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2021-03-31-accounts

9th/21st Plymouth Scout Group Charity No: 301064

Tavy Lodge, tavy Place, Mutley, Plymouth

15 Venn Crescent Hartley Plymouth PL3 5PJ April 2021

Treasurer’s Annual Report Annual Accounts 2020-2021

The accounts for the period 1st April 2020 to 31st March 2021 are as the attached sheets. Thank you to Mr Robert Blagdon who has acted as our independent examiner for this year.

INCOME

Income was significantly higher this year than in previous years as because of Covid 19. The Scout Group being entitled to many Government Covid Support Grants. The total Grant money via Plymouth City Council amounted to £20,031.00p. This money has been and is being used to allow Scouting to continue throughout the financial year (where and when we were able with the associated Risk Assessments) also to maintain the Scout Headquarters. Subscriptions and rentals were down during the year because of Covid.

The other donations £3,220.00p has been spent on equipment, mostly an all weather sports facility - Astro Turf and a replacement Marquee.

Thanks must also go to those that kept the Headquarters running throughout the year, with additional cleaning between the occasional lettings and erection of the Marquee (without sides) to allow Scouting to continue in the fresh air with the appropriate Risk Assessments.

EXPENDITURE

Expenditure on the the Headquarters, Ground and Equipment has mostly been through the income from the Covid Support Grants. The Executive Committee making the decision that while the hall was effectively ‘locked down’ this would be an ideal time for redecoration without disruption to the Scout Programme and the Community Groups that also use the Headquarters.

There has been a lot less spent on activities (this year £564 as appose to £1808 from the previous year) this is as a direct result on the Covid epidemic, this will change once we get back to face to face Scouting.

BALANCE SHEET

Note we have no money invested and now that the Headquarters has been updated and redecorated this might be a time to consider a general reserve account. This will need to be discussed and approved at a Group Executive Meeting

Janice Parkman

9th/21st Plymouth Scout Group (Charity Number 301064) 9th/21st Plymouth Scout Group (Charity Number 301064)
Receipts and Payments Account
Year start date Year end date
For the
Year from
1st April 2020 to 31st March 2021
Receipts and Payments
Lastyear 2019/20 Thisyear 2020/21
Unrestricted funds Unrestricted funds
£ £
Receipts
Donations, legacies and similar income
Membership Subscriptions 2680.00 720
Less membershipsubscriptionspaid
Net membershipsubscriptions retained
Donations 3986.77 800
Legacies 0
Gift Aid(2016) 0
Other similar income(Inc refund for early payment of capitation) 0 0
Sub total 6666.77 1520.00
Grants
Maintenancegrant 0 14030
Othergrants - 8421
-
Fundraising (gross)
Detail 1 -Camps Whiteworks18Foxcove 17 218.94 107.10
Detail 2 -Cib Anniversary2017 -Campsleepover 2018- Dorset 2020
Detail3- TuckSales(inc AGM Beetle Drive,Fireworks,Barbecue) 389.50
Detail 4 - Plym ValleyRailway 0.00
Detail5-S GroupActivities 0.00
Detail6-Saltram Visit(refund) 50.00
Detail 7 -CawsandCamp 144.50
Detail8- Miscellaneous(scrapetc) (overpayment return 20/21) 166.49
Detail9-Sponsored walk 466.60
Detail 10-Scout scarves,tee-shirts etc. 25.00
Sub total 1294.54 22724.59
Investment income
Bank Interest -
Buildingsocietyinterest -
TheScout AssociationShort Term InvestmentService -
PropertyRent income 9531.00 6380
Other investment income -
Sub total 9531.00 6380
Total Gross income 17492.31 30624.59
Asset and investment sales,etc. -
Total Receipts 17492.31 30624.59

