Pag¢ I
1ST CIIFFLEY SCOLITaROUP
ICh•rty RdglstratloTh Nwnb•r 3DXSSI
TRUSTEEV A14NUAL REPORT AND ACC¢UNT$
FOR THE YEAR ENOEO 31 •AARCH 2025
TRVSTEES.. Ex M•mbws
Group Chok
cr￿pT(¢d￿￿[er
Grcojp Séetét
Grwp Scwi Lead
S¢oul Leoder
c￿ steA￿ Le8d
eewer Scout
Luthr
Oeputy Graup St*lL￿dIr
Lau￿ J•cki
Willkim D•vy
VIC￿1
Dlane Cmckntll
P9￿sta
J•on Hc41
Dovid Gill
M•tth*w Crvh4y
Oivkj W
YftUSTEES..
L•Jren J￿￿
E12aboth SwlL¥b
Emrna Lodg
D•¥*d WM¢
Llly Ros•Gow IAtythMed 27 Seplwnb•r 20241
Will￿M Davyl•ppfArted 5 FobrJwy 202SI
Ollng
TRUSTEES..NomuiIt*￿
Ac￿￿ Support ￿nIg￿
P•lw Crackne
TRUSTEES.. Cwt•d rfi*mb•rn
&4NKERS
rd•yi 8wk Fk
Vill•y Gfoup
78Tumw¥ H
h¢•fr￿1
H•rts ENe Éou
TP• Gw r•gl•w•Uon rnw*•r%wllh th• SMuiA••pclaUw li 123
Contad Nam ir* •ddr8
will￿r￿ DI¥y
Gwd8n
Hw114AL7 208
Fty • lull writtén on thè GrcAJp'i fininc4418dimlèS fw 2024f25pl•aa• t•••ll•ch•J sh••t
Allhe ol tho yq8rour r•sqrv•s i0 £3e,014.
The Gmw'$ p¢l*18 10 hold arn amuni £30.QW85iI￿n Ic*•n•ble Ih•Grvup Ip 011￿1•r •ny g￿eThI
nllnwir483 t0gelher￿1￿ co¥1¥ asxxl•Wd￿Ih •ny r￿￿¥￿11￿ ar41 re￿irl0 ihe exisbr￿
¥nd upkeep ￿the rAhw ￿ljIng5 loo.
Th8 Twsiees h8v&idomrfi•Y the MW iolthlch IMY b•l8we th•woup l••xpw•d Ind hw••si•Wjth•ds￿1l
The ol th• Group aft lo caryoul lh• •imswdoW"eclws ol Ihe
Th• Qkow l¥ g IN$lul•b1￿h1d yndvrndeD ￿(￿m￿an loall GthJpi.
Th llre •ppt4nwd in8Crtort•n¢* ￿ Iht P￿*y. and Rul•8 ol lh8 s￿VIA￿l0￿•v
The xcouniB h•w been ¢rwwn upon th• rttolpb ll eonslsitrrntV*iih Ihe pra￿0￿&￿*r
Approvad bylhe TDJStMs b•for• or•Mnt•li¢mtO lh• QoupS¢tyA Cty)nd •lth• AGM ￿a￿edI￿SeplOrnbèr.2S and
•lyn•l w Ihllr b¢h•Kby'.
L8ur* Ja
on. Ch•lmi
. Tr•8surer

Page 2
1ST CUFFLEY SCOUT GROUP
RECEIPTS & PAYMENTS SUMMARY
FOR THE YEAR ENDED 31ST MARCH 2025
2025
2024
Total receipts for the year (see page 3)
27,346
24,985
Total payments for year {see page 4)
34,414
40.325
Net receipts (payments) for the year
7,068
15,340
Cash, bank and similar funds brought forward
43,082
58,422
Cash, bank and similar funds carried forward
36,014
43,082
The above accounts and accompanying statement of assets and liabilities were approved by
the Trustees before presentation to the Group Scoul Council at the AGM planned for September 2024
and signed on their behalf by
Chair
L Jackson
Trea
rer
W Davy

