## **BATCHWORTH SEA SCOUTS                                    TREASURER'S REPORT** 

## **YEAR ENDED 31 DECEMBER 2021** 

Unfortunately the lack of fundraising and programme of activities, due to the covid pandemic, is again reflected in the annual financial statements. 

The income and expenditure statement shows a  surplus of £24472. The grants of £19034 from the local authority plus the rental received from the car park of £10625 accounts for the positive result.  Otherwise the year would have resulted in a deficit £5187. 

An increase of 14% in membership subscriptions and an increase in fees paid to county and district of 14%, resulted in an increase of £1830 in net subscription income. 

The expenditure on standard costs such as insurance and utility services are little affected and approximately as anticipated. 

The increased cost in total activities of £5701 over last year mainly resulted from the additional expenditure on boat repairs, mini bus maintenance and group programme activities. 

Due to parental cooperation in the  charitable gift aid scheme we are able to recover £2820 from      H M Revenue and Customs relating to the year ended 31 December 2021. The disappointment is that we could have recovered a further £3283 if all subscriptions had been covered by the gift aid tax declaration form. It is not too late to submit a claim for last year and I would plead with everyone to make a big effort to complete the declaration certificates wherever possible. 

## BALANCE SHEET 

Fixed assets include the original cost of the freehold property (£35000) and the written down value of the minibuses (£11250), neither of which reflects the current market value. 

Bank balances amounted to £158835, (last year £132305). 

## FINANCIAL REVIEW 

The prudence of previous and current  management ensures the liquidity of funds and a sound financial basis for the future. 

With the continued support and enthusiasm of parents, leaders and scouts the financial outlook  remains optimistic and well prepared to resume the enjoyable provision of activities  and development of our headquarters. 

## Catherine Pearson 



# **BATCHWORTH SEA SCOUTS GROUP    (Charity n Receipts and Payments Account** 

Year start date 

## **For the year 1st January from 2021** 

**To** 

## **Receipts and payments** 

**2021** 

**Unrestricted funds** 

## **Restricted Endowment funds funds** 


**----- Start of picture text -----**<br>
 £  £ £<br>Receipts<br>Donations, legacies and similar<br>income<br>Membership subscriptions                   24,365                            -                              -<br>Less: Membership subscriptions paid on<br>(National/County/Area/District) enter figures with a minus sign -                   9,372                            -                              -<br>Net membership subscriptions retained                   14,993                              -                              -<br>Donations<br>                       125                            -                              -<br>Legacies                             -                            -                              -<br>Gift Aid<br>                    6,948                            -                              -<br>District subscriptions (Explorers)                             -                            -                              -<br>Sub total                    22,066                            -                              -<br>Grants<br>Local authority grant                   19,034                            -                              -<br>Grant from Scout Association<br>                            -                            -                              -<br>Sub total                    19,034                            -                              -<br>Fundraising (gross)<br>Jumble sales, commissions, fetes                        593                            -                              -<br>Social events<br>                    1,365                            -                              -<br>Uniforms sold<br>                    1,863                            -                              -<br>Insurance claim and refunds<br>                    2,919                            -                              -<br>Scout, cub and beaver activities                     8,186                            -                              -<br>Sub total                    14,926                            -                              -<br>Investment income<br>Bank interest<br>                         14                            -                              -<br>Building Society interest                             -                            -                              -<br>The Scout Association Short Term<br>Investment Service                             -                            -                              -<br>Rental of car park                     2,656                            -                              -<br>Other investment income<br>                            -                            -                              -<br>Sub total                      2,670                            -                              -<br>**----- End of picture text -----**<br>




_**Total Gross Income**_ **[                  58,696 ] - - Asset and investment sales, etc. - - - - -** _**Total receipts**_ **[                  58,696 ]** 



