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2021-03-31-accounts

CHAIRMAN’s REPORT to ACCRINGTON SEA CADETS ANNUAL GENERAL MEETING 2020-2021 4[th] October 21

FOREWORD: Without doubt there have been three significant challenges facing Accrington Sea Cadets in the year 1 April 2020 to 31 March 2021, these challenges need very little introduction, they are Covid-19, buying & selling Enfield Wharf, and our move to new premises together with it’s refurbishment and required fund-raising – all happening at the same time.

  1. The first challenge presented to us was that of the Covid-19 pandemic, causing us and all units throughout the corps to close in the week following our presentation evening on 6[th] March. Having now closed the unit I believe that the general assumption was that it will be for a very short period and we could perhaps treat it as a welcome break, how wrong would we be as the consequences forced our closure until the end of the next 12 month period and beyond, a situation which was unimaginable just a short time before.

Did we rise to the challenge? Of course we did, I’m very proud to say that under the leadership of P.O.Williams our training continued on-line during the winter and poor weather times, and from time-to-time outdoor activities were possible at the sailing club. I’m certain that it’s not been easy to maintain the momentum required to take everything that we used to do practically and suddenly wrap it up into on-line sessions, but PO Williams and his staff did it. A very big thank you to our OiC and all of his staff for this monumental effort.

  1. The second challenge was what to do about the future of our headquarters and how it could be done within the pandemic restrictions. We signed to take over the remaining 52 year lease of our new premises on 5[th] March 2020, 11 days later our unit was forced to close, unbelievable timing ? As the weeks of lockdown and tiered regulations went by, I took the decision to continue as best we can and made the executive decision to continue with the practical side of the move as well as the paperwork requirements. Gradually over the next weeks and months, the process began, and all of our equipment was moved to the new premises. In the meantime the new challenge was to continue to apply for grant funding as quickly as we could, by my estimates we would need to have finances of around £150,000 to complete the whole project.

The layout was designed, the plans drawn-up, submitted and passed, so with great enthusiasm I felt that we should press-on regardless with the required building works as we tried to raise the funds. Lots of problems presented and overcame as the months went by, but once the momentum got going it was like a train going downhill, there remains much to do but I’m confident that we are getting there, and Covid-19 restrictions aside I predict that we should be able to open the building to cadets by late summer 2021 in a ‘mostly completed’ condition. At least that was the prediction, however with various unavoidable delays this still has not happened at the date of this AGM, but we are very close now.

  1. The third challenge which we faced was that if we simply left Enfield Wharf, we could be issued with dilapidation costs from our landlords Canal and River Trust as we exit, this could mount to many thousands of pounds to bring the building to an “acceptable standard” of structural integrity and internal finish, something which we would certainly wish to avoid. Fortune shined on us as we were approached by a potential buyer, we then worked hard to enable us to buy the building from CRT and simultaneously sell it on to our potential buyer at the same price. Once again many bumps in the road were experienced and overcome, but when complete would clear our UMT and it’s trustees of any liabilities for dilapidations.

  2. UMT membership has risen slightly this year for which I am very grateful, however in order for the UMT to function properly and allow delegation of some of the work and positions it is essential that we continue to expand our UMT membership. I am going to recommend that very soon we

approach other well-established like-minded groups such as Rotary and Lions etc, to see if they may have any of their members who would like to join us and transfer existing skills. It’s essential that we continue to grow and particularly to encourage younger people to join in with our management of our unit. At the time of this AGM the picture has again changed as we have taken on a further 5 enthusiastic members.

  1. My other major concern as in previous years is that rules from HQ are constantly growing making everyone’s ‘jobs’ much more difficult, with more to comply with in the same number of voluntary hours – there is a limit for what we can be expected to do at all positions and at all levels, but sadly I can only see this continuing to increase year-on-year, much of it I would consider to be a paperwork exercise with no other outcome for the unit except that of increased workload to senior volunteers.

  2. To conclude , it has been a very very difficult year for everyone involved at all levels, but we do very much look forward to a return to some form of normality and to welcoming back our cadets, and perhaps more of them as we now reside in a more populated area. Our very grateful thanks are expressed again to all of the adult staff members who have worked so hard in what must be the most difficult year on record for us.