Page 3
1ST CUFFLEY SCOUT GROUP
RECEIPTS FOR THE YEAR ENDED 31ST MARCH 2025
2025
2024
MEMBERSHIP INCOME REcEI1￿D
10,979
9,466
Less Paid
6.499
4,480
3,663
5,803
INVESTMENT INCOME RECEIVED
Bank Interest
573
511
573
511
DONATIONSIGRANTS
8,226
2,784
8,226
2.784
ACTIVITIES
5,371
4.490
5,371
4,490
FUND R41SING {gross}
5.858
7,202
5,858
7,202
OTHER INCOME
BUILDING PROJECT
2,838
4,195
2,838
4,195
TOTAL RECEIPTS FOR THE YEAR
27,346
24,985

Page 4
1st CUFFLEY SCOUT GROUP
PAYMENTS FOR THE YEAR ENDED 31ST MARCH 2025
2025
2024
PREMISES
Light and Heat and wal8r
2,496
3,374
Insurance
4,178
2,519
Repairs and Renewals
2,584
23,683
Fixed Asset Purchase
16,550
25,808
29,576
DONATIONSIGR4NTS
28
28
28
28
ACTIVITIES
5,176
4,651
5,176
4,651
FUND RAISING EXPENSES
16
482
16
482
ADMINIESTABLISHMENT EXPENSES
BUILDING PROJECT
3,386
5,588
3,386
5,588
TOTAL PAYMENTS FOR THE YEAR
34,414
40,325

Page 5
181 CUFFLEY SCOUT GROUP
STATEMENT OF ASSETS AND LIA81LITIES AT 31ST MARCH 2025
20
2024
FIXED ASSETS
Motor Vehicles
16,550.00
MONETARY ASSETS
Bank Current account
Bulldlngs Account
Building SocietylBank savings account
Explorer account (surplus)Idefidt
898
5,031
37,197
2,081
38.624
573
36,014
43.082
Total Assets
52,564
43,082

Page 6
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF THE
FIRST CUFFLEY SCOUT GROUP
I report on the accounts of the 1 st Cuffley Scout Group for the year ended 31 March 2025
which are set out on pages 2 to 5 .
Respactlv• r•sponslbllltles of trustoes and examiner
The Group's trustees are responsible for the preparation of the accounls. They consider that an audit
is not requlred for this year under section 144 of the Chanties Act 2011 (the 2011 Acl) and that an
independenl examination is needed.
It is my responsibility to:
-Examin8 th8 accounts under section 145 of the 2011 Act
-To follow the proceedures laid down in the general Directions given by the Charity Commissioners
under section 145(5)Ib) of the 2011 Act: and
-To state whether particular matters have come to my attention.
Basis of Independent Examin•r'8 report
y examination was cBrried out in accordance viilh the general Directions given by the Charity
Commissloners. An examination includes a review of Ihe accounting ￿COrdS kept by the Group and a
comparison of the accounts presented with those fecords. It also includes con5ideralion of any
unusual items or disclosures in the accounts, and seeking explanations from you as trustees
oncerning such matters. The procedures undertaken do not provide all thé avidence that would be
required in an audlt, and consequenuy no oplnlon is given as to whether the accounts present a true
and fair view and the report is Iimiled to the matters sel out in th8 Statement below.
Independent Examlnorf5 Statoment
In connection with my examination, no matter has come to my 8ttentlon:
1. Whlch gives me reasonable cause lo belleve Ihal In any materlal respect the requirements
- to keep accountlng records In accordance wilh section 130 of the 2011 act; and
- to prepare accounts which accord with the accounting records and comply with the
accounting requirements of the 2011 Act
have not been met,. or
2. Whlch. In my opinlon, attention should be drawn in order to enable a proper understanding of the
accounts lo be reached.
Signed....
Richard Hattrell BA {Hons) FCA
33 Homewood Avenue
Cuffley
Herts EN6 4QQ