## **CHAIRMAN’s REPORT** _**to**_ **ACCRINGTON SEA CADETS ANNUAL GENERAL MEETING 2021-2022 9[th] October 23** 

**FOREWORD:** With the Covid pandemic issues eased we have been able to get back to some form of normality which has also allowed us to settle properly into our new premises and feel like we are once again operating in a Sea Cadet unit rather than a building site. 

**COMMAND:** Our Commanding Officer Petty Officer Laura King found that she was unable to continue as our CO with all of the demands of her working and family life as well.  Regrettably Laura finished on 31[st] December 2022 as our C.O. Laura was thanked for her excellent service, even though it was much shorter than expected by all concerned, and so began another new chapter.  Happily PO James Smith-Porter stepped up to take the position of OiC immediately following on from PO King and now begins to make his mark on running the unit, I’m sure that we all wish James well in what can be a very difficult position with all of todays regulations and requirements. 

**PREMISES:** Our unit Headquarters building, which has been an enormous undertaking, is now around  95%  complete and  feeling  much more like  home to everyone.  The are  still some unfinished areas to be completed and some further plans to develop, these will be investigated and furthered during the next coming year. 

We now have all of the finance needed to carry out and accomplish these projects as we continue to have our income in a very healthy position. 

**UMT MEMBERSHIP** This has continued to be difficult as people, though well intentioned, have joined us and left us again in very quick succession due to having very busy lives in other groups which they were connected to, we have however managed to retain 2 new members and so we continue our search. 

**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. 

**To conclude** , To repeat last year’s paragraph, it has once again been a very difficult year for everyone involved at all levels, but some of those pressures are now beginning to ease thanks to the dedication of existing staff and committee members.  My sincerest thanks to all staff and UMT members who have been able to support the unit through another difficult year, though not as difficult as last, the results are now beginning to show a return with the green shoots of recovery. The year 22-23 brought us back to becoming a Burgee unit once again, receiving a cup for “The best managed unit in the North West Area”, a trophy for “The Highest Adult Recruitment” in the North West Area, and scored the highest points awarded to any unit in the North Eat District.  We also  finished  with  a  great  bank  balance  and  increasing  recruitment,  so  we  must  be  doing something right – well done to everyone. 


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



THE SEA CADErs
Fo
ANNUAL STATEMENT OF ACCOUNP FOR THE UNIT
RECEIPTS & PAYMENTS ACCOUNT for y••r •ndod 31 M•rch 2023
SCCA3 IWI
Apr-19
Copy to be uplo&Jed onto Wesbnifister Vdunteer & Bu%rw¥ Supw1 Manager atArg8 Olk8 to ￿ notified by 1 November
Unlt
Name:
F¥Jnd-namg1
ACCRINGTON UNIT
Charfty No..
S21003
urpo8• {rf not forth& Fwc6esl:.
THIS
YEAR
LAST
YEAR
REVENUE RE
ANNUAL FUNDIDIRECT GRANT - Irestridè*
OTHER GFiANTS . lunresthcted}
SCAVA (Sea Cadet Victualling Allo%YJnce)
CADET CONTRIBUTIONS
OTHER DONATIONS I LEGACIES
FUNDRAISING & SPECIAL EVENTS PROCEEDS
£5,100.00
£0.00
£0.00
£6,968.50
£689.98
£7,766.19
£69,374.00
£19,057.00
£0.00
£5,448.20
£588.54
£366.97
OTHERC
TIE
COMPETITION RECEIPTS
COURSE FEES
SUNDRY SALES RECEIPTS
BANK DEPOSIT l￿fEREST
PROPERTY RENTS lin¢lLKles any oC£as1￿31
OTHER REVENUE RECEIPTS
£20.00
£739.04
£1,651.38
£0.00
£12,665.00
£0.00
£0.00
£61.00
£894.50
£78.29
£0.00
£0.00
TOTAL REVENUE RECEIPTS
£35.600.09
£96.868.50
NON-REVE
E RECEIPTS-
PROCEEDS FROM SALES OF OTHER FIXED ASs￿s
£0.00
£0.00
TOTAL NQN-REVENUE RECEIPTS
£0.00
£0.00
¢Attach that Furtsj's similar Accounl of Receipts as pag8 AC1A, arKI so onl
TOTAL RECEIM - A +
£35.800.09
£95.868.$0
Reconclllatlon...
NET CHANGE FOR YEAR IN CASHIBANK BALANCE:.
- REVENUE ￿EMs {- A- D from pwje AC2)
- NON-REVENUE ITEMS (s B- E from poge AC2)
- COMBINED l-G+H)
CASH18ANK BALANCE FROM LAST YEAR£ND
£8,308.81 £95,868.50
-£397 35
£0.00
£7,911.46 £95,868.50
£30,232.96
£33.1￿42
£93.906.18
CASHIBANK BALANCE AT THIS YEAR*ND
2023
£30.232.96
AC1

