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2025-03-31-accounts

OFFICIAL Ind•p•ndant E¥amlner's Report to ihe Truste8s of tho 9th (Doncasterl SCOUT GROUP I report on the accounts of the groupforthe yearended 31 March 2025 Whi¢h comprisethe statement of financial Actiwties. the Balance SheetBnd relaied noies. This report is made solelyto the trustees in accord8ncewf(h section 145 of the Charitie8 8Ct2011. Mywork has been undertaken 50that I might state tothe chsrity's trusteesth05e rnatter¥ l am requireil to state tothem sn 8n Independent Ex8miner¥ report and for no other purpose. Tothe fullest exrent permitted bylaw. I do not accept or assurne responsibilityto anyone other than the cha¥ityand th8 charityiru$tee5 for ny examlnation work. Respectlv• r•sponyibilitles of Trustees and Examln8r The Group's trustees are responsible for the preparaiion of the a¢countS. Tmey consider rhat an audit is not required lor this y8ar (under section 144 of the Charities Act2011 Ilhe CharitiBs Actll and thai an independent examination is nee(led. It 15 rny responsibilityto- Examin8 the accounts lunderse¢tion 14S of the Charities Act).. To followihe procedures laid down In the General Directions ￿Ven bythe Charity Commissioners lund8r Section 14515llbl of the Charitie$A¢tl', and To state whether particular Matters have come to myattention. B8sl$ of Independent Examlners report Myexgmination was carried out in accordance with the General Directionsgiven bythe Chariry Commissioners. An examination include5 a review ofthe accounting r8cords kept bythe Group and a comparison of the accounts prEseThted with those records. It also includes CDll5ideration of any unusual iteTHs ordisclosures in the accounts, and 8eeking explanations from you as trustees concerning any such matters. The proc8dures undertaken do not provide all the evi(Jence thatwould be required in an audit, and consequently no opinion is given as to whetherthe sccounts present 8.true and fair'view ancj tme repofl is limited to those matters set out in the 8tstemeni below. Independent Examiners statement In connection with rny examination, no matter has come to my attention.. Which gives me reasonable cause to believe that in, ant material respect, the requirements To keep accounting records in accordance with Section 130 of the Charities Act., an To prepare ac¢Dunts which accord with the accounting records and comply with the accounting requirements of the Charities Act have not been met.. or 2. To which, in my opinion, attention should be drawn in order to enable a proper understanding of th¢ accounts to be reached. Name: Clivo Scott Addre$$: 6 Aintree Drlve Doncsstèr, DN48TU Date: 0210512026 Slgned:

9th Doncaster (York Road)

Scout Group Accounts - Balance Sheet For Year 2024 2025

Opening Balance £22,238.26
Income Expenditure
Beavers Subscriptions £1,510.00 Gas £1,438.39
Cubs Subscriptions £2,088.17 Electric £2,192.68
Scouts Subscriptions £2,037.50 Water £203.09
Fundraising Beer Fest £11,134.31 Refuse £634.40
Oktoberfest £0.00 Rates £164.26
Bonfire Night £8,257.08 Lease £125.00
Christmas Fair £3,397.73 Insurance £1,855.64
Banquet Night £1,021.96 Building Maintenance £162,157.64
Gift Aid £5,066.40 Admin £1,222.78
Donations £551.17 Equipment £11,041.65
Hall Hires £4,898.50 Fundraising Beer Fest £7,880.64
Miscellaneous £748.85 Oktoberfest £0.00
Grants £165,759.83 Bonfire Night £6,657.61
Christmas Fair £74.09
Banquet Night £1,545.05
Capitation £4,125.00
Training £240.00
Miscellaneous £2,476.87
TOTAL INCOME £206,471.50 TOTAL EXPENDITURE £204,034.79
CLOSING BALANCE £24,674.97
CASH IN CURRENT ACCOUNT £3,285.00
CASH IN SAVINGS £18,586.00
CASH IN YIF GRANT £686.40
CASH IN EXPLORERS GRANT £0.00
Cheques to Bank 2024-2025 £761.27
CASH IN HAND £1,356.30
DIFFERENCE £0.00

9th Doncaster (York Road) Beaver Colony Accounts Balance Sheet For Year 2024-2025

Opening Bank Balance £1,083.27
Opening Cash in Hand Balance £299.32
Cash in Camp bank balance £19.30
Opening Balance
£1,401.89

Income

Income
Subscriptions £2,416.00
Camps £660.00
Activities £240.00
Donations £0.00
Fundraising £0.00
Misc £305.23

TOTAL INCOME

£3,621.23

Expenditure

Subscriptions to group £1,510.00
Camps £895.86
Scout Shop £316.71
Activities £702.05
Equipment £301.21
Admin £11.99
Refreshments £96.05
Misc £42.95
TOTAL EXPENDITURE £3,876.82
CLOSING BALANCE £1,146.30
CASH IN BANK £798.01
CASH IN HAND £328.76
Cash in Camp bank balanc £19.53
DIFFERENCE £0.00

9th Doncaster (York Road) Cub Pack Accounts Balance Sheet For Year 2024-2025

Opening Bank Balance £2,210.20
Opening Cash in Hand Balance £0.00
Cash in Camp bank balance £0.00
Opening Balance
£2,210.20
£3,460.00
£1,155.00
£920.00
£200.00
£0.00
£10.00
£5,745.00
Expenditure
Subscriptions to group
£2,088.17
Camps
£1,164.55
Scout Shop
£542.15
Activities
£2,182.95
Equipment
£140.42
Admin
£132.85
Refreshments
£92.96
Misc
£146.60
TOTAL EXPENDITURE
£6,490.65
£1,464.55 ✓JH
£1,464.55 ✓JH
£0.00
Cash in Camp bank balance
£0.00
£0.00
DIFFERENCE
CLOSING BALANCE
CASH IN BANK
CASH IN HAND
List of Balances as at 31st March 2025
Balance as at 1st April 2024
Excess of Expenditure over Income (Loss)
Pack Fund Balance at 31st March 2025
J Hagyard 06/09/2025
- £2,210.20

