REPORT 2022-2023
life of a DC changes every year and I think that’s just to keep us on our toes. 1492 nights away recorded this year - wow
tremendous support to myself and Nene Valley over the years he was chair and he con�nues to serve as a trustee for the district.
Transforma�on has been the buzz word this year, although it hasn’t transformed quite as quickly as was expected the wheels are in mo�on for some changes within Scou�ng, which we will embrace in Nene valley when they happen.
moving back towards our pre 2020 figures. As always, our struggle has been with ge�ng enough adult leaders to support the groups and this was the reason for having to close 7[th] Rushden back in July last year. The district team have been out suppor�ng those groups who had struggled with leadership teams and we are now seeing some growth with new adults joining.
However, we had two groups with massive growth. 2[nd] Higham con�nued to grow with a 29% growth and 1[st] Rushden have grown by 45%. These are fantas�c achievements and all the hard work that Cat & Kevin and their teams have put in at these groups is paying off.
The highlight of the year has been seeing six Gold DOFE awards gained by
Calum King, Ryan Powell, Emily Wraight, Millie Hunt, Callum Moody & Sebas�an Higgins
and Millie Hunt achieved her Queens Scout Award as well. Millie was one of the last to achieve this in Northamptonshire as any new award holders will be Kings Scouts. What a fabulous achievement by all these young people and five out of six of them went through all sec�ons of Scou�ng here in Nene Valley. One very proud DC (and Mum). These are the young people who will inspire our younger members.
Our adult training record has been exemplary in regards to compulsory ongoing training and that’s thank you to Tony for always being on top of this. Its great to keep ge�ng emails from Headquarters saying well done for our compliance record, but also so important as a movement that we ensure all our adults are trained to provide a safe environment for our young people.
Our annual Fireworks display was another great success with over 7500 people in a�endance. The organising is no mean feat and under Steve Wards guidance this event con�nues to provide the district with our main fundraising event.
In February we held an Au�sm training day for 30 adults ran by Diane of Enfold. This was six hours of quality training where the room was buzzing and it was great to get so many ideas to take away to use at our Scout nights. Thank you to all our volunteers who gave up a Saturday to learn more about how to support our young people to enable them to get the most out of ac�vi�es.
Although technically not in this year, we have also had a district day for Beavers and Cubs at Stanwick Lakes. So, on the 13[th] May we had 170 young people and their leaders descend on Stanwick Lakes for a day of trails, bivouac’s, bird watching, Vikings, animal tracks & natural art. The whole day was a success and a big shout out to Liz & Mollie from Stanwick Lakes and all the leaders who helped to make the day such a success.
2[nd] Raunds opened Nene Valleys first Squirrel Drey. It has been amazing to watch these 4- and 5-yearolds take part in all the ac�vi�es and so many smiley faces every week. Well done to the Squirrel team.
As always thank you to every volunteer involved in Nene Valley Scout District whether you are a leader, trustee or district team member. We are a great li�le district who all work well together. Thank you and enjoy your upcoming summer break.
Nene Valley District Scout Council
Balance Sheet
As at 31 March 2023
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Account number Account description Mar 2023 YTD
Assets
Fixed Assets
Fixed Assets 302,218.56
0010 Property - Cost 297,000.00
0040 Fixtures and fittings - Cost 5,798.40
0041 Fixtures and fittings - Accumulated (579.84)
Depreciation
Noncurrent Assets 0.00
Intangible Assets 0.00
Total Fixed Assets 302,218.56
Current Assets
Current Assets 1,164.00
1100 Trade Debtors 1,164.00
Bank 125,444.82
1200 District Scouts - HSBC (a/c 480.50
92189534)
1210 Rebel Explorers - Cash 93.14
1220 Nene Valley District - HSBC 5,610.74
Current Account (a/c 92165120)
1230 Nene Valley District - HSBC 18,121.79
Savings (a/c 42165139)
1240 Rebel Explorers Scout Unit - HSBC 974.10
(a/c 32188554)
1250 District Cubs - Nat West 1,594.02
1300 Wadenhoe - Cash 14.22
1310 Nene Valley District - Nat West 38,526.38
current account
