Richmond upon Thames District Scout Council
Patron HM The Queen President HRH The Duke of Kent Founder Robert Baden-Powell OM Chief Scout Bear Grylls
Scout Council District Registration Number: 14119; Registered Charity: 289912
Trustees’ Annual Report
and
Financial Statements
for the year ending
31[st] December 2021
County of Greater London South West RICHMOND UPON THAMES DISTRICT SCOUT COUNCIL
Registered Charity No 289912
Annual General Meeting
Sunday 18th September 2022 at 3:00pm The Hub, Kerswell Hall, Wills Crescent, Hounslow
Agenda
1 .Welcome
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Apologies for absence
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Minutes of last year’s AGM
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Reports--District Chairman
-
--District Treasurer
-
--District Secretary
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Approval of District Reports, Annual Report and Financial Statements for year ending 31[st] .December 2021
6. Election of District Officers
-
Approval of District Commissioner’s nomination for District Chairman
-
Election of District Secretary
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Election of District Treasurer
-
Election of members
-
Election of Auditor
7. County Commissioner, Greater London South West, Owen Purcell
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Deputy Mayor, London Borough of Richmond upon Thames, Cllr. Rhi Lee
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AOB
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10.Close of meeting
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Richmond upon Thames District Scout Council Patron HM The Queen President HRH The Duke of Kent Founder Robert Baden-Powell OM Chief Scout Bear Grylls
Scout Council District Registration Number: 14119; Registered Charity: 289912
Annual General Meeting
Sunday 12th September 2021 at 3:00pm The Hub, Kerswell Hall, Wills Crescent, Hounslow
1. WELCOME:
District Chair, Jill Fielder, welcomed everyone to the meeting. Jill welcomed our County Commissioner, Owen Purcell, our President, Robin Corti, Vice Presidents, Penny Bell-Wright and Tony Arbour. Gillian Norton OBE, Deputy Lord Lieutenant Richmond upon Thames, Councillor Suzette Nicholson, Deputy Mayor of Richmond upon Thames.
2. APOLOGIES
Bruce McLaren, Clare Smithies, Leanne Riley, Annabel Hobley, Jeremy Porter, Shannon Feely, Martin Riddell, Harriet Richardson, Thomas Cross, Nicola Jeffrey, Caron Fretten-Shelley, Steve Miles, Mike Dixon, Piet van de Wiel, Jenny Coles, Donna Wilson, Alan and Jill Brewer.
3. MINUTES OF 2020 ANNUAL GENERAL MEETING
These were included in the Trustees’ Annual Report and were agreed and adopted.
4. APPROVAL OF ANNUAL REPORTS FOR YEAR ENDING 31st DECEMBER 2020
Copies of the District Reports had been distributed at the start of the Meeting for everyone to read.
5. APPROVAL OF FINANCIAL STATEMENTS FOR YEAR ENDING 31st DECEMBER 2020 .
The Annual Report included the Financial Statements for 2020. The accounts had been signed off by our Auditor without any concerns. There were no questions for the Treasurer. The District Financial Statements were approved.
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6. ELECTION OF DISTRICT OFFICERS
Nomination for Chairman. The DC, Phil Hunt, nominated Jill Fielder as Chair, who agreed to continue. This was approved.
Pam Dixon was nominated for the post of District Secretary. Pam was elected without dissent. Patrick Ducker was nominated for the post of District Treasurer. Patrick was elected without dissent.
Pam and Patrick agreed to continue.
The meeting approved the DC’s nomination of Linda Grantham as a new Vice President.
District Executive
Phil Hunt - DC Tim Grebot - DDC Jill Fielder -District Chair Pam Dixon - Secretary Patrick Ducker - Treasurer Lou Flynn - Head of People Nigel Waine – Training Manager Ian Hardy – Adults Awards Alan Brewer – Chair of Finance and General Purposes Committee Donna Wilson – Risk Assessment Keith Wincott – Growth and Development Jonny O’Neil – Youth Commissioner The Meeting approved the DC’s nominations for co-opted members to the District Executive: Ossie Stanley, Gill Brewer, Sarah Kershaw. F&GP Committee Alan Brewer- Chair, Gill Brewer – Secretary, Pam Dixon, Nigel Waine, Patrick Ducker, Phil Hunt, Tim Grebot, Jill Fielder. Adult Awards Panel Ian Hardy, Carol Corti, Phil Hunt, Jill Fielder. Representative for County Executive David Isaac
7. ELECTION OF AUDITOR
Chandrasih Sisodia, a professional accountant, had examined and approved the accounts for 2020 and is prepared to examine our accounts again next year. His election as Independent Examiner was agreed at the meeting.
8. COUNTY COMMISSIONER
Owen thanked Phil and Jill for their support in his new role as C.C. He commented on the success of Richmond Scout District through the Covid pandemic.
9. DEPUTY LORD LIEUTENANT RICHMOND UPON THAMES
Gillian Norton thanked everyone for the invitation . She commented on how proud she was to be part of Richmond upon Thames and wished us well for the coming year.
10. DEPUTY MAYOR OF RICHMOND UPON THAMES
Councillor Suzette Nicholson thanked everyone for her invitation today. She said that she had met several people present yesterday at the opening of the new building at P&H. She felt Richmond Scouts were amazing examples of volunteering.
11. ANY OTHER BUSINESS
Jill thanked 1[st] Whitton for the use of their hall. She also thanked Claire and Robert for allowing Phil to give so much of his time to the District.
There being no further business the meeting closed at 3.20pm.
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Annual Report, and Financial Statements
REFERENCE AND ADMINISTRATIVE DETAILS
Governing Document
Royal Charter 4th January 1912, as amended 19 July 1991
Objectives To promote the development of young people in achieving their full physical, intellectual, social and spiritual potentials, as individuals, as responsible citizens and as members of their local, national and international communities.