THE SEA CADETS
Form
ANNUAL STATEMENT OF ACGOUNP FOR THE UNIT
RECEipfs & PAYMENTS AccouKf for yoar •nd•d 31 March 2023
SCC A3 (R&PI
Ay_19
Copy to be uploaded onto Westrninster and Volunteer & BusirEss SyFwrt Manager at Area offi￿ to nob.fied by 1 Novembèr
Unlt
Narnfr:
Fund-namelpu
521003
ACCRINGTON UNIT
Charlty No..
lit no¢ he￿ forlhe Unit's purposesl'.-
THIS
YEAR
LAST
YEAR
Notes
VEN
E PAYMENT
DIRECT CHARITABLE Acnviri cos
FUNDRAISING & SPECIAL EVENTS COSTS
COMPETITION COSTS
FUEL & TRAVEL COSTS
CATERING COSTS
TRAINING COURSES COSTS
ARTICLES PURCHASED FOR RESALE
£3,201.12
£60.00
£321.74
£324.85
£459.80
£1,000.85
£137.00
£0.00
£0.00
£8.00
£0.00
£329.70
VERHEAD C
RENTI COUNCIL TAX
HUT, LIGHT & WATER
TELEPHONE & BROA08AND
OFFICE SUPPLIES, POSTAGE & PRINTING
£0.00
£1,792.31
£726.99
£563.62
£1,372.78
£574.21
£55.24
MAINTENANCE COSTS FOR"
ISI,ioI
BUILDINGS & ESTATE
BOATS
VEHICLES
OTHER MISC EQUIPMENT
INSURANCE COSTS
BANK INTEREST & CHARGES
£13.913.98
£799.05
£0.00
£685.40
£1.13802
£0.00
£1,257.73
£0.00
£44.11
£801.97
£0.00
CHARITY GOVERNANCE C
TS:
FOR ACCOUNTh8IAUDIT OR INDEPENOENT EXAMINAnON
FOR OTHER PROFESSIONAL FEES
FOR LEGAL ADVICE (for constrtubon or tnJstees)
OTHER REVENUE COSTS
TOTAL REVENUE PAYMENTS
£1.200.00
£1,003.75
£0.00
£100.00
£27,291.28
£0.00
£2,715.00
£35.00
£120.00
NON41ErfENUE PAYME
ASSETS
£397.35
£57.23
TOTAL NON-REVENUE
TOTAL PAYMENTS l=LhE)
£397.35
£27.688.63
£57.23
¢Attath tho1 F￿￿￿.$ ofpayn*nts as p*yeAW 80 t￿}
v1
AC2