1320 Nene Valley District - Nat West 20,029.93
Savings
1330 Nene Valley District - Skipton 40,000.00
Total Current Assets 126,608.82
Total Assets 428,827.38
Liabilities
Current Liabilities
Current Liabilities 29,662.64
2100 Trade Creditors 524.56
2105 Other Creditors 28,151.65
2110 Accruals 986.43
Bank Overdraft 0.00
Other Current Liabilities 0.00
Total Current Liabilities 29,662.64
Future Liabilities
Long Term Liabilities 0.00
Total Future Liabilities 0.00
Total Liabilities 29,662.64
Total Net Assets 399,164.74
Equity
Equity 399,164.74
Profit And Loss - Prior Years 389,926.55
Profit And Loss - Current Year 9,238.19
Total Equity 399,164.74
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Nene Valley District Scout Council
Balance Sheet
As at 31 March 2023
Account number Account description Mar 2023 YTD
Profit and Loss
For Period Ending 31 March 2023
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Account number Account description YTD
1 Apr 2022 - 31
Mar 2023
Sales (53)
4010 Sales - Services 22
4020 Sales Discounts (75)
Other Income 69,808
10002 Archery Income 48
10004 Canoeing Income 490
10006 Census Income 1,412
10007 Donations 413
10008 Camp income 960
10014 Bank Interest 143
10017 Activities 57,509
10018 Duke of Edinburgh income 137
10021 Shooting income 38
10024 Subscriptions 380
10026 Tomahawk income 40
4900 Other income 2,756
4940 Rental Income 5,482
Total Sales 69,755
Direct Expenses 37,334
10000 Scout awards, badges, certificates 146
and logbooks
10010 Maintenance 50
10011 Activities 21,274
10012 Equipment 8,294
10016 Camp costs 86
10019 Duke of Edinburgh costs 103
10023 Firework Attendance 4,944
5000 Cost of Sales - Goods 2,022
5050 Sub-Contractors 415
Gross Profit /(Loss) 32,421
Gross Profit /(Loss) % 46.48%
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Nene Valley District Scout Council
Balance Sheet
As at 31 March 2023
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Account number Account description Mar 2023 YTD
Overheads 23,184
7100 Rent 1,688
7110 Water Rates 1,209
7130 Premises Insurance 1,715
7200 Electricity 429
7210 Gas & Oil 1,029
7300 Vehicle Fuel 737
7310 Vehicle Repair and Servicing 71
7410 Car Hire 144
7500 Printing 17
7510 Postage and Carriage 5
7550 Computer & Software 883
7610 Accountancy Fees 1,080
7630 Business Insurance 795
7640 Equipment Hire 2,706
7800 Repairs and Renewals 7,129
7810 Cleaning 572
7900 Bank Charges and Interest 568
8040 Fixtures and Fittings Depreciation 580
8200 General Expenses 616
8210 Subscriptions 360
8230 Training Costs 500
8240 Refreshments 351
Other Expenses 0
Taxation 0
Total Overheads 23,184
Net Profit /(Loss) 9,237
Net Profit /(Loss) % 13.24%
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Independent examiner's report on the accounts
Section A Independent Examiner’s Report
| Report to the trustees/ members of On accounts for the year ended Set out on pages Responsibilities and basis of report |
Charity Name Nene Valley District Scout Council |
Charity Name Nene Valley District Scout Council |
Charity Name Nene Valley District Scout Council |
|---|---|---|---|
| 31 March 2023 | Charity no (if any) |
304413 | |
| 1 to 5 (including these 2 pages) | |||
| I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended 31/03/2023. As the charity's trustees, 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 I have completed my examination. I confirm that no material matters have examiner's statement come to my attention in connection with the examination (other than that disclosed below *) which gives me cause to believe that in, any material respect:
-
the accounting records were not kept in accordance with section 130 of the Charities Act; or
-
the accounts did not accord with the accounting records; or
-
the accounts did 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.
- Please delete the words in the brackets if they do not apply.
| *Please delete the words in the brackets | apply. | |
|---|---|---|
| Signed: Name: Relevant professional qualification(s) or body (if any): Address: |
D Warren | 04/07/2023 |
| Darren Warren – Denton Tavara Limited | ||
| F M A A T | ||
| 61a High Street South | ||
| Rushden, Northants | ||
| NN10 0RA |
Page 1 of 5
Section B Disclosure Only complete if the examiner needs to highlight material matters of concern (see CC32, Independent examination of charity accounts: directions and guidance for examiners).
Give here brief details of any items that the examiner wishes to disclose .