# **BATCHWORTH SEA SCOUTS GROUP    (Charity n Receipts and Payments Account** 

Year start date 

**For the year 1st January from 2021** 

**To** 

## **Receipts and payments** 

**2021** 

## **Unrestricted funds** 

**£** 

**Restricted Endowment funds funds** 

**£** 

**£** 

## **Payments** 


**----- Start of picture text -----**<br>
Charitable Payments<br>Youth programme and activities                           -                              -                              -<br>Adult support and training                        670                            -                              -<br>Rates<br>                       225                            -                              -<br>Water and Sewerage<br>                       338                            -                              -<br>Electricity and Gas<br>                       404                            -                              -<br>Insurance<br>                    8,416                            -                              -<br>Maintenance, cleaning and first aid<br>                    1,423                            -                              -<br>Materials and equipment<br>                    2,290                            -                              -<br>Computing, stationery and printing<br>                       323                            -                              -<br>Professional fees<br>                            -                            -                              -<br>Badges and uniform<br>                       772                            -                              -<br>Other net costs<br>                            -                            -                              -<br>Membership fees<br>                    2,951                            -                              -<br>Motor expenses<br>                    2,789                            -                              -<br>                          -                              -                              -<br>Sub total<br>                  20,601                            -                              -<br>Fundraising expenses<br>Jumble sales, commissions, fetes                             -                            -                              -<br>Social events<br>                    1,380                            -                              -<br>Uniforms sold<br>                    1,225                            -                              -<br>Scout , cub and beaver activities<br>                    8,960                            -                              -<br>Sub total<br>                  11,565                            -                              -<br>Total Gross Expenditure [                  32,166 ]                             -                              -<br>Asset and investment<br>purchases, etc.<br>                       -   ##                        -                           -<br>**----- End of picture text -----**<br>





**----- Start of picture text -----**<br>
|||||
|---|---|---|---|
|Total payments|32,166|-|-|
|Net of receipts/(payments)|26,530|-|-|
|Transfers between funds|
|-|-|-|
|Cash funds last year end|
|115,874|16,392|39|
|Cash funds this year end|142,404|16,392|39|

**----- End of picture text -----**<br>




**Statement of assets and liabilities at the end of the year** 

## **31st December 2021** 

## **Unrestricted Restricted Endowment funds funds funds** 


**----- Start of picture text -----**<br>
£ £ £<br>Cash funds<br> Bank current account<br>                    9,228                            -                              -<br> Bank deposit account                  145,460                            -                              -<br> National savings account                      4,147                            -                              -<br> The Scout Association Short Term<br>Investment Service                            -                              -                              -<br> Cash/Floats                            -                              -                              -<br>Total cash funds<br>             158,835                         -                           -<br>Other monetary assets<br> Tax claim<br>                    2,808                            -                              -<br> Debts due from the<br>County/Area/District/Group                            -                              -                              -<br> Insurance claim                            -                              -                              -<br> Sub total<br>                 2,808                         -                           -<br>Investment assets<br> Investment property - detail                             -                              -                              -<br> Quoted investments                            -                              -                              -<br> Other investments - detail<br>                          -                              -                              -<br> Sub total<br>                       -                           -                           -<br>Non monetary assets for<br>charity's own use<br> Badge and uniform stock                            -                              -                              -<br> Shop stock                            -                              -                              -<br> Other stock                            -                              -                              -<br> Land and buildings                    35,000                            -                              -<br> Motor vehicles<br>                  11,250                            -                              -<br> Scouting equipment, furniture etc                            -                              -                              -<br> Debtors and prepaymants                    11,555                            -                              -<br> Sub total<br>               57,805                         -                           -<br>Liabilities<br> Accounts not yet paid                            -                              -                              -<br> Expenses incurred but not invoiced                            -                              -                              -<br> Subscriptions not yet paid                            -                              -                              -<br> Loan - detail                            -                              -                              -<br> Other liabilities                      5,369                            -                              -<br> Sub total<br>                 5,369                         -                           -<br>**----- End of picture text -----**<br>




## **Contingent liabilities and future obligations** None 

**The above receipts and payments account and statement of assets and liabilities we Xth X 200X (the date of the Executive Committee meeting that approved the accoun by** 