TrIE SEA CADETS
ANNUAL STATEMEHf OF ACCOUMP FOR THE UNIT
RECEIPTS & PAYMENTS ACCOUNT f0rytar•nd￿ 31 March 2023
S¢¢A3 (R&PI
Ary.19
Ccpyto te uploaded Mto Westminster aTrJ Vohjntew & Maroger atArea of￿ to be ntiti￿ by 1 November
Un
Nam•'.
521CMJ3
ACCRINGTON UNIT
Charity No..
Name
of Fund
This
LAST
In E&W: STATEMENT OF ASSETS &
IEngllsNWelBh Unit8.' ￿Va￿￿￿e￿Ie0$ts or
CASHIBANK BALANCEISI AT y￿-ENo lfrom page AC11
BANK DEPOSITS lif any) not ir￿lUded at
LOANS RECOVEFIABLE
OTHER DEBTS Itotsl r￿0V9rab￿- èxdL¥Je any"acc¥u*l
'STOCKS OF ITEMS FOR RESALE Itoial cost)
INVESTMENTS Ipresent value of s￿r￿8$ &cl
INVESTMENTS Idrtto- belOngK￿ to a R•strba*J FurKI. rf
THER FIXED ASS
- LAND & BUILDINGS
- BOATS
-VEHICLES
- COMPUTERS & OTHER EQUIPMENT
"For all these iteft￿ lindyding any grfls at •stB)iated v¥lugkn gN•nl sta
their btsl he￿ than 85 atrrt¥ve
LIABILITIES
LOANS REPAYABLE
OTHER CREDITORS Itotsl paYab￿- •xdude any'acuua15l
CONTINGENT LWILITIES lestimabj totAI amount)
£38,144 42 £30,232.96
t8cottlsh] ACCOUNTS NOTES" Irf Th)t wthir¥ knnual Rep￿}
For any ￿se rate Recespts & Pa￿Trents A¢￿U￿t indude
in this Statement OfA￿snt.. the nature and purpose of
each Fund ac£ounted for and the legal wtNctions on ils
Totsl nurnber and amounl of any g￿nts paid to lil
individuals and liil in$tituDons, anatyséd by type of acknvity
Amount oftrusl¢e remuneratyon lin¢. to conneLxed
personsl paid and the legal a￿rity for li
Amount of any trustse expenses reimbursed and for hc
many trustees
Amount and nature of any other trustee-transacbons
linduding wth connected persons, stsb'ng the
tO9èth•rwith any amount owng * the yearénd (say rf
Amounts
Parts¢ular¥
￿9).
sf ntq*
Iwsay
Any further information that'may reasonabty asgsf a
readerfs under8tsnding
('SlJow details on an extrn attad
Signed as authoris&J by the Unrfs
..Unlt Treasurer
. Unrf( Chaimian
AC3

FL¢m
AECEIPTS & PAYMÈPITS ACCOLWlorye•rwthd 31 Marth >)23
Un
N•m•:
eh•rity
521CQ3
AccRI￿ToN UN
ROSEHILL
BURMLEY
nty.
8B11 21X ""
Unit M8
ItrfahN
N*rn8 018
oythe Unrt al an
trne In the finawi81
olany partl￿ Ykntr bs n¢￿ lorwE5. in ywl a knIJsts8 triha Ltharit￿. 1.0.. ￿dIrE or In r￿858￿5
ofony aASOts ¥*kYyr¥ to tr* ut￿ tsJ*tyI￿. rkxnirb2es &cl [￿.. Sts*Atrf'.
•nd
whom
In •¢¢or¢•nc4 wlth Un￿* ￿m￿lu160n, af• •• fdlm...
Unil mans9sff￿t Tw IUAID ebtt6dannua¥ykt theAnrtuWG0ft)￿Ats8&rfj (AGM) UMT
R7tsrn4tm vnrf. In th8 ofa V8L*fjryWT>ngdu<wY4 b)8 es a Casualk￿ncY). Thg UMTh&bf
th*p)w(o •po￿t￿lI+*I UAff Umfrngrnbwapworfed ￿serve untsltha date oft￿n&¥lAGm.
theKQSt
Th• Unrf• t￿ri1*bI• puwposelsl M sel out In ns conJflbJtkn hb:.
The UnfY¥ maln •¢tfvlts• and a¢hitrderf•nts in tr* fitKtyncs11 y•aT1￿￿..
Public B•nefft
¥*AI**

