Trustees, Annual Report For the period to wd d•te Fiiii (Swt d•t•l Seclion A Reference and idiiiin151rJlion details 2nd Davyhuhne Scoul GrP R•9$ dwrty rnffltAr (rf y) HQ r••¥tr•ts Chwrf$ prnKd •dth•ss Flixtthi D4t•s act•d rf not lor (hTr• (W any) DE88IE PULLEN VIKKI TANSEY BROWN LAUREN DEAN ASHTON ANN MARIE HOHNSON STUART PULLEN GILL CC()KE ClRE CASSON SHARON ORWTN STEVE PL4RGREAVES GLV CHAIR TREASURER SECRETARY SLV BLV nknl 31/02023 unll 31nY2023 unld 3123 untA 31tf)3r2023 unbl 31A)Y2023 CLV 10 11 12 13 14 15 ype of adv 8an Name CAF Guttere & co Address 25 King5 . Vlest MalliTrJ. Kem ME19 4JQ 58 Ohj Croft$ 8•nk RoJ. Davyhulme M41 7A 1 LT7(#XX11127 F•tyuwy 2024)
Secliori O StfLJClI)ro. gOvern)nce ai)d manoocment (• g trwl O••d. {• g ty. •l•d•d by) The GThp by Iho Group Trustee Board. aFwffil•d T1••1 . l Ex 01lbc T¥US%. ana O Gtropi•d 2 LTTC(K(11 (27 F•w 2024)
Section B Struclufe. governonce a nd manjgement Icontinuedl Rl•k and Inl•rn•l Contrd 15p•nl I I J LT7fX((J1 Q7 F•tswy 2024)
SL'cliOiI C Obiecti%itrS Jnd Jcl Ivilies and loy•l y may choos• lo 4 Lfiixx101 (27 F•tsuvy 20241
Seclion O Achievtments and performance th• (wity dunng Il y• wwlxi ol •txxrt 12 11 b¢ rettKnwYJ m a few to s•e hthv th•y af• gfryMrvJ Also antsn Ffubt 8u•s Iky Section E Financial Review ir Incom• and 4Ctsvities fabl sfK*i. The Grwp Quthfy and •XFA•'n •ry dwnaticns ' O•t•ls ol lunds m•twwty in d•fiat (cl1M1181•S P st•ps to etwiints) Inv•strilt Pollcy (Sp¢wMn 11 The Group's Ineomft Expendilure is vory small and as a c0nswj• dc•eS not have sumwnt funds to inv•si bn Gro hAs th8fol¢xe adomed a khw rk Strategy th• inv•$tment ol rts fwttls All funds are held in $h uSK Ass0tsatK,S SJKYt Term Investrnont S8ThK•. S Lfi(KKK11 (27 Fatsuwy 2024)
avern• str•¢•gy tt> the ol Its flffth AH lur)ds a Section F Other Opiional InfofmJtion $1gnrficant aclmbès plannod lo •*#•v• Section G Declaf ation S•gMbA•(s) Ful fWM(s) LT7(j)1 (27 Fatrw 2024)
England & Wales Template I: Unqualified report for a non-company charity preparing receipts and payments accounts with a gross income of £250.000 or less in the relevant financial year Independent •x•miMrfs report to th• trustws of Davyhulm• Scout Group GMW Scout CO 3111 March 2024. Responsiliti•l and basls of report C(ffimisI•r und•r s•don 14515)Ib) of th• ACL Ind•pond•nt examlnerfs statem•nt •x•mlnation giving m• to b•kn that m•t•li veipect olth•ArtLY Sgfw Namtr. John Day Gutt•f*• ¢ACMA) Dts 1110712024
2nd OAVYHULME SCOUT GROUP ACCOUNTS FOR ThE FINANaAL YEAR 1st APRIL 2023 to 31st MARCH 2024 Gutterw & Co. A<cwnt•hls $8 OW Qofts 84nk 4¥¥ctsi•r M417AA 11th1¥ 2014
Jbs Glft 11.364 2.474.15 11.400. 959tyJ 102n 209.C¥) 40.CQ 40 2866 496 55 2371. 6151.CKI 40(W) iio.fy) P4rt111 B•nk Inir•5t A•c•h 49&55 £2&01iS8 £19 É6.79&98 4462.23 5840.49 3Ui8 768.44 3547.50 77.31 24M28 65&77 240.th) IX21 52l.56 4ffj60.61 ICW.44 19y.44 l(Wl.45 1058 13 827.99 3196.62 202.17 1155AI 1351.17 2507.79 m•IntwrK* 475.65 -S9,SS 3SO.88 .124J6 214.46 p.p&s .220.09 -i&is 109.15 -764.64 -375.27 152.36 412.41 S425.25 1379.71 t. HNt & Paw•r W•ter 373A7 324.53 192.81 o.c o.c 49.34 .192.81 190.1 40.) 4Q(W) 432. £25J12.39 £.1632$ É4.450.86 £20I_19 411.OIS.65 £11.246.84 2014
l%'Y IXI277452 61146SIJ 6117.78 iJJ36.•9 4892 47 19] 9J 3121.43 Jy7.$0 É34.399 67 1016S9?8 o.c ÉJS.635 C41 D*wis 432JKI oco 14.684 $0 1210 CI) £3.650) ).749A7 At<•J 749.67 LA 3d4
o. OAA) J547 50 £3.547 50 1024 1210.CA) 90 1930.1)) 420 f 3.6SO.IXI o.cL) 4252.50 4321 14.6&450
2nd Davyhulme Scout Group 521687 Recelpts and payments account For th• y•ar 0110412023 3110Y2024 Receipts and payments 2022123 2023124 R•c•l Mem 10 71 4• 74 Fundr•knl 01 1 0•1 2 voj 8t0 Inc Hir• ol Hlr• ol Jl 11 B•nk 1•*1 Buil 497 rothi Idj
2nd Davyhulme Scout Group 521687 Recelpts and payments account Fof th• y••f T• 31KIy2024 Recoipts and payments 2022123 2023124 P• m•n ¢h•rnabh P• su and tr•n Renl W•ler •rJ S•wvr Elecl aDLI G Re Mat•n41s conlrthj1 lo cam Urmlofms AGM arml Irul•• bank ¢h• l¢m•l Sub io Fundr*ls Tot•1 Grnss Expendhur• rot•1 p•ym•nts N•t of r•celpw(p•ym•nts) C•sh funds last y••r •nd C•sh lunds th1$ •nd 2013
2nd Davyhulme Scout Group 521687 Receipts and payments account Fof th• OIIOU2023 To J1rnY2024 Statement of assets and liabilities at the end of the year 2022123 2023124 Cash fund• Bank curTOrt IbCCQJ 8•nk d 10 T4X•l u•h fund• T•x clm D•bts du• Irom th• C Sub total Iwslrnenl Non mon•ta ••Mts for eh• . ' •#tX Other sloc Land •rrtY tor v•hKI•s Sco . lurnur• fjlc Sub iothl Accounts n nses ffjcurred iMx•d Loan. Totsl net •$••ts The •bov• r•¢•ipts and Paym•nts •¢¢¢unt and stsl•m•fit ol assets and Ilblli1S•s w•r• 4PPfoved by th• Tru5t•es on 17th 7 2004 (th• d•t• th• Trust•• Board that approv th• 4¢¢0unts> and si9n•d ¢)n th•lr b•haW by Chw LTTrx<2 (Fatsw 2024>