NEWPORT SEA CADETS – T S RESOLUTE
ANNUAL GENERAL MEETING – APRIL 2021 – MARCH 2022
29[TH] JUNE 2022 AT 7.00 PM
Attendees online Julie Jones, Secretary; Yvonne Stone, UMT
Attendees present: Andrew Tuggey – President Chairing the meeting Rod McDonald, Vice Chair; Ann Bowen – Treasurer; Rod
Cowling UMT
Capt. Andrew Ward UMT
STAFF: P P O Lisa Summerhayes, CPO Jeff Bowen; Chief John
Callaghan ;
Sub Lt Josh Biundo; p o Alan Lewis; P P O Barnard
Cllr Carmel Townsend; Mrs Jegorova; Mrs Callaghan; Mr Doug Piddington Mr Charles RNA
Apologies: Chris Boyd; Elaine Blackley
The meeting started at 1905 hours
-
Welcome by Andrew Tuggey
-
Apologies announced by Ann Bowen who received the emailed messages.
-
Minutes of the last AGM were submitted for approval by Unit President Andrew Tuggey – nothing outstanding Proposed – Rod McDonald Seconded: - Ann Bowen
-
Chairperson’s Report – Elaine Blackley had requested that Officer-inCharge, PPO Lisa Summerhayes could include these details in her report, due to Mrs Blackley’s extended leave of absence.
-
Ofcer-in-Charge Report Report given by P P O Lisa Summerhayes – see attached report. No questions raised.
-
Treasurer’s Report – Report given by Ann Bowen, Treasurer, who had distributed copies of the report prior to the meeting, as a visual aid to her comprehensive report.
-
Bank statement balances were seen and agreed by Andrew Tuggey. No questions raised. See attached report.
Accounts agreed and adopted
Proposed: Mr Rod Cowling Seconded: Yvonne Stone
- Election of the Unit Management Team - Due to delay in holding the previous year’s AGM as a result of the Unit not re-opening until Mid October 2021, the current Trustees had not been in office for many months.
Post holders, Rod McDonald, Ann Bowen, Julie Jones and Elaine Blackley had all indicated their willingness to continue in post if re-elected. - No objections raised.
Similarly , Capt Andrew Ward; Mrs Yvonne Stone and Mr Rod Cowling agreed to continue as Trustees if re-elected,. Mr Chris Boyd in his apology for his absence, also indicated his agreement to stand again.
No objections raised
All nominations proposed and seconded.
Chair, Andrew Tuggey asked if there were any further nominations from the audience – none came forward..
Current UMT members all re-elected to stand for the year.
8. Any Other Business - no other issues were raised.
Mr Andrew Tuggey thanked everyone for coming and invited everyone to take refreshments.
Meeting closed at 1940 hrs
See attached reports from Officer-in-Charge and Treasurer.
OIC REPORT 2022 AGM
We have Three new instructors come on board , CI Davies and Mr Shave . and Mr Mclaren.
Mr Shave has worked with sea scouts he has done DOE, adventure training and some boating experience
CI Davies has experience in stem and has already run two junior activity weekends
Lewis Mclaren was an O/C cadet who has decided to return ti us as staff
all have settled in and become a part of the great team. We currently have 12 instructors
Three cadets promoted from cadet to CFC
6 new cadets have joined us
One A/C is attending peer ed course this weekend for her advance to leading cadet board.
One junior had earnt his commodores pennant and leading junior
One junior promoted to JCFC, One to able cadet
3 stem modules, 4 red, 3 yellow, 3 green
6 ME qualifications, 5 basic 1st aid, 1 Basic catering I basic seamanship
COURSE RUN AT UNIT
2 ME course 1 basic 1st aid ,2 basic catering (1 for district) 2 junior activities
All were very successful. All courses were run in house by ourselves
One intermediate catering course booked by district, will be running in July we are looking to run courses every 4-6 weeks
A/C Jones represented the south west area band in Weymouth, he enjoyed himself and did the unit proud.
One A/C is attending the peer ed course this weekend to help her advancement to leading cadet board.