Signature Print N Richard Patterson Catherine Pearson 



## **umber 302621)** 

**t** 

Year end date 

## **31st December 2021** 

## **2020** 


**----- Start of picture text -----**<br>
Total funds Total funds<br>£ £<br>                  24,365                   21,346<br>-                   9,372  -                  8,183<br>                  14,993                   13,163<br>                       125                     1,245<br>                          -                       1,000<br>                    6,948                           -<br>                          -                       1,600<br>                  22,066                   17,008<br>                  19,034                   10,000<br>                          -                             -<br>                  19,034                   10,000<br>                       593                        607<br>                    1,365                        302<br>                    1,863                        998<br>                    2,919                           -<br>                    8,186                     4,165<br>                  14,926                     6,072<br>                         14                        154<br>                          -                             -<br>                          -                             -<br>                    2,656                   13,281<br>                          -                             -<br>                    2,670                   13,435<br>**----- End of picture text -----**<br>





**----- Start of picture text -----**<br>
                  58,696                   46,515<br>                          -                             -<br>                  58,696                   46,515<br>**----- End of picture text -----**<br>




## **umber 302621)** 

**t** 

Year end date 

## **31st December 2021** 

**2020** 


**----- Start of picture text -----**<br>
Total funds Total funds<br>£ £<br>                          -                             -<br>                       670                           -<br>                       225                           -<br>                      135<br>                       338<br>                       404                     1,340<br>                    8,416                     7,973<br>                    1,423                     2,168<br>                    2,290                     1,846<br>                       323                        495<br>                          -                       1,000<br>                       772                     1,088<br>                          -                             -<br>                    2,951                     1,827<br>                    2,789                        165<br>                          -                             -<br>                  20,601                   18,037<br>                          -                             -<br>                    1,380                        622<br>                    1,225                        911<br>                    8,960                     7,312<br>                  11,565                     8,845<br>                  32,166                   26,882<br>                          -                         -<br>**----- End of picture text -----**<br>





**----- Start of picture text -----**<br>
               32,166                26,882<br>               26,530                19,633<br>                       -                         -<br>             132,305              112,672<br>             158,835              132,305<br>**----- End of picture text -----**<br>





**----- Start of picture text -----**<br>
2020<br>Total funds  Total funds<br>£ £<br>                    9,228                     9,068<br>                145,460                 119,090<br>                    4,147                     4,147<br>                          -                             -<br>                          -                             -<br>             158,835              132,305<br>                    2,808                     6,936<br>                          -                             -<br>                          -                             -<br>                 2,808                  6,936<br>                          -                             -<br>                          -                             -<br>                          -                             -<br>                       -                         -<br>                          -                          600<br>                          -                             -<br>                          -                             -<br>                  35,000                   35,000<br>                  11,250                   15,000<br>                          -                             -<br>                  11,555                     2,893<br>               57,805                53,493<br>                          -                          330<br>                          -                            97<br>                          -                             -<br>                          -                             -<br>                    5,369                     2,700<br>                 5,369                  3,127<br>**----- End of picture text -----**<br>




**ere approved by the Trustees on nts) and signed on their behalf** 

Name 

Chair Treasurer 



LT700[￿S- Scrutineerfs Reportto the Trustees lju￿ 20191
Scrutineer's Re
Batchworth Sea
ort to the Trustees of the
couts Group Scout Council
I report on the accounts of the Group for the year ended 31st December 2021.
As the Group's tnjstees you are responsible for the preparation of the accounts; you consider that neither the audit nor
independent examination requirements of the Charities Act 2011 apply. It is my responsibility without carrying out an
audit or independent examination to 5crutinise the accounts and to report to you.
In accordance with the dirertions given in the Group's constitution. I have scrutinised the records and the accounts set
out on pages one to three.
In my opinion the accounts a￿ in accordance with the records produced to me and comply with the constitution.
Name.. .Robert Tooley F.C.A...............
Address:.....38 Farm Way Northwo
d Middlesex.................
..HA6 3EF..........................................................
Date: ..-.....-.26 September 2022.......................................................