TS TIGER Leicester Sea Cadets AGM minutes 2024/2025
Date: 13[th] October 2025
Meeting start: 1910hrs
Present: Angela Markham, Richard Sleath, Paul Race, Sam Clayton, Aaron Carter Apologies: Suzanne Millward, Vimal Naker, Elizabeth Hadfield, Adam Hadfield Minutes from last AGM: Nominated Angela Markham. Seconded Richard Sleath.
Chairman statement:
Overview
The past year was largely successful with Cadet numbers looking positive, especially in the Marine section, and a positive vibe around the unit. We are fortunate to have a good core of staff, albeit some more senior staff to bring balance to the staffing pool would help. We most certainly need more active UMT members, and some existing members have indicated they would like to step down. As a unit we continue to rely far too much on our CO – who we are very lucky to have. The Unit building is in good condition, and we continue to make repairs as needed, and upgrades as funds allow. We have purchased a new boat, a slightly newer minibus and other equipment thanks to grants and fundraising. All in all, I personally feel that there is a positive air in the unit, albeit it all falls on too few shoulders – something we will aim to address going forward, especially at the Unit Awards Night.
Fundraising
The unit continues to do quite well at raising funds (outside subscriptions and hall hire) and again this is in the most part down to our CO. We have received funds for electrical upgrades, major boat repairs, instruments, camping equipment and towards trips. The unit also continues to raise funds via traditional methods of bag packs, attending community fairs etc.
UMT
The UMT has two main limits at present – time & UMT members – that said, apart from the recent holiday period, we have managed to meet every 6 weeks. Some members have indicated they want to step down as their children are no longer cadets. We do have some parents who help but don’t want the commitment of the UMT. We are planning a recruitment drive via both email & social media, and when we have our Unit Night where most parents are in attendance. Spreading the load and getting more people involved is a key mission going forward.
Staf & Cadets
We have solid pool of staff, which is very nice given the size of the unit. The staff are on the younger / junior side and over the next year that will improve as they gain more experience. That said a few more senior staff to bring balance would be good.
On the cadet side, we launched a project for the Marine side called Project 15 by 7. The goal was to have 15 cadets by July. The knock-on effect from this program was we gained more cadets across the whole unit – which is very pleasing.
Finances
The finances are in a good shape. With the ongoing fundraising activities and hall hires we have a good, income stream, with reserves in place covering almost a year’s expenses.
At the year end, we again struggled to pull together the accounts utilising the Sea Cadets spreadsheet, therefore we took the decision to move to Sage online accounting which was one of our goals from the previous year and entered all last year's transactions. This has given us a far easier method to complete our accounts; it is now very simple to get monthly statements, build forecast cashflows and complete our year-end accounts.
Unit Building
The building is in reasonable condition, and we continue with ongoing maintenance. During the year we had to replace the main water boiler and we have plans to upgrade our electrical system, whereby we have received some funding and started to get quotes. The other main expense on the horizon is the heating system, which whilst legal, takes a lot of maintenance. Other items to note include getting the deck showers upgraded and the Hardy block in good shape.
Plans remain in place for future expansion; however, it would require significant funding which we are not able to consider right now.
Summary
TS Tiger has had another successful year; we continue to maintain and upgrade the facilities when possible. We will look to expand the UMT Team and get wider support for the unit to push further forward, reduce the reliance on Sam and other key members.
CO report:
The period April 2024 to March 2025 was a successful one for Leicester Unit with many courses, qualifications and events which were well attended by the unit. It saw a change from Leicestershire District to Central District and the introduction of the RN PCS uniform.
We hosted a selection of first aid courses for adults and cadets, and unit weekends with specialisation training and recreational activities, including a campcraft course. We hosted Area courses for paddle sport and District courses for first aid, catering, seamanship, junior young leaders, STEM days and junior Earthshot attended by a good amount of our own cadets. Almost all the cadets were awarded 2 specialisations and a waterborne qualification during this period, with lots achieving paddle and rowing awards. We also gained the unit’s first PT qualifications for a very long time. Our pool kayaking sessions continued throughout the winter months for cadets to gain confidence and improve their skills. We took trips to IWM Duxford, Rutland Aqua Park, the Climbing Tower, Boost and the KRIII visitor centre.