1

9th/21st Plymouth Scout Group (Charity Number 301064) 9th/21st Plymouth Scout Group (Charity Number 301064)
Receipts and Payments Account
Year end date
For the
Year from
1st April 2020 to 31st March 2021
Receipts and Payments
Lastyear 2019/2020 Thisyear 2020/21
Unrestricted funds Unrestricted funds
£ £
Payments
Charitable Payments
Youthprogramme and activities includingPlym Valley & Saltram(inc N.T) 1808.62 564.93
Adult support and training 0
Guide Dogs for the blind donation. 300.00
Rent 0
PlymouthCity Council Rates(non-domestic rates) 287.28
Water andSewarage 711.24 542.67
Electricity/Gas/Internet/Telephone/TV/License 1993.94 1993.64
Insurance 425.32 504.55
Repairs and Renewals 9241.75 8502.01
Materials and equipment(camp) 2657.62 0
Printingandphotocopying 0.00
Campcosts 576.97
Tuck 139.54
AGM and trustee expenditure 59.51
Cub 100Anniversary 0.00
Other costs detail 1 - Badges,scarvesOSM 848.85 202.44
Other costs detail 2 - Admin andOther(2020bounced cheques sub refund etc) 342.32 15.84
Other costs detail3- NNDR
Sub total 19392.96 12326.08
Fundraising expenses
Detail 1 - FundraisingExpenses 0.00
Detail 2 - Tuck
Detail3
Other fundraisingcosts -
Sub total 0
MembershipSubscriptions 1312.00 1302.00
Total Gross Expenditure 20,704.96 13628.08
Asset and investmentpurchases,includingcampequipment
Total Payments 17,492.31 30624.59
Net of Receipts/(Payments) -
3,212.65
16,996.51
Cash funds lastyear end 7,374.75 4,262.10
Cash funds thisyear end 4,262.10 21,258.61

1

9th/21st Plymouth Scout Group (Charity Number 301064) 9th/21st Plymouth Scout Group (Charity Number 301064)
1st April 2020 31st March 2021
Statement of assets and liabilities at the end of the year
Last Year 2019-20 Thisyear 2020/21
Unrestricted funds Unrestricted funds
£ £
Cash funds
Bank current account
Bank deposit account 4262.10 21,258.61
Buildingsocietyaccount 0 -
TheScout AssociationShort Term InvestmentService 0
Cash/Floats 0 -
TotalCash funds 4262.10 **21,258.61 **
Other monetary assets
Tax claim
Debts due fromCounty/Area/Districtgroup
Insurance claim
Sub total
Investment assets
Investmentproperty- detail
Quoted investments
Other investments
Sub total -
Non monetary assets for charity's own use
Badge stock
Shopstock
Other stock
Land and buildings
Motor vehicles
Scoutingequipment,furniture etc
Other
Sub total -
Liabilities
Accounts notyetpaid -
Expenses incurred but notyet invoiced
Subscriptions notyetpaid
Loan - detail
Other liabilities -
Sub total -
Contingent liabilities and future obligations
Tuesday14th July2020
(the date of the Executive Committee meetingthat approved the accounts)and signed on their behalf by
Signature Print Name
MARK PARKMAN Chair
Accounts independentlyaudited by
Mr R Blagdon JAN PARKMAN Treasurer

1

9th/21st Plymouth Scout Group

Please check that the balance at the end of years 2019 to 2020 and 2020 to 2021 agree with the bank statements provided:

i.e.

End of years 31st March 2020 Bank Balance = £4,262.10

and

End of years 31st March 2021 Bank Balance = £21,258.61

Also

The Expenditure and Income (Receipts and Payments) for the above agree with the figures shown on the “Scout Format” Receipts and Payments Account Sheets:

Totals:

End of years 31st March 2020, Total Income = £17,492.31 and Total Expenditure = £20.704.96

and

End of years 31st March 2020, Total Income = £30,624.59 and Total Expenditure = £13,628.08

Independent Audit by:

Mr R Blagdon 25/08/2021

Signed and dated on original

Chairman 9th/21st Plymouth Scout Group Signed and dated on original Mr M Parkman 25/08/2021

Treasurer 9th/21st Plymouth Scout Group Signed and dated on original Mrs J Parkman 25/08/2021