President:
Mr Robin M Corti
Vice Presidents:
Cllr Alan Juriansz Cllr Tony Arbour, JP MLA Mrs Penelope Bell-Wright
from 12[th] Sept. 2021 Ms. Linda Grantham
Trustees
All served from 1st January 2021 to 31st December 2021 unless noted. Details regarding recruitment/appointment and training of Trustees are shown under Governance & Management.
| to 12th September 2021 | from 12th September 2021 | |
|---|---|---|
| Philippe Hunt | District Commissioner | |
| Barbara Jill Fielder | District Chairman | |
| TimothyAnthonyGrebot | DeputyDistrict Commissioner | |
| Patrick Leopold Ducker | District Treasurer | |
| Pamela Dixon | District Secretary | |
| Jonathon “Jonny” Joseph O’Neil | District Youth Commissioner | |
| Gillian Margaret Brewer | Nominated byDistrict Commissioner | |
| Roger Albert “Ossie” Stanley | Nominated byDistrict Commissioner | |
| Alan Paul Brewer | SAS Representative. | Chair,F & G P Committee |
| Donna Wilson | GSL Representative. | Risk Assessment Officer |
| Nigel JeremyWaine | Nominated byDistrict Commissioner | TrainingManager |
| Sarah Louise Kershaw | Beavers Scouts Representative | Co-Opted |
| Louise Anne Sandra Flynn | Nominated byDistrict Commissioner | Head of People |
| David Michael Issac | Nominated byDistrict Commissioner | Representative on GLSW Exec. |
| Ian Robert Hardy | Adult Awards | |
| Keith Meredith Wincott | Growth & Development | |
| Helen Claire Louise Latchford | Network | |
| Derryn AntonyLovett | Network | |
| Martin Brian Wood | Explorer Scouts Representative. | |
| Michael David John Clements | Scouts Section Representative | |
| Michael Gray | Cub Scouts Section Representative | |
| SallyMilner | District Youth Commissioner | |
| Ian Robert Flynn | Nominated byDistrict Commissioner |
District Registration Number with the Scout Council: Charity Registration Number :
14119
Charity Registration Number : 289912 Bankers : National Westminster Bank, Twickenham CAF Bank Ltd. West Malling, Kent Custodian Trustee Scout Association Trust Corporation Custodian Adviser None Website: www.richmondscouts.org.uk Principal Address: Mrs B.J. Fielder, Chairman, Richmond upon Thames District Scout Council, 79 Wills Crescent, Hounslow, TW3 2JE
Telephone: 020 8755 0373 Email: chair@richmondscouts.org.uk
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STRUCTURE, GOVERNANCE AND MANAGEMENT
The Richmond upon Thames District Scout Council is an autonomous charity affiliated to the County of Greater London South West Scout Council (GLSW), and to the Scout Association. The rules under which the District Council operate are authorised by the Bye-Laws of the Scout Association, known as Policy, Organisation and Rules (POR), which, in turn, are authorised by the Royal Charter.
The District Council acts as an umbrella organisation to the individual Scout Groups operating within its geographical area, who are autonomous charities, and subject to the same rules.
The District Council directly administers the Explorer Scout Units within its area, as well as other District organisations.
All those joining any of the Scout Groups, Units or other organisations which operate within the remit of the District Council become members of the Scout Association.
The District Scout Council is the electoral body of adults which supports Scouting in the district and it is from that body that the District Executive Committee is nominated/elected/co-opted and to which the District Executive Committee is accountable. All members of the District Executive Committee become Trustees as a result of their respective offices
Governance and Management
The District Commissioner (DC) is appointed by the County Commissioner, a member of GLSW.
The Chairman is nominated by the District Commissioner, and his/her appointment approved at the Annual General Meeting.
The District Secretary and Treasurer are elected at the Annual General Meeting.
Following discussions and agreement at the 2021 Annual Conference, further members of the District Executive Committee were nominated for their specific role, skills, knowledge or experience and elected at the Annual General Meeting.
Under the Scout Association Policy, Organisation and Rules (POR), the DC can nominate further members of the District Executive Committee, for approval at the Annual General Meeting. The number of nominated members cannot exceed that of elected members.
Representatives of the leaders of each stage of Scouting areelected by their colleagues, as members of the District Operations Committee.
All members of the District Executive Committee are subject to Enhanced Clearance by the Disclosure and Barring Service (DBS) (previously the CRB) and are given training appropriate for their post by the District Training Officer or his/her nominee.
The Trustees making up the Richmond upon Thames District Executive Committee meet at least six times a year, and are responsible for:
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The maintenance of District Property
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The raising of funds and administration of District finance
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The insurance of persons, property and equipment
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District public occasions
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Assisting in the recruitment of leaders and other adult support
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Appointing any sub-committees that may be appropriate 7. Appointing any District Administrators and Advisers other than those who are elected.
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At their meeting on 2[nd] October 2018 the District Executive Committee agreed to the establishment of a Finance and General Purposes Sub-Committee to consider financial and general administrative matters in detail and make recommendations. In addition to the Chairman, Secretary, Treasurer, District Commissioner and Deputy District Commissioner, members of the sub-committee may be nominated for their experience or specialist knowledge.
In 2021 the Committee was chaired by Alan Brewer, Gill Brewer acted as Secretary.
Members in 2021 were,Pam Dixon, Nigel Waine, Patrick Ducker, Phil Hunt, Tim Grebot, Jill Fielder.
Day to day decisions affecting the operation of the affiliated Scout Groups are made by the District Commissioner, after appropriate consultation.
Day to day administration decisions are made by the Chairman, after appropriate consultation.
STATEMENT OF TRUSTEES’ RESPONSIBILITIES
The Trustees are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the Trust. They are also responsible for safeguarding the assets of the District Council and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.
The Trustees are also responsible for the preparation of the Annual Report and Financial Statements in accordance with the Bye-Laws of the Scout Association and the Charity Commissioners.
These require the District Executive Committee to select and apply suitable accounting policies and then apply them consistently, to make reasonable and prudent judgements, and to prepare financial statements on the “going concern” basis for each financial year in accordance with the Statement of Recommended Practice – Accounting and Reporting by Charities (Charities SORP 2005).
