,686.97 2,445.59 - 618.47 855.36 109.89 539.94 10,938.47 11,952.98 (824.28) 1,157.87 2,406.47 1,248.60 1,582.19 2,406.47 3,677.69 2,406.47 (2,095.50) 1,582.19 2,406.47 |
|---|---|
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