Our CFAVs have been working on core modules and instructor courses to varying degrees of success. We had a CPO promotion and a Lord Lieutenant Certificate. Many staff completed the Level 2 Mental Health First Aid course. Our cadets also have worked on promotion boards, and we boasted 1 POC and 2 LCs.
We engaged with the community by assisting at various water stations, attending the 80[th] anniversary D-Day service, running a BBQ for the GCR, providing the rescue boat cover at the riverside festival and helping with marshalling at the GCR bonfire night. We also took part in the festival of remembrance at De Montfort Hall. We ran a CPR-a-thon to raise money for the unit and the JHMT after their grant for training defibrillators. The unit took part in the Birstall Remembrance parade, the District and Leicester Armed Forces Day parade and the District Trafalgar Parade. Some of our cadets represented Eastern Area at the National Trafalgar parade in London.
Approximately 20 cadets completed Duke of Edinburgh expeditions during this time and made excellent progress developing their skills on and off the water. We had 8 cadets go on an offshore voyage and almost half the unit attended a residential activity whether it be RMC Easter camp, RMC Summer camp, Eastern Area Summer, or the shared Thrapston weekend with Market Harborough unit. 3 cadets also achieved the cadet drill instructor qualification – another first for Leicester.
Our cadets have enjoyed partaking in competitions at District and Area level for football, paddle, drill and rowing. We have also had a successful year for vocational qualifications with cadets achieving their BTEC Level 2 and all eligible cadets achieving their BTEC Level 1. We hosted the RN attract team at the unit for leadership activities and we engaged with the cadet voice.
The unit had stalls for fundraising and recruitment at the Riverside festival and Birstall Duck Race. We also received grants from the Florence Turner Trust, Wooden Spoon, Sport England, Ulysses Trust, Edith Murphy Foundation, Cross Country Trains, Music 4 all. The unit UMT and CFAVs worked together on a few successful maintenance days to keep the gardening at bay and maintain unit cleanliness. We look forward to the year ahead and hope to continue the hard work we have done previously to make sure the cadets are getting the best possible experience.
Treasurer’s report:
Accounts package recently changed to SAGE which is easier. We’ve had grants from Garfield Weston £3K, 29[th] May 1961 £1K.
The savings account is made up of £8K in reserve, £3K for the electric works, £1.5K mountain bikes, £3.5K bank works.
At 31[st] March the balances were £2867.03 in the main account, £231.63 petty cash, £14450 in the savings account.
Profit and loss at year end 24/25: Income £42177.54, direct expenses £3472.56, overheads £35876. Net surplus £2828 which is reserved for specific purposes.
Accounts nominated by Paul Race. Seconded by Angela Markham.
Re-election of UMT:
All committee members stood down and re-elected individually by name:
Angela Markham. Proposed Paul Race. Seconded Richard Sleath.
Suzanne Millward. Proposed Angela Markham. Seconded Richard Sleath.
Richard Sleath. Proposed Paul Race. Seconded Angela Markham.
Paul Race. Proposed Richard Sleath. Seconded Angela Markham.
Vimal Naker. Proposed Richard Sleath. Seconded Paul Race.
Desires for Elizabeth Hadfield and Adam Hadfield were not confirmed by this meeting date. A separate section at the next meeting will take place to vote them on should they wish to stand again.
AOB:
Richard Sleath – Successful year. Stabilised unit. Holding our own in the District and Area.
Aaron Carter – congratulated the team on their work this year.
AGM closed 1931hrs.