Each Scout Group is an educational charity in its own right and must produce Group accounts in line with the reporting procedures. Some Groups are also registered charities, in which case they must produce Group accounts in line with the reporting procedures and provide an annual report to the Charity Commission. All members of Group Executives are Charity Trustees..
The Financial Statements are subject to Independent Examination by a suitably qualified person.
RISK AND CORPORATE MATTERS
The Trustees take a cautious approach to risk. To that end they have taken steps to identify the major risks to which the District and Groups are exposed and taken necessary steps to mitigate them.
Individual members of the Scout Association are automatically covered by insurance through payment, by the District Council on their behalf, of capitation.
Risk Management Register.
Following the adoption of the Risk Management Register prior to the AGM in 2015, further meetings have been held to determine the appropriate steps that needed to be taken to mitigate the risks concerned. The Register will continue to be reviewed annually. It was last reviewed by the Finance & General Purposes Committee in July 2019 and the updated version agreed by the District Council at their subsequent meeting that month. A summary of the actions that have or are to be taken are shown below:
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Risk Management Register as at July 2019.
Potential risk Potential impact Steps to mitigate risk Actions
Highly Damaging Potential Risks (High Likelihood & High Impact)
None
Very Damaging Potential Risks (Moderate Likelihood & High Impact)
| Trustees' fail to understand and correctly conduct their responsibilities |
• Damage to reputation of Richmond upon Thames District Scout Council • Loss of charitable status |
• Provide training for trustees specific to their role. |
• Training Manager regularly reviewing and ensuring all Exec Members have completed mandatory training. • Whistleblowing Policy and County contact published. |
|---|---|---|---|
| Breach of Child Protection Legislation |
• Reputational Damage • Legal penalties • Action for negligence. |
• Training • Clearance of Volunteers • Monitoring of adherence to POR |
• Training Manager regularly reports on current position to District Exec. • Clearance through Disclosure and Barring Service (DBS) organized by Appointments Secretary, Lou Flynn.. • Compass (HQ) maintains register of leaders and their DBS dates/numbers. • GSLs to ensure Leaders complete mandatory Safeguarding Training. • Adherence to POR is the responsibility of individuals. Use of POR should be included in training. NB Full generic Job Descriptions, guidance and e-learning modules are available for all posts from http://members.scouts.org.uk/supportresources |
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Damaging Potential Risks (Moderate Likelihood & Moderate Impact)
| Loss of key staff | • Experience or skills lost. |
• Succession planning. | • Chairman & DC to identify key post holders and risk to District of such loss. Register is held by District Secretary. To be reviewed annually after the AGM |
|---|---|---|---|
| Failure to recruit sufficient numbers of adult volunteers |
• Inability to meet demand for scouting. |
• Ongoing recruitment campaigns. |
• Appointment of ADC for Adult Support. |
| Delays or failures in Project or service development |
• Compatibility with objects, plans and priorities. • Funding and financial viability. • Project viability. • Skills availability. |
• Project appraisal and costing procedures. • Authorisation procedures. • Monitoring and reporting procedures. |
• District Projects to be defined and identified, with named officer responsible. • Authorisation, including financial exposure, thru’ District Exec. • Project officer to report to District Exec. |
| Budgetary control and financial reporting |
• Budget does not match key objectives and priorities. • Decisions made on inaccurate financial projections or reporting. • Decisions made based on unreliable costing data. • Inability to meet commitments or key objectives. |
• Budgets linked to business planning and objectives. • Timely and accurate monitoring and reporting. • Proper costing procedures for product or service delivery. • Adequate skills base to produce and interpret budgetary and financial reporting. |
• Lack of routine annual expenditure makes budgeting inappropriate except for specific projects. (see below) • Detailed financial report circulated at each meeting of District Exec. • Requests for payment to fall under “expected expenditure” or to be specifically authorised by Exec. • All expenditure, including claim for expenses, to be properly documented and authorised by two officers of Exec. • Appointment of financial officers capable of responsibility. |
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| Fund raising | • Insufficient to meet outgoings. • Damage to reputation for inappropriate methods. • Breach of law and regulations. |
• Budget for income and expenditure requirements and monitor. • Follow Scout Association guidance. |
• Fund raising should be linked to District Projects, be “low key”, and be monitored by Project Officer, appointed by District Executive, to ensure adherence to guidelines etc. |
|---|---|---|---|
| Failure to follow POR of the Scout Association |
• Invalidation of insurance cover. • Reputational Damage. |
• Monitor compliance • Breaches to be reported to DC for urgent action. |
• Adherence to POR is the responsibility of individuals. Use of POR should be included in training. • NB. Full generic Job Descriptions, guidance and e-learning modules are available for all posts from http://members.scouts.org.uk/supportresources • NB. District specific variations and additions to be agreed by District Executive. |
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INVESTMENT POLICY
The Trustees cautious approach to risk extends to its investments, and its reserves are only placed with highly secure, low risk funds. Day-to-day funds are kept with a “high street” bank, and cash is held for the shortest possible time before being paid into a bank.
By investing through the Scout Association and The COIF Charities Deposit Fund, the Trustees seek to benefit from their published social, ethical and environmental investment policies.
RESERVES POLICY
It is the intention of the District Council to hold sufficient reserves in cash and short-term investments to:
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➢ Meet possible short term liabilities.
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➢ Cover any adverse phasing of income and expenditure for approved major events.
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➢ Provide six months operating costs of the District Council and its officers.
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➢ Ensure that the Council Training Objectives are met.
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➢ Be able to provide “start up” or support funding for any new Scout Group or Section which meets key objectives.
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➢ Ensure buildings, which are the responsibility of the District Council, are maintained.
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➢ Enable short term finance is available to Scout Groups who experience a critical problem with accommodation due to the age of their building or with the tenancy of the property.