THE SEA CADETS
Fom
ANNUAL STATEMENT OF ACCOUNf FOR THE UNIT
RECEIPTS & PAYMENT8 ACCOUNT for y•ar •ndgd 31 Mar¢h 2023
rur4ts kn soj18￿1". Thi4 Statemenfs frym aTrJ ctnterrt are go¥em>J by Regulabon8-SSI 20C612181
Copy to b8 uploaded onto Westminster a￿1 Vdurrteer & Busin￿ Support Manager at Area offio to be noffied by 1 Novembèr
Unit
Namo:
SCC A3 IR&P)
Apr-19
521003
ACCRINGTON UNIT
Charity No..
Rosop49s Policy
The charity trustees. policy wms lo maintain unrestricled reser¥es at a level equating tt>
month$
revenue payments in order to safeguard the Unit's ongoing actIv￿eS from any unexF*Cted fluctuations in income
Year*nd reserves amounted to
. months, on that basis.
tDelet¢ this section if notappliG8bl&]
The Unit
holds
in dewlated fvndg rnpffjsenling fixed assets n8eded forfirturn aGllvlJgs
and
for iirture p￿ie¢l$ to bo can7ed out in
¥s cungnyy
[Da￿ta this socbon unless the Unrfha$ 8 Restricted Fund fityt]
A reslricte(l fijnd held for ts purrhjse of
was in deficit lo the extent of
and the steps being taken to re• it aTe'.-
During the financial year the Unrt receNed the follo￿ng dtjnaled faciliti"eslservice$ Inot.. English. Welsh or Nl Unitsl'.-
The Unit antjlor Its trustees held the following assets fortht d)aiityfres named below, whose charitabl? purpo$8s are
as set out hereunder. Special arrangements for the safe wstooy of those assets and their Segregation ftom the Unit's
¢)wn a$$ets are as set out below IErvJlish. Welsh & Nl Uniis.. Delete this secbcffl rf nol applicable., Units in Scotland:
This disdosure is not mandatoryl:_
Oate signed as authorised by the Unit's Management Commitlee..
Unit Tre88urer
Independent Examinor
Not•.. The statutory orindyndgnl •x8nwnakn r9POrt￿ ￿.$ StstemBntofAcrLwnt mustbe attach8d.
AS

CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's report on the
accounts
Section A
Independent Examinevs Report
Report to the trustees
On accounts for the year
ended
Charity no
(If any)
31
<iioJl
Set out on pag•s
I report to the trustees on my examination of the accounts of Ihe above
charity (Ihe Trust"} for the year ended ¥1 0 3 LoE3.
Responsibilitios and
basis of report
As the charivs trustees. you are responsible for the preparation of the
accounts in accordance wtih the requirements of the Charities Act 2011
(Ihe Acr).
I reFQrt in resped of my examination of the Trust's arxounts 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
examiner's statement
appITre￿￿. Delete [ l rfnot applicable.
I have completed my examination. I confim thal no material matters have
Come to my attention in connection with the examination (other than that
disclosed below") which gives me cause to believe that in, any material
respect..
the accountiffj records were not kept in accordan￿ with section 130
of the Charities Act., or
the accounts did not accord with the accounting records,. or
the accounts did not comply with the applicable requirements
conceming the form and content of accounts sel out in the Charities
(Accounts and Reports) Regulations 2008 other than any requirgment
that the accounts give a 'true aiid fair. view which is not a matter
considered as part of an independent examination.
I have no concems and have come arxoss no other matters in connection
with the examination to which attention should be drawn in this report in
order to enable a proper understanding of the accounts to be reach8d.
Please del te the words in the brackets rf they do not 8ppty.
8 &'-CrtrLW 26L
Signed:
Date:
Name:
R•lgvant prof•$$ional
qualification(s) or body
IER
Oct 2018

(rf any):
Address:
FL4.Q L&
-J4SLJ
Section B
Disclosure
Only complele rf the examiner needs to highlight malerial matters of concern
(see CC32. Independent examination of charty accounts.. directions and
guidance for examiners).
Glve here brief details of
any items that the
examiner wishe$ to
dlsclose.
OME
IER
Oct 2018