Leicester Unit 211 of the Sea Cadets Cadets Corp Balance Sheet Report To." 31 March. 2025 ASSETS Fixed Assets Total Fixed Assets £0.00 Current Assets 1200- Bank Account 2,867.03 1210-Cash 231.63 1220 - Savings Account 14,450.00 Total Current Assets £17,548.66 TOTAL ASSETS £17,548.66 LIABILITIES Current Liabilities Total Current Liabilities £0.00 Futu Liabilities Total Future Liabilities £0.00 TOTAL LIABILITIES £0.00 TOTAL NET ASSETS £17,548.66 09 Sep 2025 20:29 Page1of2
EQUITY Net Profit l Loss 17,548.66 Net Profit / Loss fprior year(s)) 14,720.28 Net Profit/ Loss (current year) 2,828.38 TOTAL EQUITY £17.548.66 09 Sep 2025 20."29 Page2of2
Leicester Unit 211 of the Sea Cadets Cadets Corp Profit and Loss Report 01 Apnl, 2024- 31 March. 2025 Sales 4000 - Donalions 4,174.44 4001- Donations - Easy Fundraising 203.75 4002 - Donalions- Restricted Funds 6,333.38 4010 - Subscriptions - Blue Jacket 8,821.50 4011 Subscriptions - Marines 1,758.00 4012- Cadel Uniform 545.10 4013 - Cadet Training 2,243.74 4014- PPE & Branded Clothing 685.00 4020 - Cadet Trip Receipts- Restricted 2,415.35 4030 - MSSC - Reimbursements 3,001.87 4200 - Sale of Assels 1,500.00 4410 - Interest Income 185.41 4900 - Other income 1,945.00 4940 - Hall Hire Rental Income 8,365.00 Total Sales £42.177.54 Direct Expenses 0023 - Professional Fees 658.30 2231- Cadel Certificates, Badges & Trophies 304.49 2232 - Unil catering 273.19 2233 - Tickets for Events 55.81 5001- Fundraising Costs 217.44 8221- PPE & Branded Clothing 1,963.33 Totsl Direct Expenses £3,472.56 26 (kt 2025 16.'58 Page1of3
GROSS PROFIT I LOSS £38.704.98 Overheads 0022 - Unil Health and Well being 145.83 7100- Donalions We Make 430.00 7110- Waler Rates 417.10 7120- General Rates 25.00 7140- Alami and Security Cosl 506.40 7200 - Electricity 4,493.22 7210- Calor Gas 834.99 7300- F- Ford Blue Bus- AJ03AAX- Fuel {HN08YFX) 664.87 7310- R- Ford Blue Bus- AJ03AAX- Repair and Servicing IHN08YFXI 324.69 7320- T- Ford Blue Bus- AJ03AAX- Tax IHN08YFX) 14.52 7330-1- Ford Blue Bus- AJ03AAX- Insurance {HN08YFX) 3,072.96 7340 - F- Peugeot White Bus - EF07VLD - Fuel 884.37 7350- R- Peugeol White Bus- EF07VLD- Repairs and Serviung 294.41 7360- T- Peugeot White Bus- EF07VLD- Tax 518.25 7370-1- Peugeot White Bus- EF07VLD- Insuran 1,083.23 7410- Canal and River Trust Fees 638.34 7420 - The Marine Society 250.00 7520 - Office Stationery 23.75 7530 - Telephone & Internet 702.14 7800 - Repairs and Maintenance - Building 4,166.00 7802 - Repairs and Maintenance - Small Equipment 579.39 7804- Repairs and Maintenance- Boats 3,164.00 7810- Wasle Removal and Cleaning Products 601.46 8200 - General Expenses 1,187.20 8220- Small Equipment Items 7,100.08 8230 - Training Costs 1,918.07 8240 - Cadel Trip Costs 1,836.33 26 (kl 2025 16.'58 Page2of3
Total Overheads £35.876.60 NET PROFIT I LOSS £2,828.38 26 Ocl 2025 16".58 Page3of3
Independent examiner's report on the aGcounts Sectl(>ii A li)dep&iTJdei)t Exainliiel's Rei>oTI Reportto the tru8toesl member8 of Leicester On 8o¢ounts lor the yoar ended 31st March 2025 Charlty no 521451 Sot out on pages Rq8pect]v8 The charity'8 Iruslees are respDn8lbl8 for the pfeparallon ol the re8pon8lbllltle$ of gCCDun13. The charity'8 Iru8lees con51der Ihal an 8udll18 not IruBtee8 and oxamingr requlr8d for Ihls year undpr socllon 144 of Ihg CharlUa8 Acl2011 Ilh8 Charllles A¢t) and that an Ind8pen68nl &xamlnallon Is needed. 