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➢ Be able to provide initial or support funding for any specific activity which meets the District Council’s Objectives, and which may not be able to achieve short term selffinancing.
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OBJECTIVES, ACTIVITIES, ACHIEVEMENTS AND PERFORMANCE
Scouting exists to actively engage and support young people in their personal development, empowering them to make a positive contribution to society.
District Development and Growth Plans
The District Development 5 year Plan (2018-2023) was launched in September 2018. Shortened to ‘Our Plan’, its main objective is described as:
“We will support amazing leaders top deliver an inspiring programme and prepare more young people with skills for life.”
We will achieve this by:
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Using the national #SkillsForLife strategy for Growth, Inclusivity, Youth Shaped and Impact
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All Groups feeling that they truly belong to a wider District community
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Improving effectiveness and efficiency of District support
Our Plan is under constant review to ensure that it meets current requirements.
Announced at the Annual District Conference in September 2021, the new priorities and focus for this District in 2022 were identified as:
Youth involvement (investing in our future)
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Young Leader training programme
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Young people at District meetings
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Youth Commissioners
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Governance (Keeping young people safe - Protecting our volunteers - Safeguarding our Organisation)
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Mandatory training for adults
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First Aid, Safety, Safeguarding training for adults
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Role appropriate minimum training
-
-
Managing Risk
- Risk Assessments, Activity Permits
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Managing Records
- OSM, Compass
• Financial Governance
• Recruiting and developing Adults
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Induction and Meet the Team
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Appointment Committee interview re-imagined
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Training Advisers / Coaches
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Practical Skills & Knowledge (‘Scoutcraft’)
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In order to focus on these specific areas, the terms of reference for the District Executive was redefined to be:
The purpose of The Executive Committee
Responsible for finances, governance & compliance, adult volunteers and growth. Also supports the DC and his team to fulfil their responsibilities and objectives.
To ensure year on year improvement:
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Objectives / Goals / Targets
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Measure performance
In order to ensure year on year improvement in priority areas, the District Executive sets objectives, goals and targets and measures performance.
Consequently, a member of the District Executive is responsible for monitoring and reporting on certain aspects of governance and compliance as follows:
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Finance (Treasurer supported by Finance Committee)
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Legal (District Officers)
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Adult Training : (District Training Manager)
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People (‘Head of People’ aka Appointments Committee Chairman/Secretary)
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Growth & Development ADC Growth & Development
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Risk Management ‘Head of Risk’
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Data Analysis
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County Executive Liaison :
-
Adult Awards
One year in to the revised organisation, the level of success will be reported on at the District Annual Conference in September 2022.
Census returns:
The continued effort by all of our volunteers across the District has meant that youth membership is now at a record high, exceeding pre-pandemic figures.
| As at January | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 |
|---|---|---|---|---|---|---|---|---|
| Youth members | 2,218 | 1,937 | 2,209 | 2,197 | 2,081 | 2,056 | 2,110 | 2,018 |
The numbers of adult volunteers, spilt here by the Programme Delivery teams (e.g. uniformed Leaders) and Support personnel (e.g. Group Trustees) remains strong
| As at January | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 |
|---|---|---|---|---|---|---|---|---|
| Programme delivery | 404 | 365 | 366 | 335 | 349 | 368 | 304 | 272 |
| Support personnel | 236 | 221 | 243 | 227 | 161 | 174 | 93 | 81 |
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FINANCIAL REVIEW
Under Scouting’s Policy Organisation and Rules (POR), revised in May 2021, the District Council is directly responsible for the activities of any District Activities that it authorises, including the District Scout Shop, together with all Explorer Units, District Network and District SAS Unit. The financial records for all these have therefore been consolidated with those of the District Council in the preparation of this report.
At their meeting on November 15[th] 2012 the Trustees and Executive Committee of the Richmond District Scout Council, agreed to merge the Charity “ 6[th] Richmond (Lady Archers Own) Scout Group ” with the Charity “ Richmond upon Thames District Scout Council” . with effect from 1[st] April 2012. This merger was subsequently approved by the Charity Commission. The accounts have been consolidated with those of the District Council.
As the balances at the Bank exceeded the £85k limit for protection under the Financial Services Compensation Scheme, the Executive Committee agreed to transfer £85k into a Business Instant Saver Account at the Nationwide Building Society
Following extensive discussions and a detailed review of their proposals, the District Executive agreed to support the construction of a new Scout Hut (Phoenix II) at Petersham and Ham by a grant of £25k and a loan of £50k, repayable over 10 years at nominal interest. The loan was transferred on 27[th] August 2020. Petersham & Ham initiated repayment from 1[st] September 2021
A request for help with major roof repairs to their Hut was received from 3[rd] Whitton, and interestfree loan of £7k over 10 years was agreed. The funds transferred on 12[th] September 2019
At their meeting on 30th June 2020, the District Executive Council accepted the proposal, put forward by the District Commissioner, to establish a separate Uniform Shop with its own Bank Account based at the District Headquarters. Sales were made by mail order, using the District Website. A physical shop was opened to allow purchasers to view, buy and collect items. It is intended to operate these arrangements on two occasions a week.
The previous arrangements for the supply of Badges etc., would remain unchanged.
The surplus from both Shops would be transferred to General Funds.
As a result of the restrictions imposed to combat the Civid-19 virus, most Scout activities continued to be curtailed in 2021.This has resulted in a corresponding reduction on financial activities in that year.
Scout Association HQ announced a large increase in the Capitation payable in 2021, as a result of financial difficulties resulting from Covid restrictions. Late confirmation from GLSW County of the removal of their Subscription meant that Groups has already confirmed their preparedness to pay the calculated total. The Executive Committee agreed to place the resulting balance to act as possible buffer in case of another future significant increase.
Under Accounting Policy 2.2 a liability for the sum due for the purchase of supplies from the Scout Uniform Shop has been raised.