A/C Summerhayes and Jones attended mayor making ceremony as the mace bearers one at civic centre and on at St Woolos cathedral . they had lots of compliments and have been asked if they can attend the flag raising ceremony
7 cadets and two staff member visited HMS Severn whilst it was in Cardiff over the jubilee weekend , HMS Severn has been affiliated back to us. We now have a point of contact aboard , sub lieutenant Biundo will be updating them regularly with news letters .
We will be working closely with Torfaen to offer help out to them whilst their unit is closed. Ie their cadets join us on a monday evening and join our resources together
Mrs Paske from St Julians School visited us and we had talks reference to working with each other. It is very positive , recruitment cards have been given to the school along side they are looking to put is on their website page and twitter. Once parent evenings go back face to face we will be looking to have a table at such events.. We are looking to have taster sessions at open days ie ME pod. She has said that she does has some young people that would benefit from us. On the back of this St Julians primary and Glen Usk have voiced some interest in joining us ,
Myself and Ann attended our voice our port our choose networking meeting. There was a group that runs out of maninde that had a interest with us over the next couple of weeks i will be touching base with them.
The Victoria Inn on Caerleon road is hosting a fun raising event Saturday 23rd July all process made will be donated to us.
We had a visit from the lord lieutenant he was blown away by how far the unit has come and has put us in contact with Mr Edward Watts who will be visiting us in july to see if he can offer any support
John Griffiths M.S visited the unit and could not get over the improvements that we have made and our plans forward
Ruth Jones MP will also be visiting us in July
The mayor of Newport has requested a visit , which we will be following up in the next month
I would like to thank Chief Bowen for all his hard work, support and dedication that he has given myself and the unit as he steps down in his role as 1st lieutenant.
Sub lieutenant Biundo will now take over the role as 1st lieutenant and i have no doubt will bring the unit into the next phase, i would like to thank him for the help, guidance and support that he has given me over the last year
I would like to thank all of the staff for their hard work ,dedication, time and over coming challenges that have been put in our way . It is so amazing to see where Newport was a couple of years ago to where we are today You all are truly amazing and without you all the unit and cadets would not be thriving. I look forward to the year ahead with all our new adventures and plans
The committee for their continuing support and hard work that they do in the back ground.
Mrs Ann Bowen for her hard work and her many hours spend over a computer chasing grants as without her the unit would not be the swan you see today
NEWPORT UNIT 251 OF THE SEA CADET CORPS Charity Number: 524366
ANNUAL STATEMENT OF ACCOUNTS – FOR THE PERIOD 1.4.2021 31.3.2022
SUMMARY PAGE
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INCOME EXPENDITURE EXCESS /DEFICIT
£ £
GENERAL 36,317.13 31,715.86 4,601.27 credit
ACCOUNT
BASE RATE 1.14 10,000.00 9,998.86 deficit
ACCOUNT interest
TOTAL FOR 36,318.27 41,715.86 5,397.59 deficit
YEAR
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----- Start of picture text -----
GENERAL A/C BASE RATE
£ A/C
£
OPENING BALANCE AS OF 28,084.80 21,570.86
1.4.21
EXCESS/DEFICIT OVER 4,601.27 credit -9,998.86
YEAR debit
BALANCE AS OF 32,686.07 11,572.00
31.3.2022
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TOTAL CLOSING BALANCE AS OF 31.3.2022: £44,258.07
REASURER’S REPORT FOR 2021/2022
END OF FINANCIAL YEAR 31ST MARCH 2022
----- Start of picture text -----
INCOME 2020/2 2021.20 EXPENDITURE 2020/20 2021/20
021 22 21 22
- - - -
Capitation Grant HQ Competition
Expenses
HQ Direct Grant 8,200.00 11,600.0 Buildings 53,245.0 18,844.3
0 Maintenance 3 7
Grants 47,660.0 11,356.0 Insurance 544.70 737.19
0 0
Subs 2,064.00 1,925.64 Heat and Light 422.98 611.76
Donations 200.00 282.17 Water 139.57 215.22
- - - -
Fundraising Fundraising Costs
Proceeds
- -
Boat Repair Grants Computers/Sports 1,284.91 6,015.67
& 0ther Equipment
Travel Refunds - - Travel costs - -
Course Fees - - Training Course - 178.32
Costs
Insurance - 8,000.00 Sundries,Special 563.13 869.98
