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2022-01-01-accounts

14[th] SALE SCOUT GROUP CHARITY NUMBER 520241,

TRUSTEES’ REPORT FOR THE YEAR ENDED 31[ST] DECEMBER 2021

The trustees present their report and financial statements for the year ended 31[st]

December 2021.

NAME AND NATURE OF ASSOCIATION

The name of the Association is 14[th] SALE SCOUT GROUP.

The Charity is unincorporated.

The Charity’s registration number is 520241.

OBJECTIVES AND ACTIVITIES

The Charity’s objects are:-

To actively engage and support young people in their personal development, empowering them to make a positive contribution to society.

The Method of achieving the aim is to ensure that young people, in partnership with adults, work together based on the values of Scouting and:

There have been no changes to the activities of the Association in the year under review.

ACHIEVEMENTS AND PERFORMANCE

As 2021 opened COVID continued to impact the Group and there were occasions when we weren’t able to meet face to face but as the year progressed, the rules relaxed, face to face meetings returned and we were even able to have some camps. Throughout the entire COVID period the group continued to thrive and as the year draws to a close we are planning to open a new Squirrels section. Following on from good relations with the childcare group who rent the scout hut during the day, some renovations and upkeep was carried out on the hut and grounds. Given the impact of COVID this was less than in prior years but we were still able to build a shelter that will allow us to do more with our outdoor space. Following their popularity in prior years we continued to offer group hoodies for sale to all members, and, given the popularity, we offered an additional option; a zip through hoodie. Seeing so many of our young people, leaders and parents buying and wearing these garments really fosters our sense of team and belonging. In 2020 we had a drop off in numbers but, throughout 2021 our numbers stayed relatively static and our waiting list is increasingly busy.

As well as hundreds of activity and challenge badges, we awarded: 12 Bronze awards to Beavers

6 Silver awards to Cubs, and

9 Gold awards to Scouts

Each being the highest award achievable in the section and a significant increase on the prior year.

Our young leaders expressed enjoyment at being involved in the group; and much positive feedback was received from parents, especially with how we were able to continue with scouting remotely throughout the pandemic.

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14[th] SALE SCOUT GROUP CHARITY NUMBER 520241,

TRUSTEES’ REPORT FOR THE YEAR ENDED 31[ST] DECEMBER 2021

STRUCTURE, GOVERNANCE AND MANAGEMENT

Specific Investment Powers

The powers are to invest the monies of the charity not immediately required for its purpose in or upon such investments securities as may be thought fit subject nevertheless to such conditions (if any) that may for the time being be imposed or required by law.

Organisational Structure

The Group is registered as a member of The Scout Association, registration number 19232.

We are governed by our constitution from January 2014, based on the Scout Association’s Policy Organisation and Rules (POR) 3.23

Activities are delivered by volunteer leaders, all DBS checked and trained according to Scout association rules.

The group is managed by the Executive Committee.

Officers

The officers of the Group are:-

John Casson Group President Paul Dixon Vice President Roy Kinnear Chairperson Anna Brunt Group Scout Leader Dermot Rafferty Secretary Lyndsay Kinnear Treasurer

EXAMINATION OF ACCOUNTS

The charity exceeds the threshold to require an independent examiners report and have therefore appointed Scott Roberts Taylor and Co.

FINANCIAL REVIEW

Funding comes from subscriptions from the scouts which fund activities, with additional (but not essential) monies from rent, and fundraising activities. We own the building we use, and are low risk of running out of funds.

Cash in bank accounts as at 31/12/2021 was £43,929.83. So at the year end the financial position was healthy.

It is considered that the Charity is a going concern.