In common with other parts of the Scout Association, the District Council depends on a significant number of adults giving freely of their time and expertise. The total amount of time given in 2020, similar to that in 2018, is estimated as
| Management & Leadership of District Council |
Support of the operation of District Council |
Management & Leadership of Explorer Units |
Regular Activities of Explorer Units |
Overnight Camps & Activities of Explorer Units |
|---|---|---|---|---|
| 4,200 Hours | 5,300 Hours | 450 Hours | 1,400 Hours | 260 Days |
.
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Independent examiner’s Report to the Trustees of Richmond upon Thames District Scout Council
I report on the accounts of the Trust for the year ended 31[st] December 2021, which are set out on pages 16 to 23.
Responsibilities and basis of report
As the charity trustees of the Trust you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (‘the Act’).
I report in respect of my examination of the Trust’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.
Independent examiner’s statement
I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect:
-
accounting records were not kept in respect of the Trust as required by section 130 of the Act; or
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the accounts do not accord with those records; or
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the accounts do not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a ‘true and fair view which is not a matter considered as part of an independent examination.
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached
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RICHMOND UPON THAMES DISTRICT SCOUT COUNCIL BALANCE SHEET
| Fixed Assets Tangible Assets District HQ @ Kerswell Hall b/f District HQ @ Kerswell Hall; additional costs 2014 Depreciation (straight line) over 10 Years Total Tangible Assets Investments (COIF Charities Investment Fund) Richmond District Scout Council 6th Richmond Scouting Centre Total Fixed Assets Current Assets Badge Stock Uniform Stock in Hand Scout Association Short term Investment 6th Richmond Scouting Centre - Deposit Fund Cash at bank and in hand District Council - Natwest Current Account District Council - Natwest Reserve Account District Council - CAF Current Account District Council Nationwide Business Instant Savers District Council - Shop CAF Account 6th Richmond Scouting Centre - Current Account Explorers & Explorer Units Other Scout Units Total for Cash at bank & in hand Accrued Income Current Debtors (Scout Groups) Total Current Assets less Total Current Liabilities Net Current Assets Net Assets Represented by General Fund Total B/f 6th Richmond Scouting Centre - Unrestricted Funds Surplus/(Deficit) on Year Restricted Funds Twickeree International Fund Jamboree: General Fund Jamboree: Specific Participants Jamboree Fund (2023) Vic Dominy Fund Gift Aid Reclaimed Fund Raising Uniform Shop Set Up Costs RuT Uniform Shop Suspense Account |
As at 31/12/21 | As at 31/12/21 | As at 31/12/20 | As at 31/12/20 | As at 31/12/19 | |||
|---|---|---|---|---|---|---|---|---|
| £ £ 19,050 (6,351 ) 12,699 129,112 33,208 162,320 5,729 9,047 6,569 26,379 |
£ £ 25,401 (6,351 ) 19,050 111,645 28,715 140,360 2,830 3,947 6,569 26,379 |
|||||||
| 129,112 33,208 5,729 9,047 6,569 26,379 |
111,645 28,715 2,830 3,947 6,569 26,379 |
104,905 26,982 |
||||||
| No of Units 6,210.86 1,597.46 |
||||||||
| 2,333 3,286 6,569 26,379 |
||||||||
| 53,997 10,221 35,774 85,013 861 66,946 46,251 28,254 |
47,499 10,220 25,544 353 127,101 37,778 20,219 |
70,933 10,211 69,262 98,511 35,608 16,111 |
||||||
| 327,318 55,750 |
268,714 57,000 |
300,635 7,000 |
||||||
| 430,792 7,371 |
365,440 1,191 |
346,202 1,243 |
||||||
| 423,044 89,645 62,361 |
403,811 89,645 19,233 |
368,760 89,645 35,052 |
||||||
| 5,500 4,129 1,250 1,500 428 - 353 10,230 |
5,500 879 1,400 214 428 371 |
Signed: Barbara Jill Fielder, Chairman; Patrick Leopold Ducker, BSc. ACG Treasurer
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RICHMOND UPON THAMES DISTRICT SCOUT COUNCIL
Statement of Financial Activities for the year ended
| 31st | December 2021 | 31st | December 2020 | 31st | December 2019 | ||||
|---|---|---|---|---|---|---|---|---|---|
| Total | Unrestricted | Restricted | Total | Unrestricted | Restricted | Total | Unrestricted | Restricted | |
| Funds | Funds | Funds | Funds | Funds | Funds | Funds | Funds | Funds | |
| Movements in Cash & Bank | |||||||||
| Total Incoming Resources | 133,354 | 119,169 | 14,185 | 102,011 | 95,192 | 6,819 | 235,401 | 136,831 | 98,570 |
| Total Outgoing Resources | 80,931 | 80,416 | 515 | 133,880 | 79,240 | 54,639 | 232,679 | 114,973 | 117,706 |
| expended in furtherance of charitable activities | ------------------------------------------------------------ | ------------------------------------------------------------ | ------------------------------------------------------------ | ||||||
| Net Incoming (Outgoing) Resources | 52,423 | 38,753 | 13,670 | (32,743) | 15,952 | (47,820) | 2,722 | 21,858 | (19,136) |
| Non Cash Activities | |||||||||
| Gains (losses) on Investment Assets | 21,960 | 21,960 | 8,473 | 8,473 | 19,753 | 19,753 | |||
| Increase/(Decrease) in Long Term Debtors | (1,250) | (1,250) | 50,000 | 7,000 | |||||
| Addition to Investment Assets (at cost) | |||||||||
| Addition to Fixed Assets | - | - | - | - | - | - | |||
| Depreciation of Fixed Assets | (6,351) | (6,351) | (6,351) | (6,351) | (6,351) | (6,351) | |||
| Change in value of Stock in Hand (Badges) | 2,899 | 2,899 | 498 | 498 | (651) | (651) | |||
| Change in value of Stock in Hand (Uniforms) | 5,100 | 5,100 | 661 | 661 | 442 | 442 | |||
| ------------------------------------------------------------ | ------------------------------------------------------------ | ------------------------------------------------------------ | |||||||