Claims/Bank Event Costs
Income
Other Revenue 5,000 3000.00 Telephone/compute 700.65 585.39
Receipts r costs
Sundry Sales - - Postage, 101.07 114.85
Printing,stationery
Special Event - 153.32 Boats - -
Proceeds repairs/maintenanc
e
Fixed Assets - 3,354.50
purchased
Badges - 178.61
Council Tax - -
TOTAL 63,124. 36,317. TOTAL 57,002.0 31,715.8
00 13 4 6
2021/2022 Comparisons from year
2020/2021
End of previous year balance 28,084.80
Excess Income over Expenditure 4,601.27 ( 6,121.96)
- -
Excess Expenditure over Income
BALANCE END OF THIS 32,686.07
FINANCIAL YEAR
----- End of picture text -----
BASE RATE REWARD ACCOUNT:
| Income | 2021/2022 | Expenditure 2021.2022 |
|---|---|---|
| Interest 1.14 |
Transfer for new roof | |
| 5,800.00 | ||
| For Parade Square 4,200.00 | ||
| TOTAL INCOME; £ 1.14 |
TOTAL EXPENDITURE | |
| £10,000.00 | ||
| Excess Expenditure over Income | £ 9,998.86 debit | |
| BALANCE AS OF 1.4.2021 | £21,570.86 credit | |
| BALANCE OF BASE RATE REWARD A/C: | £11,572.00 w.e.f. | |
| 31.3.2022 | ||
| INCOME | ||
| Grants | Continuing our Phase One improvements and refurbishment we | |
| received the following grants:- | ||
| MS-SC Premises Grant for replacement roof 11,600.00 |
||
| Welsh Church Fund (N.C.C.) | 5,816.00 | |
| During this fnancial grants were | still available to help Organisations | |
| like ours to recover from the consequences of the Coronavirus | ||
| pandemic and to facilitate our re-opening. As a result we | ||
| successfully applied to: | ||
| Comic Relief (G.A.V.O.) | 1,185.00 | |
| Welsh Water | 500.00 |
Grants were sought towards the cost of purchasing a steel container to house our Marine Engineering equipment and provide a workshop/classroom for this . So far we have received: Trinity House 1,355.00
As always we continue to look for funding to provide boating experience for our cadets both in-shore and offshore. As a result we received:
Loyal Order of Master Mariners
2,000.00
During the previous financial year, in December 2020 we suffered a devastating flood of our premises and grounds from which we have struggled to recover. We lost 75% of our furniture, stores and equipment and the restoration work carried out by our Insurers took over a year to complete. We were unable to re-open until October 2021 with some issues still remaining to be resolved. In addition to our Insurance settlement listed below in other Revenue Income we received a small grant as a result of the flooding from:
Welsh Government specific to flooding
500.00
TOTAL GRANTS £ 22,956.00
Other Revenue Income
We received a donations from our long term supporters The Newport Branch of the Royal Naval Association and the Newport Round table. Also from well-wishers, and online donations
A) Donations 282.17
Some parents were in a position to support us by continuing to pay for their child’s monthly Cadet Subscriptions during the continued lockdown to which we were extremely grateful. Upon re-opening subs resumed for all returning cadets
B) Cadet subscriptions
1,925.64
Insurance settlement – for loss of Contents:
C) 8,000.00
Asa result of the flooding which affected others in the area, Welsh Water have taken over a section of our land to house their vehicles and portable offices from which they are carrying out reparation work/pumping infrastructure as part of flood defences. An Official Order would have been served upon us had we not agreed to this but we happily agreed as we have been receiving compensation payments for this incursion on our land :-
D) Welsh Water compensation 3,000.00
We were invited by a local supermarket to hold a bucket collection at their store plus a gift hamper of stationery goods were donated:
E) Special Event Proceeds 153.32
TOTAL OTHER REVENUE INCOME (A,B,C,D,E, ) £ 13,361.13
TOTAL GRANTS
22,956.00
TOTAL OTHER REVENUE INCOME
13,361.13
INCOME FOR YEAR END 31.3.2022 £36,317.13
EXPENDITURE
At the start of this financial year we were still in the process of restoration of our building following the flooding we experienced in late December 2020 Whilst the coronavirus pandemic continued to keep organisations like ours closed, tradesmen were able to continue to work and the builders appointed by our Insurers continued a very slow progress to completing this task. Our own builder had not completed the final section of agreed work but could not return to do so until late September when the increased costs of materials meant an increase to the original quote.