Stephen Hutchinson Lt (SCC) RNR Ret’d, Unit Chairman

THE SEA CAOErs Form ANNUAL STATEMENT OF ACCOUI¥P FOR THE UNIT SCC A3 IR&P) RECEIFfs & PAYMENTS ACCOUNT for year ended 31 IAarch 2021 Apr.19 Copy to be y￿oaded onto Westmin5t8r Vdunteer & Business SupF•)rt Mana9er atAw Offic• to bo rtr)tifi¢d by 1 No¥ernter Unlt Namo: Fund4iam ACCRINGTON UNIT Charlty No". 521003 Irf not heid forir Unit's THIS YEAR LAST YEAR RV4EN ANNUAL FUNDIDIRECT - (restricledl OTHER GRANTS - lunrestricted} SCAVA (Sea Cadet VictLo11ing Allo￿ance) CADET CONTrIBUTIONS OTHER DONATIONS I LEGACIES FUNDFLAISING & SPECL4L EVENTS PROCEEDS £20,105.95 £38.470 00 £0.00 £3,404.50 £821.00 £0.00 £3,188.00 £100.00 £0.00 £3,420.98 £986.49 £6,968.22 OTHER COMP￿lT10N RECEIPTS COURSE FEES SUNDRY SALES RECEIPTS BANK DEPQSIT INTEREST PROPERTY RENTS {includes any 0￿8$1¢￿1 OTHER REVENUE RECEIPTS £0.00 £1,173 $0 £167.58 £40.65 £647.62 £0.00 £0.00 £2,173.49 £2,240.50 £78.27 £0.00 £0.00 TOTAL RErfENUE RECEIPTS £64.830.80 £19.133.96 NON41 ECEI PROCEEDS FROM SALES OF OTHER FIXED ASs￿s £0.00 £0.00 TOTAL NON41EVENUE RECEiprs £0.00 £0.00 eAttach that Fund's similar Account of Re￿Pts as pag8 AC1& and so t￿) TOTAL RECEIPTS * A + £64.830.80 £19,133.96 Reconclllatlon.". NETC GE FOR IN CASHIBANK BALANCE:. . REVENUE ITEMS {- A- D from page AC2) - NON-REVENUE ITEMS I= B- E from page AC2) COMBINED l-G+H} CASHIBANK BALANCE FROM LAST YEAR4ND ASH18ANK BALANCE AT THIS YEARND £40.570.48 £19,133.95 -£49.00 £o.tsJ £40,521.48 £19,133.95 £53,384.70 £71,664.16 £93.906.18 £53,384.70 2021 v1 AC1

THE SEA CADETS Fo ANNUAL STATEMENT OF ACCOVNf FOR THE UNIT SCCA3 (R&PI RECEIPTS & PAYMENTS ACCOUNT for ye•r •fftd•d 31 M•vch 2021 )r-19 Copy to be upload&J onto Westsninst•r aThl Volunt•8r & BLtsin8ss SuFP)rt Marwr at Area offi￿ to t notif￿ by 1 NovemLr Untt Name: Fund.namol ACCRINGTON UNIT Charfty No.. 521003 O (rf not heJ fctr Lkmfs pwpces}:. THIS YEAR LAST YEAR REVEN PAYMEKrs- DIRECT C TABLE AC FUNDRAISING & SPECW EVENTS COSTS comp￿lT￿ON COSTS FUEL & TRAVEL COSTS CATERING COSTS TRAINING COURSES COSTS ARTICLES PURCHASED FOR RESALE £478.95 £0.00 £0.00 £0.00 £1,11955 £0.00 £1,1 $6.92 £266.00 £0.00 £3.00 £1,464.74 £1,929.31 VERHEAD CO FOR: RENT I COUNCIL TAX HEAT, LIGHT & WATER TELEPHONE & BROADBAND OFFICE SUPPLIES, POSTAGE & PRIKllNG £480.00 £1.260 96 £292.10 £26.22 £480.00 £1,433.07 £351.41 £217.86 MAINTENANCE COS BUILDINGS & ESTATE BOATS VEHICLES OTHER MISC EQVIPMEI INSURANCE COSTS BANK IMfEREST & C￿ARGEs £18,580 06 £266.41 £0.00 £219.13 £1,132.94 £0.00 £25,548.$6 £575.36 £0.00 £235.13 £452.02 £0.00 VERNA E COSTS: FOR ACCOUNTSIAUDIT OR INDEPENDENT ELAMI￿ATION FOR OThER PROFESSIO￿AL FEES FOR LEGAL ADVICE (for ccThtithon or trustees) OTHER REVENUE COSTS TOTAL REVENUE PAYhlENTS £0.00 £384.00 £0.00 £20.00 £24,260 32 £0.00 £2.836.00 £0.00 £412.73 £37,362.21 N4IEVEN ASSETS £49.00 £51.20 TOTAL N014-REVENUE TOTAL PAYMENTS {wD+EI £49.00 £24.309.32 £51.20 £37 413.41 ¢AttOth tyt F￿j.S ￿mi￿rA￿A¥J￿0 Pa￿A*￿¥¥ pa9B ACZ4. ¥KI 50 Ut) ¥1 AC2

