Notes to Accompany Financial Statement for st I" Fetcham Scout Group year ended 31 March 2025 Scouts 1st Fetcham Overview 'Business as usual, is the headline for this year. Unsurprisingly our day to day running costs have continued to rise, but membership and participation in group events remains strong. Bank interest rates, while stronger this year have begun to decline though interest received s a significant amount of our income due to our large savings deposit in preparation for the re-build of our HQ which we have made significant strides towards this year. Our local fundraising event was particularly strong this year and we have made huge improvements in how we collect in our subs and manage membership. Headline Numbers As at 31st March 2025 total Group Assets were £319184.22 This is made up of the minibus valued at £5k, £7K in current accounts and cash across the group and £303K in our Saving accounts. The group accounts shows a surplus of £20.2K, compared with a surplus of £8.8K for the previous year. This is due to a variety of factors. the most significant of which are- During 2024-25 fund raising continued, we again received a 4K donation from BP due to their employee volunteering hours scheme. We also raised funds through various small donations made by individuals and groups making use of the hut; through collection boxes/commercial fund-raising schemes and participation running stalls at various local events. The most significant fund-raising event was the Fetcham Fair in June 2024 which raised over £9K. Festival takings were up on the previous year mainly due to excellent weather on the day and the use of tokens for participation in smaller games. Use of card payment machines may also have had an impact. We also raised £800 by hiring out our tents and equipment. Overall subs income is up significantly from 23124 as we have collected these more diligently and opened further sections with a gift of £300 from our District team. Transport costs remain high with more maintenance needed forthe minibus. Plus, we have shown further depreciation of £500 on the minibus. Utilities costs have been streamlined through the use of switching services and 2- year contracts established to manage ongoing costs. Section Accounts Thanks again to the Treasurers for the sections who have kept their accounts in good order during the year. As at Year End the settions held funds as follows- Squirrels £4227 {Note that this is due to a £4K donation which was moved to Group funds afteryear end.) Beavers £537 Cubs £2845 Scouts £6209.43 Alyson Mitchell Treasurer st l Fetcham Scouts Group
1st Fetcham Scout Group Financial Statements for the year ended 31 March 2025 Scouts Registered Charity Number 305773 Statement of Assets and Liabilities 1st Fckham Page2of3 Assets Carried forward from previous year This year 2014-25 5500.00 293466.07 Last year 2023-24 5500.00 284674.13 Non-current Assets General Reserves Totsl Reserves b'fwd Surplus/Deficitfor the year 298966.07 20218.15 319184.22 290174.13 8791.94 298966.07 Represented by Assets Closing 8alance )pening Balance 3110312025 31/03/2024 Minibus 5000.00 5500.00 Monetary Assets Group CAF Bank No I Group CAF Bank No 2 Group CAF Gold Savings Squirrels Bockets Barclay account Beavers CAF Beavers CAF Gold Savings Cub5 CAF Cubs CAF Gold Savings Scouts CAF & CAF Gold Scouts Cash In Han¢J Closing Balance )pening Balance 1703.24 2304.47 0.00 150.23 298240.71 281085.61 4227.57 0.00 210.14 210.14 283.06 1001.76 254.62 0.00 267.45 2102.14 2578.82 1500.00 6209.43 4981.54 209.18 130.18 314184.22 293466.07 Totsl Assets less liabilities 319184.22 298966.07 roval b the Trustees The above receipts and payrnents account and statement of asset5 and liabilitie5 were approved by theTru5tees on 23rd September 2021 and signed on their behalf bv Chair Person Name Address o- 06trfVW Name Address Post Code -, Postcode KT. 13 Signed I have seen th Date 111 2¥ Signed Date bank statements and confirm the balances Initials.. Examiner ft ivsc) kn ¥-L I TL trILTrL . L 2 Kcx) i.. Date= I le°/fcoUCI ". FWI OL.(1ts62>
1st Fetcham Scout Group Financial Statements for the year ended Registered Charity Number 305773 31 March 2025 Scouts Fetcham Pagelof3 This year 2024-25 Lastyear 2023-24 This year 2024-25 Last year 2023-24 Receipts Payments Subscriptions Subscriptions Less dÉsbursement to Sertions Less Capitation Premises 13941.00 Rent / Rates 1269.981 Maintenance 18142.001 Utilites 5529.02 Insurance 17834.07 646.83 1220.43 1391.75 2542.76 645.20 5391.66 2056.08 1535.07 18512.001 9322.07 Meetings & ArtNities Camp Other Activites UniformlBadBes Meetings & Activities 12036.00 Camps 2149.30 Other Activites 564.50 UniformlBadges Equipment 8494.17 3348.90 356.00 7335.31 4410.28 2899.64 223.27 10220.40 2843.94 1634.88 3000.63 Other Income Fund Raising Events Hall & Equipment Hire Grants & Donations Gift Aid Interest received Admin & Other Expenses 9721.46 Fund raising tosts 805.00 Transport 11080.36 Donations made 254.04 Postagelstationary 2018.38 Bank charge5finterest paid 0.00 MIslIae9us Depreciation on Assets 12521.53 800.00 6849.04 2663.99 1032.98 40.00 172.49 300.00 3347.85 2594.13 278.88 436.07 270.00 611.33 7214.10 157.19 MIslIaeOUS income 3465.12 500.00 500.L Total Receipts 49063.00 44158.06 Total Payments 28844.85 35366.12 Payments {SurpluslDefiat for the year) 20218.15 8791.94 Initials.. Chair Initials.. Treasurer IliTrL Initials.. Examiner Date.. Date.. Date:
1st Fetcham Scout Group Financial Ststements for the year ended 31 March 2025 Scouts Reglstered Charlty Number Inde ndert Examiner 305773 1st Fetrham Page3of3 Name Address Post Code JIR )i L T£ Basis of Inde endent Examinerfs statement My examination was carrled out under section 145 01 the Charitie5 Att 2011, in accordan with general Directlons glven by the Charity Commlsslon. An exzmination include5 3 reviLtsW of the accountin8 records kept by thecharlty and a comp3rison of the accounts presèntèd with thosè records. It also includes conslderation of any unusual iterns or disclosurés in the attounts and seeking explanations from the trustees concernin8 any such matters. The procedures undertaken do not provide all the evidence that would be reqLtired in an audit, and consequèntly no opinion is giveft as to whether the accounts present z 'true and fairf vièw and thè report is limited to those matter$ set out In the statement below. Inde ndent Examiner's statement In connection with my examination, no rn£tter has come to my attention (other than that disc105ed below I ' Pleose delete the words In thebrockets if t7n unquoltfi'edreportls opplitoble. l. which givÈs mè reasonable tause to bdieve that In, any materlal respect, the requirements.. to keep acctyjnting records in accordance with section 130 of the Ch3ritie5 Act,. and to prepare accounts which accord with the ac¢tsuntin8 records and comply wSth the accountlng requiremer have wt been rnet., or Comments: Signed Date Il-l.