| Net Movement in Funds | 74,781 | 62,361 | 12,420 | 21,413 | 19,233 | 2,180 | 22,916 | 35,052 | (12,136) |
| Funds Brought Forward | 523,659 | 512,689 | 10,970 | 502,246 | 493,456 | 8,790 | 479,333 | 458,406 | 20,927 |
| ------------------------------------------------------------ | ------------------------------------------------------------ | ------------------------------------------------------------ | |||||||
| Funds Carried Forward | 598,440 | 575,050 | 23,390 | 523,659 | 512,689 | 10,970 | 502,249 | 493,459 | 8,791 |
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| Income and Expenditure | Income and Expenditure | Richmond upon Thames | Richmond upon Thames | Richmond upon Thames District | Richmond upon Thames District | |||
|---|---|---|---|---|---|---|---|---|
| Year ending 31st December 2021 | District Scout Council | Consolidated Total | ||||||
| UNRESTRICTED FUNDS | ||||||||
| Gross Subscription Received | 88,543.00 | 115,551.79 | ||||||
| less | Capitation | ( 69,120.00 ) | ( 86,121.50 ) | |||||
| Refunds to Units/Groups | (126.00 ) | |||||||
| Net Subscriptions | 19,423.00 | 29,304.29 | ||||||
| Voluntary Income | ||||||||
| Fundsraisingforgeneralactivities | 100.00 | 15,729.83 | ||||||
| Donations | 125.00 | 525.00 | ||||||
| Jack PetcheyAwards | 1,675.00 | |||||||
| Nonspecific grants | 200.00 | |||||||
| Other income inc Gift Aid | 3.00 | 944.36 | ||||||
| Total Voluntary Income | 228.00 | 19,074.19 | ||||||
| Non Voluntary Income | ||||||||
| TrainingFees | 1,800.00 | 1,800.00 | ||||||
| Badge/UniformShopIncome | 34,175.85 | |||||||
| lessBadge/Uniform Expenditure | ( 34,663.51 ) | |||||||
| ScoutPremises- Rental Income | 27,000.00 | |||||||
| ScoutPremises- Reimbursement ofServices Cost | 1,439.86 | |||||||
| ScoutPremises-OccassionalUse | ||||||||
| 6th Richmond Souting Centre | 2,127.17 | 2,127.17 | ||||||
| Interest | 90.19 | 93.33 | ||||||
| InvestmentIncome | 3,284.30 | 4,129.03 | ||||||
| Misc Income | 25.00 | |||||||
| Total Non Voluntary Income | 7,301.66 | 36,126.73 | ||||||
| Total Income | 26,952.66 | 84,505.21 | ||||||
| Expenditure for General Scouting Activities | ||||||||
| General Activities | 1,133.56 | 17,556.23 | ||||||
| St GeorgesDayParade | ||||||||
| Purchase of Equipment | 677.60 | 2,752.50 | ||||||
| Repairof Equipment | ||||||||
| AccomodationCosts | 216.00 | |||||||
| Grants to Scout Groups | ||||||||
| TransfertoVicDominyFund | ||||||||
| TransfertoInternational/TwickereeFund | 1,920.00 | 1,920.00 | ||||||
| 6th Richmond Souting Centre | 2,127.17 | 2,127.17 | ||||||
| Misc Expenditure | 402.04 | |||||||
| Total General Expenditure | 5,858.33 | 24,973.94 | ||||||
| Overhead Costs | ||||||||
| Indirect Costs | 102.00 | 102.00 | ||||||
| AdminCosts | 602.65 | 602.65 | ||||||
| District OfficersExpenses | 35.35 | 35.35 | ||||||
| DistrictHQ (Kerwell Hall)Running Costs | 1,277.53 | 1,277.53 | ||||||
| Insurance | 1,210.93 | 1,210.93 | ||||||
| Training | 3,994.51 | 4,062.91 | ||||||
| AGM&Presentation Evening | 586.59 | 586.59 | ||||||
| ScoutPremises-Services Costfor Reimbursement | 1,984.58 | |||||||
| ScoutPremises-Services Costs | 2,483.18 | |||||||
| Badges, Uniforms | 1,553.36 | |||||||
| Shop Costs | 791.50 | 2,255.93 | ||||||
| I. T. Support inc OSM | 4,623.30 | 4,623.30 | ||||||
| Total Overhead Costs | 13,224.36 | 20,778.31 | ||||||
| Total Expenditure | 19,082.69 | 45,752.25 | ||||||
| SURPLUS on UNRESTRICTED FUNDS | 7,869.97 | 38,752.96 | ||||||
| RESTRICTED FUNDS | ||||||||
| (including Designated Funds) | OpeningBalance | |||||||
| Income for Specific Activities | 1st January2021 | |||||||
| Twickeree | 5,500 | |||||||
| Fundraising & transfersfor International Fund | 2,209 | 1,920.00 | 1,920.00 | |||||
| Jamboree2023 | 1,250 | |||||||
| Jack PetchyFund | - | |||||||
| Loans to Scout Groups,repaid | ( 57,000 ) | 1,250.00 | 1,250.00 | |||||
| VicDominyFund | 1,500 | |||||||
| GiftAidReclaimed | 785.00 | 785.00 | ||||||
| Fundraising | 428 | |||||||
| UniformShop Set Up Costs | (270 ) | |||||||
| Suspense Account | - | 10,230.00 | 10,230.00 | |||||
| Toal Income for Specific Activities | (46,383 ) | 14,185.00 | 14,185.00 | |||||
| Current Balance | ||||||||
| Expenditure for Specific Activities | 14 June 2022 | |||||||
| Twickeree | 5,500 | |||||||
| International Fund | 4,129 | |||||||
| Jamboree2023 | 1,250 | |||||||
| Loans to Scout Groups | ( 55,750 ) | |||||||
| Specific Grants- VicDominyFund | 1,500 | |||||||
| GiftAidRepaid | - | 785.00 | 785.00 | |||||
| Donations & Giftsfrom FundRaising | 428 | |||||||
| UniformShop Set Up Costs | - | (270.00 ) | (270.00 ) | |||||
| Suspense Account | 10,230.00 | |||||||
| Toal Expenditure for Specific Activities | (32,713 ) | 515.00 | 515.00 | |||||
| SURPLUS/(DEFICIT) on RESTRICTED FUNDS | 13,670.00 | 13,670.00 | ||||||
| SURPLUS/(DEFICIT) on ALL FUNDS | 21,539.97 | 52,422.96 |
Page 18
RICHMOND upon THAMES DISTRICT SCOUT COUNCIL
Notes to the accounts
STATEMENT OF TRUSTEES’ RESPONSIBILITIES
Charity Law and Scout Association Regulations require the Trustees to prepare financial statements for each financial year which give a true and fair view of the state of affairs of the District Council and of its financial activities for that period. In preparing those financial statements, the Trustees are required to:
-
select suitable accounting policies and then apply them consistently;
-
make judgments and estimates that are reasonable and prudent;
-
state whether applicable accounting standards have been followed, subject to any material departures disclosed and explained in the financial statements;
-
prepare the financial statements on the going concern basis unless it is inappropriate to presume that the Scout District will continue in business.