REFERENCE AND ADMINISTRATIVE DETAILS

Principal address: Behind 104 Marsland Road Sale Cheshire M33 3NN Email: secretary@14thsale.org.uk

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14[th] SALE SCOUT GROUP CHARITY NUMBER 520241,

TRUSTEES’ REPORT FOR THE YEAR ENDED 31[ST] DECEMBER 2021

TRUSTEES

The following trustees have held office since 1[st] January 2021: John Casson Group President Paul Dixon Vice President Roy Kinnear Chairperson Anna Brunt Group Scout Leader Dermot Rafferty Secretary Lyndsay Kinnear Treasurer

TRUSTEES RESPONSIBILITIES

The Trustees are responsible for the keeping of accounting records and the preparation of financial statements which give a true and fair view of the state of affairs of the charity as at the end of the financial year end of the surplus or deficit of the charity for that period. The Charities Act 2011 requires the Charity to ensure that the accounting records disclose with reasonable accuracy the financial position of the Charity. In doing so the Trustees are required to select appropriate accounting policies and apply them consistently, making judgements and estimates that are reasonable and prudent and to prepare the financial statements on a going concern basis unless it is inappropriate to presume that the company will continue in business

On behalf of the Group

Dermot Rafferty, Executive Secretary Date 28/04/2022

14th Sale Scout Group

Charity Commission Number :

520241

Receipts FYE 31st December 2021

Dec-21 Dec-20
£ £
MEMBERSHIP SUBSCRIPTIONS
Subscriptions 7,424.19 8,984.11
Less capitation paid - 4,074.00
- 5,428.00
Net subscriptions 3,350.19 3,556.11
ACTIVITIES
Camps & Trips 2,519.26 2,941.00
Peak 2020 - 5,580.99
Beaver, Cub & Scout Hoodies - 479.00
HQ Rental Income 12,536.00 6,154.00
HQ Utilities Recharge 3,552.19 2,602.17
HQ Cleaning Recharge 337.50
Embrace maintenance contributions - -
Hire of H.Q 545.00 -
19,489.95 17,757.16
GIFT AID
Gift aid 2,220.51
COVID FUND
Trafford MBC 8,000.00 10,000.00
INTEREST
Savings Accounts 2.21 7.02
FUND RAISING
Various Events 17.99 113.75
Miscellaneous Donations Received - -
TOTAL RECEIPTS FOR THE YEAR 30,860.34 33,654.55

520241

14th Sale Scout Group

Charity Commission Number :

Payments FYE 31st December 2021

PREMISES
Lease Premium
Legal & Professional Fees
Utilities
HQ Cleaning Costs
Repairs / Maintenance
Additional outbuildings (shed & shelter)
Insurance
Total
ACTIVITIES
Camps & Trips
Peak 2020 (refunds in 2020)
Section meetings
Total
ADMIN/ESTABLISHMENT EXPENSES
Stationery / AGM / Printing / Materials
Total
OTHER EXPENSES
Training
Uniform (Woggle & Hoodies)
Miscelaneous
Total
PURCHASE OF CAPITAL EQUIPMENT
Tent & Camping Equipment
HQ Equipment
Total
SUNDRY PAYMENTS
Purchase of Badges
TOTAL PAYMENTS
Dec-21
Dec-20
£
£
1,500.00
1,500.00
48.00
10.00
4,380.00
3,293.82
525.00
345.00
5,296.75
8,071.04
-
2,599.89
893.65
874.09
12,643.40
16,693.84
2,226.44
2,937.50
-
6,457.69
1,101.06
508.05
3,327.50
9,903.24
148.08
-
148.08
-
18.00
735.58
487.41
363.73
13.89
1,099.31
519.30
149.00
56.00
269.40
24.99
418.40
80.99
1,552.37
687.31
1,552.37
687.31
19,040.98
28,032.76

14th Sale Scout Group

Charity Commission Number : 520241
Receipts & Payments Summary FYE 31st December 2021
Dec-21 Dec-20
£ £
Total Receipts for the year 30,860.34 33,654.55
Total Payments for the year 19,040.98 28,032.76
Net Receipts for the year 11,819.36 5,621.79
Less Uncleared Receipts (Embrace/electricity recharge)
Plus Uncleared Payments
Plus Previous Year Cleared Receipts
Less Cleared Payments
Cash, bank and similar funds brought forward 32,110.47 26,488.68
Cash, bank and similar funds carried forward 43,929.83 32,110.47

520241

14th Sale Scout Group

Charity Commission Number :