£745.65
£1,464.55 ✓JH
Reconciliation of Bank Accounts
Balance at Bank as at 31st March 2025
Add Cash banked not on statement
Less Unpresented Cheques
000355
000356
Cash Book Balance
J Hagyard 06/09/2025

Income

Subscriptions
Camps
Activities
Donations
Fundraising
Misc
£3,460.00
£1,155.00
£920.00
£200.00
£0.00
£10.00

TOTAL INCOME

9th Doncaster (York Road) Scout Troop Accounts Balance Sheet For Year 2024-2025

Opening Bank Balance £201.39
Opening Cash in Hand Balance £26.20
Cash in Camp bank balance £246.19
Opening Balance
£473.78
Income
Subscriptions £3,624.02
Camps £12,719.54
Activities £84.00
Donations £10.43
Fundraising £2,077.49
Misc £586.67

TOTAL INCOME

£19,102.15

Expenditure
Subscriptions to group £2,037.50
Camps £13,672.03
Scout Shop £442.00
Activities £435.17
Equipment £266.06
Admin £115.80
Refreshments £8.20
Misc £745.00
TOTAL EXPENDITURE £17,721.76
CLOSING BALANCE £1,854.17
CASH IN BANK £519.55
CASH IN HAND £142.99
Cash in Camp bank balanc £830.91
DIFFERENCE -£360.72
9th Doncaster Danum Scout Group 9th Doncaster Danum Scout Group 9th Doncaster Danum Scout Group 509507 509507 509507 CC16a
For the period
from
01/04/2024 To 31/03/2025
Section A Receipts and payments
A1 Receipts Unrestricted
funds
to the nearest £
9,500
25,889
162
4,899
15,779
5,066
1,651
-

62,944
-
-
-
62,944
3,631
1,002
125
1,856
4,228
4,091
16,157
4,125
240
19,053
1,301
197
1,483
3,411
60,900
-
-
-
60,900
2,044
-
25,985
28,029
Restricted
funds
to the nearest £
-
-
-
-
-
-
-
165,760
165,760
-
-
-
165,760
-
-
-
-
157,929
6,951
-
-
-
-
-
-
-
-
164,880
-
-
-
164,880
880
-
-
880
Endowment
funds
to the nearest £
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Total funds
to the nearest £
9,500
25,889
162
4,899
15,779
5,066
1,651
165,760
228,704
-
-
-
228,704
3,631
1,002
125
1,856
162,158
11,042
16,157
4,125
240
19,053
1,301
197
1,483
3,411
225,781
-
-
-
225,781
2,924
Last year
to the nearest £
Subscriptions 9,500 10,799
Fundraising 25,889 23,290
Donations 162 1,171
Hall Hire 4,899 3,477
Camps & Activities 15,779 13,184
Gift Aid 5,066 -
Other Income 1,651 1,439
Grants - -
Sub total(Gross income for
AR)

62,944
53,360
A2 Asset and investment sales,
(see table).
-
- -
~~Sub total~~ - -
Total receipts
A3 Payments
53,360
Gas/Electric 3,631 3,179
Water,Rates & Refuse 1,002 463
Lease 125 616
Insurance 1,856 1,501
BuildingMaintenance 4,228 6,008
Equipment costs 4,091 4,013
Fundraising 16,157 14,114
Capitation 4,125 3,968
Adult Support & Training 240 260
Camp& Activities 19,053 14,643
Scout Shop 1,301 812
Refreshments 197 228
Administration Expenses 1,483 982
Miscellaneous 3,411 3,658
**Sub total ** 60,900 54,445
A4 Asset and investment
purchases, (see table)
-
-
**Sub total ** - -
Total payments
Net of receipts/(payments)
A5 Transfers between funds
A6 Cash funds last year end
Cash funds this year end
54,445
2,044 880 - 2,924 - 1,085
- - - - -
25,985 - - 25,985 27,070
28,029 880 - 28,909 25,985

CCXX R1 accounts (SS)

25/05/2026

1

Section B Statement of assets and liabilities at the end of the period

Categories
Signed by one or two trustees on
behalf of all the trustees
B1 Cash funds
B2 Other monetary assets
B4 Assets retained for the
charity’s own use
B5 Liabilities
B3 Investment assets
Signature
Details
Bank account
Cash in Hand
Details
Total cash funds
(agree balances with receipts and payments
account(s))
Details
Details
Details
Unrestricted
funds
Restricted
funds
to nearest £
to nearest £
25,855
880
2,174
-
-
-
28,029
880
OK
OK
Unrestricted
funds
Restricted
funds
to nearest £
to nearest £
-
-
-
-
-
-
-
-
-
-
-
-
Fund to which
asset belongs
Cost (optional)
-
-
-
-
-
Fund to which
asset belongs
Cost (optional)
-
-
-
-
-
-
-
-
-
Fund to which
liability relates
Amount due
(optional)
-
-
-
-
-
Print Name
Endowment
funds
to nearest £
-
-
-
-
OK
Endowment
funds
to nearest £
-
-
-
-
-
-
Current value
(optional)
-
-
-
-
-
Current value
(optional)
-
-
-
-
-
-
-
-
-
When due
(optional)
Date of
approval

CCXX R2 accounts (SS)

25/05/2026

2