THE SEA CADErs Fo ANNUAL STATEMEpif OF ACCOUNf FOR THE UNIT SC¢A3 IR&PI RECEIPTS & PAYMENTS ACCOUNT for y•ar •nd•d 31 IAv¢h 2021 AF(.19 Unft Nam•: ACCRINGTON UNtr CharEty No.. 521CKJ3 Nam• of Fund THIS LAST YEAR In E&W: STATEMENT OF ASSErs & IEnglishWebh Vnts.. Trjo ?￿JaIl)￿l)MIS ty CAsH￿ANK BALANCEISI AT YWND {from ptye AC11 BANK DEPOSITS lrf¥nyl not irKludEd aboY¢ LOANS RECOVERABLE OTHER DEBTS Itotal reCoVerab￿- 8xcJd8 any"x¥uab) "STOCKS OF ITEMS FOR RESALE Itotsl costl INVESTMENTS (present Val￿ ofséoJrths &el INVESTMENTS Idrtto- bel)ngrKJ ts) a R•strtha FuThJ. THER FIXED ASSETS.. - LAND & BUILDINGS - BOATS - VEHICLES - COMPUTERS & OTHER EQUIPMENT or all th88e itefns lindwJir8 any gifts atests"maW ¥￿u0 gwnl stats their total LaLLwl 2 than as aboN LFABILrri LOANS REPAYABLE OTHER CREDITORS Itolal PaYab￿- exdude 8ny'ac£au8lsl CONTINGENT LJABILITIES lestwnated total arnounti £93,￿6.18 £53,384.70 Eseottlshl ACCOUNTS NOTES" Irf notwithin Annual Raportl FCY any Receipts & Payments Account I￿lUded in this Statement ofAccount thtr naturs and wrptrsg of &acJ) Fund aco)unted for aThJ the legal restn"ctions ¢)n Total nurnber aThJ arnount of any grants paid to Ill indiwduals and lill in$thuli¢ns. anatysed by type of Amount oftwstee remuner&on linc. to ¢c￿r￿d pers{￿S) paid and tha legal authorty fry tt Amount of any tnJ$tsg gwses Nmbursed and for I mory tfustees Amount and naturg of any Othertru8ttr￿8a¢1￿)n# (Induding wrth ￿nneCte<l persons, stsb"rrfJ the together wth any amount at the year-erhj Isay rf ounts Partlcular• Ary fvther infonnation th8t.rnay r88sonat wsf a readerf$ understsnding ('Showd8lails ￿ an extra atta¢S￿l Signed as authorised by the Un￿$ Man•Jement Crynmittee. Date Unit Treasu . Unit Chaimi8n Y1 AC3