11 Is my r88ponslblllly to,. exqmlne Shfr a¢coun18 Ltnder $e¢llon 145 01 Ihe Charlllès Act, lo follow11)e Procedures laid down in Ihg general Dlrecllons glven by Iha Charlly Commlssion (under s&ollon 145151{b) ol Ihe Charlllès Act, And 10 81910 whether partlcular mallars havo Gome lo my altenllon. B48iy of Independont My examlnallon was Garrl8d out In accordance wilh general gxamlnor's statement Dlrecllons glven by th8 Charlly Commission. An oxamln&llon Includes a revl8w ol the 8cGDunling record8 kept by the oh&flly and a ¢omparlson of Ihg accounts prasenled wllh Ihos8 r&cords. It also Include5 consldeTatlon of any unu8uoI Ilem$ or dls¢losureg Sn Iha accounlB, and 8e8klng 8xplènailons froTn the tru81ee8 coneernlng any such n)aller8. The prDcedufes undertaken do not provld8 all the evldgncg Ihal would bo requlrL4d In an audll. and consequenlly np opinlon is glven a810 whether th? a¢counl8 pre88nl a 'lrue and fall vl•w and the report l& IlmS18d lo those matleT8 881 out In Ihg stalemenl below. Indapendent In eonn6011on wllh my 8xamlnallon, no maller has come lo my examlneV8 8tat8mènt allenllon {olher than IhAI dlsclosgd b&low'l whlch glve8 me reasonable cpu88 lo bo1SevB th81 In, any malerlal r8speol, the r8qulr8m8nls'. lo ke8p occounllng rocorols In accordancg wllh secllun 130 of lh8 Chgrlll88 Aal- and lo preparg aGcount8 whlch accord wllh Ihfy accounllng records and comply wllh Ihg 8ccouniln9 requlremen18 Of Ihe Gharllies Act hav8 not been mel,, or 2. to whloh, In my oplnlon, ellenllon should be drawn In order lo enable a proper undar81anding of the accounts lo be reach8d, 'Pkn8 delfrl8 ItA wd#1h0 frn¢kdt# Iflh•ydo ftjtjp, Slgned: Datg,, N&m9: Rglgvant profes8loiial qualification{sl or body Ilf any); f4CMA Addr&88:
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THE SEA CADETS Form ANNUAL STATEMENT OF ACCOUNT, FOR THE UNIT SCC A3 (R&PI RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March 2025 I'unlls In 8cDllaThJ'. Thls SIHlfjm#nl'g lom and conlpnl Ils scrullny are govorned by Regulallons- SSI 200612181 Copy lo bo up103dèd onlo Weslmln&ler 8nd Volunteer & Buslnoss Suppoil Managor al Area OttSce lo bo nollfled by l Novemb8r 202$ Unlt Name.. J8n-20 Charlty No,, 521451 Lelcesler Ro8erv8s Poll¢y The charily trustees, pollcy alms to maintain unreslrict&d reseNe8 al 8 level equallng to months revenue payment8 In ord8r lo safeguard Ihe Unil's Dngolng acllvllles from any unexpected fluctuation8 In Incom8 Year-and reserves amounted lo monlhs. on that ba$ls, tD61eto this secllon if not appliceblej The Urnf £1,600.00 In d6slgn8t8d funds repres8nllng Iix8d 8ssel8 needed forfutuffj acllvllle holds and £3,500.00 forfulure proJ8cls lo be G8rrfed oul In l yaar as Gurr8nlly plann8d/fjxpeclod 611cl tDelelg this sgc(lon unless Ihg Unll hes a Restrfcled Fund Ill} A reslricled fund h8ld for the purpose ot wa8 In dallcll to Ihe exlént of and the sleps being taken to rectlfy it are.,. Durlng the financlal year Ihe Unll recelved the followlng donaled facllltle81servlces [not', Engllsh, We18h or Nl Unll81.'. The Unll andlor Ils trustees held Ihe followlng a8$ets for the ch8rllylies named below, whos& charllable purpo888 are a8 S81 out hereunder. Speclal arrangements for th8 Safe custody of those as8els and thelr segregallon from the UnS1'8 own a88ets are as sel out below IEngllsh, Welsh & Nl Unlts: Delete th18 8e¢llon If not applicable,, Unlls In Scotland: Thls dSsclo8ure 18 not mandatoryl;. Dale slgned 88 authortsed by the Unit'8 Management Committee.. Unlt Treasuror PAUL I? Unlt Chairman Indep8nd8nt Examlner Note." Th8 slatulory audil or Independent oxèminallon r8POrt on Ihls Statement of Accounl musl be 8llached, AC5 vJ.o