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2023-03-31-accounts

2nd Bramhall Scout Group Receipts and Payments Account

Year start date

Year end date

For the year from

2022 To 2023

Receipts and payments

2022/23 2021/22

Unrestricted funds

Unrestricted funds

Unrestricted funds Unrestricted funds
Receipts £
7,870.90
-3,901.00
3,969.90
0.00
0.00
0.00
0.00
3,969.90
0.00
0.00
0.00
14,481.38
1,000.00
0.00
0.00
15,481.38
61.16
454.36
0.00
11,995.00
0.00
12,510.52
31,961.80
31,961.80
£
Donations, legacies and similar income
Membership subscriptions 7,870.90 5,817.81
Less:Membership subscriptions paid on (National/County/Area/District) -3,901.00 -3,272.50
Net membership subscriptions retained 3,969.90 2,545.31
Donations 0.00 0.00
Legacies 0.00 0.00
Gift Aid 0.00 5,099.88
Other similar income 0.00 0.00
Sub total 3,969.90 7,645.19
Grants
Maintenenace grant 0.00 0.00
Other grants 0.00 0.00
Sub total 0.00 0.00
Fundraising (gross)
Plant Sales 14,481.38 15,565.32
Christmas Float & Bag Packing 1,000.00 500.00
Other fundraising events 0.00 0.00
Sponsored Event & Open Day 0.00 0.00
Sub total 15,481.38 16,065.32
Investment income
Bank interest 61.16 3.38
Building Society interest 454.36 116.06
The Scout Association Short Term Investment Service 0.00 0.00
Property Rent income 11,995.00 7,596.00
Net income from Insurance clkaims 0.00 0.00
Sub total 12,510.52 7,715.44
Total Gross Income
Asset and investment sales, etc.
Total receipts
31,425.95
31,961.80 31,425.95

2nd Bramhall Scout Group Receipts and Payments Account

Year start date
Year end date
Year start date
Year end date
Year start date
Year end date
For the year
from
2022 To 2023
Receipts and payments
Payments 2022/23
Unrestricted funds
£
2,489.10
0.00
0.00
1,661.73
1,197.26
3,244.08
1,716.35
0.00
1,560.91
100.00
2,254.99
0.00
1,940.74
1,532.49
165.50
17,863.15
8,967.00
0.00
0.00
0.00
8,967.00
26,830.15
503.90
27,334.05
4,627.75
66,989.68
71,617.43
2021/22
Unrestricted funds
£
Charitable Payments
Youth programme and activities 2,489.10 1,917.45
Adult support and training 0.00 0.00
Rent 0.00 0.00
Rates, Water and Sewerage 1,661.73 689.71
Electricity and Gas 1,197.26 1,583.70
Insurance 3,244.08 3,166.53
Repairs and Renewals 1,716.35 6,554.04
Materials and equipment 0.00 0.00
Administration Expenses 1,560.91 2,107.49
Contribution to camp costs 100.00 0.00
Vehicle Expenses 2,254.99 2,289.20
Contribution to Explorer Unit Expenses 0.00 1,175.63
Cleaner & Gardener 1,940.74 1,798.60
Badges 1,532.49 93.90
Donations 165.50 18.50
Sub total 17,863.15 21,394.75
Fundraising expenses
Plant Sales 8,967.00 9,032.32
Christmas Float & Bag Packing 0.00 0.00
Other fundraising events 0.00 0.00
Open Day 0.00 0.00
Sub total 8,967.00 9,032.32
Total Gross Expenditure
Asset and investment purchases, etc.
Total payments
Net of receipts/(payments)
Cash funds last year end
Cash funds this year end
30,427.07
1,029.77
31,456.84
4,627.75 -30.89
66,989.68 67,020.57
71,617.43 66,989.68

Statement of assets and liabilities at the end of the year

31st March 2023
Unrestricted funds
£
Cash funds
Bank current account
887.48
Bank deposit account
359.88
Subscription account
39,263.93
Skipton Building Society
31,091.14
Cash/Floats
15.00
71,617.43
Other monetary assets
Tax claim
0.00
Debts due from the County/Area/District/Group
0.00
Insurance claim
0.00
Sub total
0.00
Investment assets
Investment property - detail
0.00
Quoted investments
0.00
Other investments - detail
0.00
Sub total
0.00
Non monetary assets for charity's own use
Badge stock
0.00
Shop stock
0.00
Other stock
0.00
Land and buildings
24,297.96
Motor vehicles
79.95
Scouting equipment, furniture etc
11,760.68
Other
0.00
Sub total
36,138.59
Liabilities
Accounts not yet paid
0.00
Expenses incurred but not invoiced
0.00
Subscriptions not yet paid
0.00
Loan - detail
0.00
Other liabilities
0.00
Sub total
0.00
Total cash funds
31st March 2023
Unrestricted funds
£
Cash funds
Bank current account
887.48
Bank deposit account
359.88
Subscription account
39,263.93
Skipton Building Society
31,091.14
Cash/Floats
15.00
71,617.43
Other monetary assets
Tax claim
0.00
Debts due from the County/Area/District/Group
0.00
Insurance claim
0.00
Sub total
0.00
Investment assets
Investment property - detail
0.00
Quoted investments
0.00
Other investments - detail
0.00
Sub total
0.00
Non monetary assets for charity's own use
Badge stock
0.00
Shop stock
0.00
Other stock
0.00
Land and buildings
24,297.96
Motor vehicles
79.95
Scouting equipment, furniture etc
11,760.68
Other
0.00
Sub total
36,138.59
Liabilities
Accounts not yet paid
0.00
Expenses incurred but not invoiced
0.00
Subscriptions not yet paid
0.00
Loan - detail
0.00
Other liabilities
0.00
Sub total
0.00
Total cash funds
31st March 2022
Unrestricted funds
£
Cash funds
Bank current account 887.48 2,194.69
Bank deposit account 359.88 809.57
Subscription account 39,263.93 33,333.64
Skipton Building Society 31,091.14 30,636.78
Cash/Floats 15.00 15.00
Total cash funds 71,617.43 66,989.68
Other monetary assets
Tax claim 0.00 0.00
Debts due from the County/Area/District/Group 0.00 0.00
Insurance claim 0.00 0.00
Sub total 0.00 0.00
Investment assets
Investment property - detail 0.00 0.00
Quoted investments 0.00 0.00
Other investments - detail 0.00 0.00
Sub total 0.00 0.00
Non monetary assets for charity's own use
Badge stock 0.00 0.00
Shop stock 0.00 0.00
Other stock 0.00 0.00
Land and buildings 24,297.96 24,297.96
Motor vehicles 79.95 139.92
Scouting equipment, furniture etc 11,760.68 12,507.64
Other 0.00 0.00
Sub total 36,138.59 36,945.52
Liabilities
Accounts not yet paid 0.00 0.00
Expenses incurred but not invoiced 0.00 0.00
Subscriptions not yet paid 0.00 0.00
Loan - detail 0.00 0.00
Other liabilities 0.00 0.00
Sub total 0.00 0.00

Contingent liabilities and future obligations

The above receipts and payments account and statement of assets and liabilities were approved by the Trustees on 5th July 2022 and signed on their behalf by

Signature
Signature on original
Signature on original
Print Name
Signature on original
Signature on original R J Verity Treasurer