THE SEA CADErs
Fo
ANNUAL STATEMENT OF ACCOUNP FOR THE UNIT
RECEIPTS & PAYMENTS ACCOUNT for y••r •ndod 31 M•rch 2023
SCCA3 IWI
Apr-19
Copy to be uplo&Jed onto Wesbnifister Vdunteer & Bu%rw¥ Supw1 Manager atArg8 Olk8 to ￿ notified by 1 November
Unlt
Name:
F¥Jnd-namg1
ACCRINGTON UNIT
Charfty No..
S21003
urpo8• {rf not forth& Fwc6esl:.
THIS
YEAR
LAST
YEAR
REVENUE RE
ANNUAL FUNDIDIRECT GRANT - Irestridè*
OTHER GFiANTS . lunresthcted}
SCAVA (Sea Cadet Victualling Allo%YJnce)
CADET CONTRIBUTIONS
OTHER DONATIONS I LEGACIES
FUNDRAISING & SPECIAL EVENTS PROCEEDS
£5,100.00
£0.00
£0.00
£6,968.50
£689.98
£7,766.19
£69,374.00
£19,057.00
£0.00
£5,448.20
£588.54
£366.97
OTHERC
TIE
COMPETITION RECEIPTS
COURSE FEES
SUNDRY SALES RECEIPTS
BANK DEPOSIT l￿fEREST
PROPERTY RENTS lin¢lLKles any oC£as1￿31
OTHER REVENUE RECEIPTS
£20.00
£739.04
£1,651.38
£0.00
£12,665.00
£0.00
£0.00
£61.00
£894.50
£78.29
£0.00
£0.00
TOTAL REVENUE RECEIPTS
£35.600.09
£96.868.50
NON-REVE
E RECEIPTS-
PROCEEDS FROM SALES OF OTHER FIXED ASs￿s
£0.00
£0.00
TOTAL NQN-REVENUE RECEIPTS
£0.00
£0.00
¢Attach that Furtsj's similar Accounl of Receipts as pag8 AC1A, arKI so onl
TOTAL RECEIM - A +
£35.800.09
£95.868.$0
Reconclllatlon...
NET CHANGE FOR YEAR IN CASHIBANK BALANCE:.
- REVENUE ￿EMs {- A- D from pwje AC2)
- NON-REVENUE ITEMS (s B- E from poge AC2)
- COMBINED l-G+H)
CASH18ANK BALANCE FROM LAST YEAR£ND
£8,308.81 £95,868.50
-£397 35
£0.00
£7,911.46 £95,868.50
£30,232.96
£33.1￿42
£93.906.18
CASHIBANK BALANCE AT THIS YEAR*ND
2023
£30.232.96
AC1

THE SEA CADETS
Form
ANNUAL STATEMENT OF ACGOUNP FOR THE UNIT
RECEipfs & PAYMENTS AccouKf for yoar •nd•d 31 March 2023
SCC A3 (R&PI
Ay_19
Copy to be uploaded onto Westrninster and Volunteer & BusirEss SyFwrt Manager at Area offi￿ to nob.fied by 1 Novembèr
Unlt
Narnfr:
Fund-namelpu
521003
ACCRINGTON UNIT
Charlty No..
lit no¢ he￿ forlhe Unit's purposesl'.-
THIS
YEAR
LAST
YEAR
Notes
VEN
E PAYMENT
DIRECT CHARITABLE Acnviri cos
FUNDRAISING & SPECIAL EVENTS COSTS
COMPETITION COSTS
FUEL & TRAVEL COSTS
CATERING COSTS
TRAINING COURSES COSTS
ARTICLES PURCHASED FOR RESALE
£3,201.12
£60.00
£321.74
£324.85
£459.80
£1,000.85
£137.00
£0.00
£0.00
£8.00
£0.00
£329.70
VERHEAD C
RENTI COUNCIL TAX
HUT, LIGHT & WATER
TELEPHONE & BROA08AND
OFFICE SUPPLIES, POSTAGE & PRINTING
£0.00
£1,792.31
£726.99
£563.62
£1,372.78
£574.21
£55.24
MAINTENANCE COSTS FOR"
ISI,ioI
BUILDINGS & ESTATE
BOATS
VEHICLES
OTHER MISC EQUIPMENT
INSURANCE COSTS
BANK INTEREST & CHARGES
£13.913.98
£799.05
£0.00
£685.40
£1.13802
£0.00
£1,257.73
£0.00
£44.11
£801.97
£0.00
CHARITY GOVERNANCE C
TS:
FOR ACCOUNTh8IAUDIT OR INDEPENOENT EXAMINAnON
FOR OTHER PROFESSIONAL FEES
FOR LEGAL ADVICE (for constrtubon or tnJstees)
OTHER REVENUE COSTS
TOTAL REVENUE PAYMENTS
£1.200.00
£1,003.75
£0.00
£100.00
£27,291.28
£0.00
£2,715.00
£35.00
£120.00
NON41ErfENUE PAYME
ASSETS
£397.35
£57.23
TOTAL NON-REVENUE
TOTAL PAYMENTS l=LhE)
£397.35
£27.688.63
£57.23
¢Attath tho1 F￿￿￿.$ ofpayn*nts as p*yeAW 80 t￿}
v1
AC2