Statement of Assets and Liabilities at 31st December 2021

MONETARY ASSETS Cash, bank and similar funds

Dec-21 Dec-20
£ £
Bank current account 17,542.99 13,649.48
Easy Saver account 2,042.50 2,042.30
Bank flexible savings account (not previously accounted 24,075.48 16,073.47
for)
Bank Deposit account 322.08 322.08
Scout Investment Account -
Petty Cash -
Balances held by leaders - 53.22
23.14
Total 43,929.83 32,110.47

NON MONETARY ASSETS

A separate listing of fixed assets is not given as most assets are likely to have reached an age whereby they would be fully depreciated. However, insurance values for the buildings and contents are given below :

values for the buildings and contents are given below :
Dec-21 Dec-20
Value Value
£ £
Building 462,007.00 431,299.00
Contents and equipment (correction to 2020 figure) 2,147.00 2,065.00
Loss of rent (correction to 2020 figure) 14,000.00 14,000.00
All risks: equipment 13,376.00 13,376.00
Personal accident (up to) 20,000.00 20,000.00
Total 511,530.00 480,740.00

14th Sale Scout Group

Charity Commission Number :
Restricted Funds- Peak 2020
Total Receipts OSM
Total Receipts Direct Payment
Total Receipts Fundraising
Total Payments (Deposit Paid)
Deposit Refund (from Peak)
Refunds (cancelled due to Covid)
2019 incorrecly classified, relased to general funds
Funds held in account 31.12.2019
Funds held in account 31.12.2020
Funds held in account 31.12.2021
Breakdown of funds held
Receipts Fundraising 2019
2019 Correction, fundraising, not direct payments
Refunds not claimed
Correction from 2020 total
Interest
Funds held in account
Dec-21 520241
Dec-20
-
3,760.99
-
-
1,820.00
6,457.69
-
442.98
-
3,367.61
2,047.93
2,042.50 1,399.32
428.61
220.00
1,399.32
428.61
220.00
-5.63
0.20
2,042.50 2,047.93

NOTE: Peak camp fees were collected from direct payments on behalf of Scouts, plus monies fundraised.

Direct payments were returned to those who paid them, fundraising monies were retained for future

Unrestricted Funds
General Fund 41,887.33 30,062.54
Total Funds 43,929.83 32,110.47

14° SALE SCOUT GROUP, REGISTERED CHARITY NUMBER 520241 ITrIDEPEf4DENT EXAMINERS, REPORT TO THE TRUSTEES OF 141h SALE SCOUT GROUP We have reviewed the financial stateTnents for the year ended 31. December 2021, which have been prepared on a receipts and payments basis. RESPECTtVE RESPONSIBILITIES OF TRUSTEES AfiD EXAMINER The ¢harity'5 trustees are responsible for ihe preparation of the a¢counts. The charity's trust¢¢s consider that an audit not required for this year (under section 144 of th¢ Charities A¢t 20111 and that an independent exatnination is needed. It ts our responsibility to.. examine the accounts (under seKtion 145 of the 2011 Act) to follow the procedure laid down in the g¢neral Directions given by the Charity Commissions (under section 145(5)(b) of ihe2011 Act). and to state wh¢ther particular matters have come to our attention BASIS OF ILYDEPENDENT EXAMINER'S STATEMENT Our examination was carried out in accordance with general Directions given by the Charity Commission. An exatnination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes Consideration of any unusual items or dis¢losures in the accounts. and seeking explanations frorn the trustees concerning any such matter5. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given &8 to whether the accounts present a 't￿e and fair, view and the report is limited io those matteTS set out in the statement below. INDEPENDENT EXAMINERS STATEMENT In ctsnnection with our examination. no matter has come to our attention (l) which gives us reasonable cause to believe that in aDy material r¢5pe¢t the requirements. to keep proper accounting Tecords in accordance with section 130 ofthe 2011 Charities Act- and to prepare accounts which ￿Cord with the accounting records and comply with the accounting requirements of the Charities Act 2011. have not been met or {2) to which. in OUT opinion, attention should be drawn in order to enable a proper understsnding of the accounts to be reached. A.P. Brooks Adrian Paul Brook5 F.C.C.A Scott Roberts TayloT & Co Accountants Registered Auditors Central Buildings sn Corporation StTeet Hyde Cheshire SK14 IAG a.f. U <c.cA. Dale.. i+*ffl l•AL