First Wilton scout group AGM report
A good set of accounts this year as things have definitely returned to normal. We have had another grant of £2667 from Wiltshire council to cover any losses from the pandemic which has of course been very useful. The scout Christmas post went ahead again this year and although slightly down on income still managed to bring in around £1600. We were also able to get some money from the coop as their nominated charity of £1300 and a significant amount from group scouts of over £3300 from the ongoing book collections. Hall hire has picked up significantly again and we have a number of regular hirees and also are regularly used as a one off which is excellent leading to an income of over 18000. Finally, the rag collection continues to bring in a steady income stream of around £400 which for very little effort is very much appreciated
Our main expenses continue to be the insurance policies for the buildings and contents and the minibus and the capitation owed to group. We also continue to pay for a cleaners and maintenance of the hall, whereby we try to paint and ensure general upkeep so it is in good condition for hirers. The general increase in costs is reflected in the bigger expense for both the electricity and the oil for heating but hopefully these will be lower in the coming year
All in all a very good year. Hall hire is buoyant and enables subs to be kept low as it covers the ongoing costs of running the building. The Christmas post went ahead which ensured some fundraising. The bank account remains buoyant and hopefully will enable some major projects to be carried out in the near future.
| 1st Wilton scout group EXECUTIVE COMMITTEE ACCOUNTS 1/4/2022-31/3/2023 | 1st Wilton scout group EXECUTIVE COMMITTEE ACCOUNTS 1/4/2022-31/3/2023 | 1st Wilton scout group EXECUTIVE COMMITTEE ACCOUNTS 1/4/2022-31/3/2023 | 1st Wilton scout group EXECUTIVE COMMITTEE ACCOUNTS 1/4/2022-31/3/2023 |
|---|---|---|---|
| + | Income | Expenditure | |
| Capitation | 2670 | Capitation | 2670 |
| Premises | Premises | ||
| Electricity/Water | 0 | Electricity/Water | 1897.62 |
| Oil | 0 | Oil | 1236.63 |
| Insurance | 0 | Insurance | 1535.77 |
| Maintance | 0 | Maintenance | 3713.76 |
| Other | Other | ||
| Wiltshire council | 2667 | Minibus | 2977.77 |
| Wilton middle school | 0 | Scout Shop | 149.2 |
| Fundraising | 6380.41 | Fundraising | 595.16 |
| Clothing bank | 387.6 | Donation | 300 |
| Explorers | 0 | Explorers | 0 |
| Minibus hire | 1228 | Inland Revenue Gift A | 0 |
| Sections | Sections | ||
| Cubs | 895 | Cubs | 1018.62 |
| Beavers | 2090 | Beavers | 1443.3 |
| Scout Troop | 4463.5 | Scout Troop | 7592.15 |
| HallHire | HallHire | ||
| Rent | 18828.5 | Deposit refunds | 1100 |
| Camping/tents | 240 | Camping/tents | 0 |
| Interest | Interest | ||
| Bank interest | 33.18 | bank interest | 0 |
| Admin | Admin | ||
| cleaning | 0 | Cleaning | 4872.57 |
| Purchases/Misc | 0 | Purchases/Misc | 6953.44 |
| Postage | 0 | Postage | 0 |
| Sub totol | 39883.19 | Sub total | 38055.99 |
| Excess income | 0 | 1827.2 | |
| over expenditure | |||
| Total | 39883.19 | Total | 39883.19 |
| Reconciliation of cash and bank balances | |||
| Balances as at 1/4/22 | Balances as at 31/3/2023 | ||
| CCLA | 33.03 | CCLA | 33.03 |
| Instant access a/c | 2137.35 | Instant access a/c | 22170.53 |
| Current a/c | 37241.07 | Current a/c | 19035.09 |
| Cash | 16.37 | cash | 16.37 |
| Subtotal | 39427.82 | Subtotal | 41255.02 |
| excess income over | excess expenditure o | ||
| expenditure | 0 | income | 1827.2 |