TrIE SEA CADETS
ANNUAL STATEMEHf OF ACCOUMP FOR THE UNIT
RECEIPTS & PAYMENTS ACCOUNT f0rytar•nd￿ 31 March 2023
S¢¢A3 (R&PI
Ary.19
Ccpyto te uploaded Mto Westminster aTrJ Vohjntew & Maroger atArea of￿ to be ntiti￿ by 1 November
Un
Nam•'.
521CMJ3
ACCRINGTON UNIT
Charity No..
Name
of Fund
This
LAST
In E&W: STATEMENT OF ASSETS &
IEngllsNWelBh Unit8.' ￿Va￿￿￿e￿Ie0$ts or
CASHIBANK BALANCEISI AT y￿-ENo lfrom page AC11
BANK DEPOSITS lif any) not ir￿lUded at
LOANS RECOVEFIABLE
OTHER DEBTS Itotsl r￿0V9rab￿- èxdL¥Je any"acc¥u*l
'STOCKS OF ITEMS FOR RESALE Itoial cost)
INVESTMENTS Ipresent value of s￿r￿8$ &cl
INVESTMENTS Idrtto- belOngK￿ to a R•strba*J FurKI. rf
THER FIXED ASS
- LAND & BUILDINGS
- BOATS
-VEHICLES
- COMPUTERS & OTHER EQUIPMENT
"For all these iteft￿ lindyding any grfls at •stB)iated v¥lugkn gN•nl sta
their btsl he￿ than 85 atrrt¥ve
LIABILITIES
LOANS REPAYABLE
OTHER CREDITORS Itotsl paYab￿- •xdude any'acuua15l
CONTINGENT LWILITIES lestimabj totAI amount)
£38,144 42 £30,232.96
t8cottlsh] ACCOUNTS NOTES" Irf Th)t wthir¥ knnual Rep￿}
For any ￿se rate Recespts & Pa￿Trents A¢￿U￿t indude
in this Statement OfA￿snt.. the nature and purpose of
each Fund ac£ounted for and the legal wtNctions on ils
Totsl nurnber and amounl of any g￿nts paid to lil
individuals and liil in$tituDons, anatyséd by type of acknvity
Amount oftrusl¢e remuneratyon lin¢. to conneLxed
personsl paid and the legal a￿rity for li
Amount of any trustse expenses reimbursed and for hc
many trustees
Amount and nature of any other trustee-transacbons
linduding wth connected persons, stsb'ng the
tO9èth•rwith any amount owng * the yearénd (say rf
Amounts
Parts¢ular¥
￿9).
sf ntq*
Iwsay
Any further information that'may reasonabty asgsf a
readerfs under8tsnding
('SlJow details on an extrn attad
Signed as authoris&J by the Unrfs
..Unlt Treasurer
. Unrf( Chaimian
AC3

FL¢m
AECEIPTS & PAYMÈPITS ACCOLWlorye•rwthd 31 Marth >)23
Un
N•m•:
eh•rity
521CQ3
AccRI￿ToN UN
ROSEHILL
BURMLEY
nty.
8B11 21X ""
Unit M8
ItrfahN
N*rn8 018
oythe Unrt al an
trne In the finawi81
olany partl￿ Ykntr bs n¢￿ lorwE5. in ywl a knIJsts8 triha Ltharit￿. 1.0.. ￿dIrE or In r￿858￿5
ofony aASOts ¥*kYyr¥ to tr* ut￿ tsJ*tyI￿. rkxnirb2es &cl [￿.. Sts*Atrf'.
•nd
whom
In •¢¢or¢•nc4 wlth Un￿* ￿m￿lu160n, af• •• fdlm...
Unil mans9sff￿t Tw IUAID ebtt6dannua¥ykt theAnrtuWG0ft)￿Ats8&rfj (AGM) UMT
R7tsrn4tm vnrf. In th8 ofa V8L*fjryWT>ngdu<wY4 b)8 es a Casualk￿ncY). Thg UMTh&bf
th*p)w(o •po￿t￿lI+*I UAff Umfrngrnbwapworfed ￿serve untsltha date oft￿n&¥lAGm.
theKQSt
Th• Unrf• t￿ri1*bI• puwposelsl M sel out In ns conJflbJtkn hb:.
The UnfY¥ maln •¢tfvlts• and a¢hitrderf•nts in tr* fitKtyncs11 y•aT1￿￿..
Public B•nefft
¥*AI**