The Trustees are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the District Council and enable them to ensure that the financial statements comply with the Companies Act 1985. They are also responsible for safeguarding the assets of the District Council and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.
1. Basis of Preparation
1.1 Basis of accounting
The financial statements have been prepared in accordance with applicable Accounting Standards including the Statement of Recommended Practice ‘Accounting and Reporting by Charities (SORP 2005), with the Charities Act 1993 and under the historical cost accounting rules (except that investments are shown at market value)
1.2 Change in basis of accounting
There has been no change to the accounting policies (valuation rules and methods of accounting) since last year
2. Accounting policies
These accounting policies have been applied by the charity
2.1 Income
| 2.1 Income | |
|---|---|
| Recognition of | These are included in the Statement of Financial Activities (SoFA) when: |
| incoming | •the charity becomes entitled to the resources; |
| resources | •the trustees are certain they will receive the resources; and |
| •the monetary value can be measured with sufficient reliability. | |
| Incoming resources | Where incoming resources have related expenditure (as with fund raising or |
| with related | contract income) the incoming resources and related expenditure are |
| expenditure | reported gross in the SoFA. |
| Grants and | Grants and donations are only included in the SoFA when the charity has |
| donations | unconditional entitlement to the resources. |
| Tax reclaims on donations and gifts |
Incoming resources from tax reclaims are included in the SoFA when they have been received from HMRC |
| Contractual income and performance related grants |
This is only included in the SoFA once the related goods or services have been delivered. |
| Gifts in kind | Gifts in kind are accounted for at a reasonable estimate of their value to the charity or the amount actually realised. |
Page 19
Gifts in kind for sale or distribution are included in the accounts as gifts if their value is in excess of £500 and only when sold or distributed by the charity. Gifts in kind for use by the charity are included in the SoFA as incoming resources when receivable. The value of the portacabins, donated by the Borough and used as a basis for the new HQ has not been included as their value, as received, is impossible to determine
These are only included in incoming resources (with an equivalent amount in Donated services resources expended) where the benefit to the charity is reasonably and facilities quantifiable, measurable and material (above £500). The value placed on these resources is the estimated value to the charity of the service or facility received. The value of any voluntary help received is not included in the accounts but is Volunteer help described in the trustees’ annual report. Investment income This is included in the accounts when received Investment gains This includes any gain or loss on the sale of investments and any gain or loss and losses resulting from revaluing investments to market value at the end of the year.
2.2 Expenditure And Liabilities
Liabilities are recognised as soon as there is a legal or constructive obligation Liability recognition committing the charity to pay out resources.
Depreciation is calculated to write off the cost of all tangible fixed assets, in equal annual instalments over their useful lives, normally estimated at 3 years, Depreciation from the time when the asset was first brought into use. Because the new HQ is likely to be used for a period longer that other, smaller, items, the cost will be depreciated over a period of ten years.
Include costs of the preparation and/or examination of statutory accounts and Governance costs cost of any legal advice to trustees on governance or constitutional matters.
2.3 Assets
Tangible Fixed Assets refers to the new HQ at Kerswell Hall, tentage, cooking Tangible fixed facilities for camping, IT equipment and associated items. assets for use by These are capitalised if they can be used for more than one year, and cost at charity least £500. Assets are capitalised where the cost of purchase exceeds £2,000.They are valued at cost or value to the charity on receipt.
The charity presently holds investments only as Income Units in COIF Charity Investments Capital Funds, managed by CCLA. These are valued daily by CCLA, and their value at the date of the Balance Sheet taken from published sources
| As at 31stDecember 2020 the amounts involved were In the name of Richmond District Scout Council in the name of 6thRichmond (Lady Archers Own) Scout Group |
No. of Units Held | Value per Unit p |
|---|---|---|
| 6,210.86 | 2078.81 | |
| 1,597.46 | 2078.81 |
Funds The Net Assets of charity are represented by the following funds: Unrestricted These may be used for any purpose in connection with the Charities’ stated Funds aims and objectives.
Funds raised, or donated for a specified purpose may only be used in Restricted Funds furtherance of that objective unless the donors’ permission or the approval of the Charity Commissioners has been obtained.
Badges Stock and Uniform Stock
These are valued at the lower of cost or market value.
Page 20
3. Details of certain items of expenditure
3.1 Trustee expenses
Details of the amount of any payment or reimbursement of out-of-pocket expenses made to trustees or to third parties for expenses incurred by trustees.
| Number of trustees who were paid expenses Nature of the expenses Total amount paid |
2021 | 2020 |
| 1 | 1 | |
| Travel costs, telephone, uniform & badges |
Travel costs, telephone, uniform & badges |
|
| £35 | £73 |
The variation in the amount of expenses paid to Trustees stems from the irregularity and dates at which reimbursement is claimed.