| Less uncleared lodgin 0 |
0 |
|---|---|
| Total 0 Total |
1827.2 |
| Group Treasurer............................................................. | |
| Audited by..................................................................... |
1st Wilton scout group EXECUTIVE COMMITTEE ACCOUNTS 1/4/2019-31/3/2020 + Income Expenditure Capitation 2115 Capitation 2115
| Premises | Premises | ||
|---|---|---|---|
| Electricity/Water | 0 | Electricity/Water | 1971.2 |
| Oil | 0 | Oil | 1311.41 |
| Insurance | 0 # | Insurance | 1376.8 |
| Maintance | 0 | Maintenance | 5648.67 |
| Other | Other | ||
| Minibus | 1752.17 | Minibus | 1921.63 |
| Scout Shop | 0 | Scout Shop | 508.94 |
| Fundraising | 4891.01 | Fundraising | 2450.91 |
| Donation | 0 | Donation | 0 |
| Explorers | 0 | Explorers | 0 |
| Inland reveue Gift Aid | 0 | Inland Revenue Gift A | 0 |
| Sections | Sections | ||
| Cubs | 701 | Cubs | 846 |
| Beavers | 1622 | Beavers | 564 |
| Scout Troop | 2770 | Scout Troop | 4053.58 |
| HallHire | HallHire | ||
| Rent | 9169.29 | Deposit refunds | 250 |
| Camping/tents | 240 | Camping/tents | 0 |
| Interest | Interest | ||
| Bank interest | 1.84 | bank interest | 0 |
| Admin | Admin | ||
| cleaning | 0 | Cleaning | 2420.17 |
| Purchases/Misc | 279.9 | Purchases/Misc | 2044.29 |
| Postage | 0 | Postage | 0 |
| Sub totol | 23542.21 | Sub total | 27482.6 |
| Excess income | 0 | Excess expenditure | -3940.39 |
| over expenditure | over income | ||
| Total | 23542.21 | Total | 23542.21 |
| Reconciliation of cash | and bank balances | ||
| Balances as at 1/4/19 | Balances as at 31/3/2020 | ||
| CCLA | 33.03 | CCLA | 33.03 |
| Instant access a/c | 5031.84 | Instant access a/c | 2248.67 |
| Current a/c | 1778.05 | Current a/c | 620.83 |
| Cash | 16.37 | cash | 16.37 |
| Subtotal | 6859.29 | Subtotal | 2918.9 |
| excess income over | excess expenditure o | ||
|---|---|---|---|
| expenditure | 727.37 | income | -3940.39 |
| Less uncleared lodgin | 0 | ||
| Total | 727.37 | Total | -3940.39 |
| Group Treasurer............................................................. | |||
| Audited by..................................................................... |
Independent examiner's report on the accounts
Section A Independent Examiner’s Report
Report to the trustees/ members of
Charity Name
1[st] Wilton Scout Group
On accounts for the year ended
31/3/2023
305948
Charity no (if any) Set out on pages
1-2
(remember to include the page numbers of additional sheets)
Responsibilities and basis of report
I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended 31/3/2021 .
As the charity trustees of the Trust, 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 the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.
Independent examiner's statement
I have completed my examination. I confirm that no material matters have come to my attention (other than that disclosed below *) in connection with the examination which gives me cause to believe that in, any material respect:
-
accounting records were not kept in accordance with section 130 of the Act or
-
the accounts do not accord with the accounting records
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn 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.
Signed:
C Goddard
12/6/2024
Date: Name:
Cherry Goddard
Relevant professional qualification(s) or body (if any):
October 2018
1
IER
MAAT
Address:
6 Glynn Place
East Melbury
Shaftesbury Dorset SP7 0DP
Section B Disclosure
Only complete if the examiner needs to highlight 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 .
October 2018
2
IER