THE SEA CADETS
Fom
ANNUAL STATEMENT OF ACCOUNf FOR THE UNIT
RECEIPTS & PAYMENT8 ACCOUNT for y•ar •ndgd 31 Mar¢h 2023
rur4ts kn soj18￿1". Thi4 Statemenfs frym aTrJ ctnterrt are go¥em>J by Regulabon8-SSI 20C612181
Copy to b8 uploaded onto Westminster a￿1 Vdurrteer & Busin￿ Support Manager at Area offio to be noffied by 1 Novembèr
Unit
Namo:
SCC A3 IR&P)
Apr-19
521003
ACCRINGTON UNIT
Charity No..
Rosop49s Policy
The charity trustees. policy wms lo maintain unrestricled reser¥es at a level equating tt>
month$
revenue payments in order to safeguard the Unit's ongoing actIv￿eS from any unexF*Cted fluctuations in income
Year*nd reserves amounted to
. months, on that basis.
tDelet¢ this section if notappliG8bl&]
The Unit
holds
in dewlated fvndg rnpffjsenling fixed assets n8eded forfirturn aGllvlJgs
and
for iirture p￿ie¢l$ to bo can7ed out in
¥s cungnyy
[Da￿ta this socbon unless the Unrfha$ 8 Restricted Fund fityt]
A reslricte(l fijnd held for ts purrhjse of
was in deficit lo the extent of
and the steps being taken to re• it aTe'.-
During the financial year the Unrt receNed the follo￿ng dtjnaled faciliti"eslservice$ Inot.. English. Welsh or Nl Unitsl'.-
The Unit antjlor Its trustees held the following assets fortht d)aiityfres named below, whose charitabl? purpo$8s are
as set out hereunder. Special arrangements for the safe wstooy of those assets and their Segregation ftom the Unit's
¢)wn a$$ets are as set out below IErvJlish. Welsh & Nl Uniis.. Delete this secbcffl rf nol applicable., Units in Scotland:
This disdosure is not mandatoryl:_
Oate signed as authorised by the Unit's Management Commitlee..
Unit Tre88urer
Independent Examinor
Not•.. The statutory orindyndgnl •x8nwnakn r9POrt￿ ￿.$ StstemBntofAcrLwnt mustbe attach8d.
AS

CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's report on the
accounts
Section A
Independent Examinevs Report
Report to the trustees
On accounts for the year
ended
Charity no
(If any)
31
<iioJl
Set out on pag•s
I report to the trustees on my examination of the accounts of Ihe above
charity (Ihe Trust"} for the year ended ¥1 0 3 LoE3.
Responsibilitios and
basis of report
As the charivs trustees. you are responsible for the preparation of the
accounts in accordance wtih the requirements of the Charities Act 2011
(Ihe Acr).
I reFQrt in resped of my examination of the Trust's arxounts 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
examiner's statement
appITre￿￿. Delete [ l rfnot applicable.
I have completed my examination. I confim thal no material matters have
Come to my attention in connection with the examination (other than that
disclosed below") which gives me cause to believe that in, any material
respect..
the accountiffj records were not kept in accordan￿ with section 130
of the Charities Act., or
the accounts did not accord with the accounting records,. or
the accounts did not comply with the applicable requirements
conceming the form and content of accounts sel out in the Charities
(Accounts and Reports) Regulations 2008 other than any requirgment
that the accounts give a 'true aiid fair. view which is not a matter
considered as part of an independent examination.
I have no concems and have come arxoss no other matters in connection
with the examination to which attention should be drawn in this report in
order to enable a proper understanding of the accounts to be reach8d.
Please del te the words in the brackets rf they do not 8ppty.
8 &'-CrtrLW 26L
Signed:
Date:
Name:
R•lgvant prof•$$ional
qualification(s) or body
IER
Oct 2018

(rf any):
Address:
FL4.Q L&
-J4SLJ
Section B
Disclosure
Only complele rf the examiner needs to highlight malerial matters of concern
(see CC32. Independent examination of charty accounts.. directions and
guidance for examiners).
Glve here brief details of
any items that the
examiner wishe$ to
dlsclose.
OME
IER
Oct 2018