3.2 Fees for examination or audit of the accounts
As in previous years, the Independent Examiner makes no charge for the examination of the accounts.
| Independent Examiner’s or auditors' fees for reporting on the accounts Other fees (for example: advice, consultancy, accountancy services) paid to the independent examiner or auditor |
2021 £ |
2020 £ |
|---|---|---|
| NONE | NONE | |
| NONE | NONE |
4. Debtors and Creditors
There were no material debtors or creditors as at the date of the Balance Sheet with the exception of two Scout Groups in the District to whom the Executive Committee agreed loans to enable them to secure their buildings.
5. Prepayments & Accruals
In accordance with the applicable Accounting Standards, the Accounts are prepared on an Accruals basis. Where they were material (more than £500) accrued expenditure or income as at the date of the Balance Sheet these have been included.
6. Employers Remuneration and Consequent Liabilities
The District Council does not have any paid employees. Therefore it has no liability in respect of salaries, redundancy payments, Income Tax, National Insurance or Pension payments.
7. Transaction with Related Parties
The District Council receives funds from Scout Groups within the area that it administers in respect of Subscriptions, sale of Badges, Uniforms and similar items and the provision of facilities.
The District Council pays funds to the Scout Association, Greater London South West and other Scout Councils and Groups in respect of Capitation, purchase of badges and similar items and payment for facilities.
A loan and grant was made to a Scout Group within the District to assist in the cost of construction of a new HQ.
There were no material transactions with other related parties during 2021
Page 21
8. Grants & Donations
The District Council does not make grants to organisations other than to Scout Groups within the district.
9. Richmond District Scout Shop
The District Scout Shop has sourced and supplied Scout Badges, bespoke badges and elements of Scout Uniforms to Scouts, Groups and Explorer Units within the Richmond District, and, occasionally, to those in other Districts. The surplus generated has been transferred to the funds of the District Council, half to General Funds and half to the International Fund. The total amounts previously transferred were:
| 2021 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 |
|---|---|---|---|---|---|---|---|
| £5,000 | £5,500 | £5,500 | £5,500 | £ 5,000 | £ 5,000 | £ 5,000 | £ 5,000 |
A separate Uniform Shop, with its own financial procedures, was agreed and opened. The arrangements for the supply of Badges etc., will remain unchanged. The surplus from both will, in future, be transferred to General Funds.
10. Fixed Assets
| Tangible assets Cost(New HQ) As at 1st January 2013 Additions 2014 As at 31st December 2014 Depreciation As at 1st January 2021 Charge for year As at 31st December 2021 Net book value 1stJanuary 2021 31stDecember 2021 |
Buildings | Equipment | Total |
|---|---|---|---|
| £ | £ | £ | |
| 37,997 | 37,997 | ||
| 25,508 | 25,508 | ||
| 63,505 | 63,505 | ||
| **44,454 ** | 44,454 | ||
| 6,352 | 6,352 | ||
| 50,806 | 50,806 | ||
| 19,050 | 19,050 | ||
| 12,699 | |||
| 12,699 | |||
11. Investments
COIF Charity Funds
| n the name of Opening Value at 1 January 2021 Change in value Valuation Balance at 31stDecember 2021 |
Richmond District Scout Council |
6thRichmond (Lady Archers Own) Scout Group |
Total |
|---|---|---|---|
| £ | £ |
£ | |
| 111,645 | 28,715 | 140,360 | |
| 17,467 | 4,493 | 21,960 | |
| 129,112 | 33,208 | 162,320 |
Page 22
12. Funds Held
| Fund Name | Restricted/ Unrestricted |
Purpose and Restrictions |
|---|---|---|
| Major District Event (Twickeree) | Restricted | To pay towards major events and/or District camps in future years |
| International Fund | Restricted | To support financially visits by Scouts from within the District to Jamborees and similar events connected with International Scouting held outside the UK. Additional funds are agreed by the District Council. |
| Jamboree: USA 2019 | Closed | To collect funds to pay for the costs of members of the District visiting International Jamborees. Incoming funds are raised or donated bytheparticipants .. |
| Jamboree: Korea 2023 | Restricted | |
| International Camp: | Restricted | As part of the Council’s policy to support visits to International Scouting Events and Camps, to collect funds to pay for the costs of members of the District to visit camps in other countries. |
| Vic Dominy Fund | Restricted | Fund started by and maintained in memory of Vic Dominy to enable District to financially support attendance at Camp of Scouts who might otherwise be unable to fund the costs. Expenditure is authorized by the Chairman, who reports, without details, to the District Council. The Fund is “topped up” with the agreement of the members at the AGM. |
| Gift Aid Reclaimed | Restricted | Gift Aid reclaimed on behalf of specific Scout Groups within the District and passed onto them. |
| Loans | Restricted | Loans made to Scout Groups in Richmond District |
| Fund Raising | Restricted | For donation to charity specified at the time. |
| Suspense Account | Restricted | Funds credited in error or awaiting disposition |
13. Movement of Major Funds
| Fund Name | Balance brought forward |
Incoming funds during year |
Outgoing resources during year |
Fund balances carried forward |
|---|---|---|---|---|
| Major District Event (Twickeree) | £ 5,500 |
£ | £ | £ 5,500 |
| International Fund | 2,209 | 1,920 | 4,129 | |
| Jamboree: 2023 | 1,250 | 1,250 | ||
| Vic Dominy Fund | 1,500 | 1,500 | ||
| Gift Aid Reclaimed | 785 | 785 | ||
| Fund Raising | 428 | 428 | ||
| RuT Uniform Shop | 353 | 353 | ||
| Uniform Shop Set Up Costs | (270) | (270) | ||
| Suspense Account | 10,230 | 10,230 | ||
| Total | 10,970 |
12,935 | 515 | 23,390 |
| Loans to Scout Groups | (57,000) | 1,250 | 55,750 |
Page 23