Page 2 of 5
Nene Valley District Scout Council
Balance Sheet Report
To: 31 March, 2023
| ASSETS | |
|---|---|
| Fixed Assets | |
| 0010 - Property - Cost 297,000.00 |
|
| 0040 - Fixtures and fittings - Cost 5,798.40 |
|
| 0041 - Fixtures and fittings - Accumulated Depreciation -579.84 |
|
| Total Fixed Assets | £302,218.56 |
| Current Assets | |
| 1100 - Trade Debtors 1,164.00 |
|
| 1200 - District Scouts - HSBC (a/c 92189534) 480.50 |
|
| 1210 - Rebel Explorers - Cash 93.14 |
|
| 1220 - Nene Valley District - HSBC Current Account (a/c 92165120) 5,610.74 |
|
| 1230 - Nene Valley District - HSBC Savings (a/c 42165139) 18,121.79 |
|
| 1240 - Rebel Explorers Scout Unit - HSBC (a/c 32188554) 974.10 |
|
| 1250 - District Cubs - Nat West 1,594.02 |
|
| 1300 - Wadenhoe - Cash 14.22 |
|
| 1310 - Nene Valley District - Nat West current account 38,526.38 |
|
| 1320 - Nene Valley District - Nat West Savings 20,029.93 |
|
| 1330 - Nene Valley District - Skipton 40,000.00 |
|
| Total Current Assets | £126,608.82 |
| TOTAL ASSETS | £428,827.38 |
| LIABILITIES | |
| Current Liabilities | |
Page 3 of 5
| 2100 - Trade Creditors 524.56 |
|
|---|---|
| 2105 - Other Creditors 28,151.65 |
|
| 2110 - Accruals 986.43 |
|
| Total Current Liabilities | £29,662.64 |
| Future Liabilities | |
| Total Future Liabilities | £0.00 |
| TOTAL LIABILITIES | £29,662.64 |
| TOTAL NET ASSETS | £399,164.74 |
| EQUITY | |
| Net Profit / Loss 399,164.74 |
|
| Net Profit / Loss (prior year(s)) 389,926.55 |
|
| Net Profit / Loss (current year) 9,238.19 |
|
| TOTAL EQUITY | £399,164.74 |
Page 4 of 5
Nene Valley District Scout Council
Income and Expenditure Account
for the 12 months to 31 March 2023
£ £
| £ | £ | |
|---|---|---|
| Income | ||
| 4010 ‐ Sales ‐ Services | 22 | |
| 4020 ‐ Sales Discounts | ‐75 | |
| 4900 ‐ Other income | 2,756 | |
| 4940 ‐ Rental Income | 5,481 | |
| 10002 ‐ Archery Income | 48 | |
| 10004 ‐ Canoeing Income | 490 | |
| 10006 ‐ Census Income | 1,412 | |
| 10007 ‐ Donations | 413 | |
| 10008 ‐ Camps | 960 | |
| 10014 ‐ Bank Interest | 145 | |
| 10017 ‐ Activities | 57,508 | |
| 10018 ‐ Duke of Edinburgh income | 137 | |
| 10021 ‐ Shooting income | 38 | |
| 10024 ‐ Subscriptions | 380 | |
| 10026 ‐ Tomahawk income | 40 | |
| Total Income | 69,754 | |
| Direct Expenses | ||
| 5000 ‐ Cost of Sales ‐ Goods | 2,022 | |
| 5050 ‐ Sub‐Contractors | 415 | |
| 10000 ‐ Scout awards, badges, certificates and logbooks | 146 | |
| 10010 ‐ Maintenance | 50 | |
| 10011 ‐ Activities | 21,273 | |
| 10012 ‐ Equipment | 8,294 | |
| 10016 ‐ Camp costs | 86 | |
| 10019 ‐ Duke of Edinburgh costs | 103 | |
| 10023 ‐ Firework Attendance | 4,944 | |
| Total Direct Expenses | 37,334 | |
| Excess of Income over Direct Expenses | 32,420 | |
| Overheads | ||
| 7100 ‐ Rent | 1,688 | |
| 7110 ‐ Water Rates | 1,209 | |
| 7130 ‐ Premises Insurance | 1,715 | |
| 7200 ‐ Electricity | 428 | |
| 7210 ‐ Gas & Oil | 1,030 | |
| 7300 ‐ Vehicle Fuel | 737 | |
| 7310 ‐ Vehicle Repair and Servicing | 71 | |
| 7410 ‐ Car Hire | 144 | |
| 7500 ‐ Printing | 17 | |
| 7510 ‐ Postage and Carriage | 5 | |
| 7550 ‐ Computer & Software | 883 | |
| 7610 ‐ Accountancy Fees | 1,080 | |
| 7630 ‐ Business Insurance | 795 | |
| 7640 ‐ Equipment Hire | 2,706 | |
| 7800 ‐ Repairs and Renewals | 7,129 | |
| 7810 ‐ Cleaning | 573 | |
| 7900 ‐ Bank Charges and Interest | 568 | |
| 8040 ‐ Fixtures and Fittings Depreciation | 580 | |
| 8200 ‐ General Expenses | 615 | |
| 8210 ‐ Subscriptions | 360 | |
| 8230 ‐ Training Costs | 500 | |
| 8240 ‐ Refreshments | 351 | |
| Total Overheads | 23,182 | |
| Surplus of Income over Direct Expenses and Overheads | 9,238 |
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