Fty (R&PI _19 CEIP7S & PAYIIENTS ACCOUNT f¢rJ•r gndgd 31 Atsreh 2021 Un ACCRINGTON UNIT t￿r 521fYJ3 C&Jty. 5aT Unit Ma ora trLJSW ofthe Unrt at ¥n Dme In tho NM of8ny pew 15 rTh¥ tr firt8fKi￿ )wl a ￿Estee fcitho &wit￿.,. ITr K¢oftt•n¢•twlth th• toMtrb￿On •r•u lollm:. Unrf M0n6gWP￿t arJnuahyarth8 Ar)nu81 G￿LIA10￿j (AGAIJ. LIAir interestm lh• unrf. In Ih8wi 018 t￿P￿r{￿￿ 85 ¥c4swlv•cancy). 7he UAITh•¥• Th• LlnW• ¢h•riibkn purpJxl¥l • ••tovt in corNtrkn￿ ts:. Th• Urt￿ maln 4¢tMb•ts and a¢hknvwngnts In th8 fi•nchi1 y￿r￿•r•..- Publi¢ B•nqfft

THE SEA CADFrs ANNUAL STATEMEMT OF ACCOUIIP FOR THE UNIT SCC A3 IR&PI RECEivfs & PAYMENTS ACCOUNT fory0•r •nd8d 31 March 2021 runits In SthtsrKI." StaieniVs fcym J (nnt •wJ hs grNeffl¥J by RwWiws- SSI 200frt181 Apr-19 Copy to be Upload￿ I￿0 Westsninster and Voluntser & &J8irw8 SI￿ Manager 8tAr88 Offi¢x 10 t• nobfied by 1 Novemb•r Unlt Nam•: ACCRINGTON UNIT Charity No: 521003 Ro8erv•s Policy The charity trustees. FKdicy aims to maintain ￿reStrICted reser￿ at a18vel equallro lo mc4tths revenue payments in order to safeguard the Unil's ongoing acbvities from any unexpecled fluctuations in irKome Yearnd reserves amounted to monts. on that basis. IDelets Ihis sefjfon Ifnot a￿￿&blo} The Unrf holds and for firture projects to be c8nied outin as cumty tDelet8 t￿.$ seGlion unless tho Unithas a R8stricted FuTrl in d8 A restricted thjnd held for the purpose of was in deficit to the exient of and the steps being taken to rectify it are:_ During the finanual year the Unit r￿1Ved the follwng d¢)naled faaltheslseNices Inot.. English. Welsh or Nl Unitsl.'- The Unit andlor its trustees held the foll¢Ning assets for the ch8rrtyf￿s named below. whose charitable purposes are as $et out hereundef. Speaal arrdngements for the safe custooty of those assets and their segregation from the Unit's own assets are as set ¢yJt below IEnglish. Welsh & Nl Unib.. Delete this seciion rf not applvble.. Unrt8 In Scotland". This disclosure 1$ not Tnandatoryl'.- Date signed as authorised by the Univs M8n8gem8nt Commfttee.. Untt Treasurer Unit Chairman Independenl Examiner

CHARITY (OMMISSION FOR ENGLANO AND WALES Independent examiner's report on the accounts Section A Independent Examiners Report Report to the trustees1 members of AccQiplGTi ft4 NJEA Cfw-. Charfty no (if any) On accounts for the y8ar ended .61 oaMI AL1 trp ALf Set out on pages I report to the trustees on my examination of the accounts of the above charty ("the Trust") for the year ended3 j 03 llCII. Responslbllltles and basis of report As the charity's trustees, 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 carying out my examination, I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act. Independent examinerfs statement I have completed my examination. I confinn that no material matters have come to my attention in connection with the examination (4th0￿1 dis61￿") which gives me cause to believe that in, any material respect: the accounting records Y￿re not kept in accordance with section 130 of the Charrties Act; or the accounts did not accord with the accounting records., or the accounts did nol comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a Irue and fairf view which is not a matter considered as part of an independent examination. I have no concems and have come across no other matters in ¢onnection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached. "p se del te the words in the braGkets if Ihey do not apply. Signed: Date: S.11. IgLI Name: Ill C 14¥+rtJ) tLagi/4 5) Relevant professional quallfication(s) or body IER Oct 2018

(rfany): Address: M,l4(JmAHo￿ Lt45 0￿4￿￿0K-9 A￿0 la* KiNf4SLJA x I4jLrt￿ Icitrja 5LJ4V £ u (Lil i 8 Section B Disclosure Only complete if the examiner needs to highlight material matters of concem (see CC32. Independent examination of Gharty accounts.. directions and guidance for examiners). Give here brief deLiils of any it•ms that thè examiner wishes to disclose. rNoNe IER Oct 2018