We continued to focus on what further work was needed, chiefly a new roof. We anticipated the cost would require an extended round of grant applications . However we found a national company who quoted a price much lower than expected. We were fortunate to receive a second large grant from the MS-SC , together with funds we had been accumulating in our savings account (£5,800.00)) which allowed us to proceed with the installation of a new roof over the entire building.
A) Buildings Maintenance £5,800 )
£ 18,844.37 (+
Of course we also had to focus on replacing all the equipment and furniture we lost to the flooding Therefore the vast majority of our annual expenditure has been on paying for this plus the remaining building work, new roof, and preparing our buildings and grounds for our eventual re-opening in October 2021. with full compliance with covid requirements and guidance required at that time.
B) Fixed Assets including a new mast C) Computers, sports & Other equipment
£ 3,354.50 £ 6,015.67
Even though unable to open for almost six months, utilities and insurance continued to be paid, though utility bills were slightly lower as a result. For the second year Newport City Council did not charge us our Council Tax contribution:
D) Heat, Water and Light E) Insurance
£ 826.98 £ 737.19
During the enforced lockdown we set up an on-line virtual learning platform to allow our cadets to continue, if they wished to do so, with their skills based lessons and several cadets were able to earn their badges. Upon re-opening training resumed as normal and the usual training costs incurred for the awarding of badges, purchasing training books etc.
F) Training Course Costs £ 178.32 G) Badges £ 178.61 H) Telephone/Broadband/Computer costs £ 585.39
We reached out to the community for help following the flooding and three local supermarkets generously donated hampers full of stationery to help replace all that were ruined in the flood. However there was still more to be bought. Plus the usual cost of postage for the many grant applications and subsequent acknowledgements completed .
I) Postage, Printing and stationery
£ 114.85
There were very many small additional items purchased to get the building back in action, such as batteries for fire alarms, more keys required for all the new door locks, light bulbs etc. Our usual Poppy Wreaths purchased for Remembrance Parades. There were also two other one off items of expenditure. The first, although we had been at this site since 1953, it was not an officially registered address with a proper post code. This caused problems when trying to upgrade our broadband service. Therefore we successfully applied to Newport City Council to register our address at a cost of £45.00 The second expense, we had three cadets from the same family attending the Unit prior to the lockdown and we allowed a parent to regularly save money towards the cost of all three attending Summer Camps, Off Shore Sailing Course etc. This had accumulated to £496.50 . Upon re-opening the eldest child had reached eighteen and therefore “aged out” and the other two decided not to return. This money was therefore returned to the parent.
J) Sundries
£ 869.98
TOTAL EXPENDITURE 2020/2021 (A,B,C,D,E,F,G,H,I
£ 31,715.86
R ESERVES
We continue to maintain £3,000 in reserved funds should we at any time within the financial year fail to raise sufficient funds to maintain our operational costs.
We also hold several ring-fenced funds which represent any grant obtained for a particular project or money donated for a specific future event/purchase
. Lockdown was still in place at the start of this financial year, and whilst some Sea Cadet Units were beginning to open as these restrictions were gradually lifted during the summer , we were still recovering from the flooding and were not able to open up to cadets until the middle of October. Also the extended lockdown period meant that some courses, particularly the Off Shore boating, were now in a waiting list whilst the back log of booked courses could finally go ahead. Therefore we are still in a position whereby grants previously obtained to fund specific events such as the Off Shore boating courses and the costs of training events are still not spent. We also continued to make plans and seek funding to continue our programme of refurbishments to our building and grounds. Since the last financial year we have spent fully, or in part, a number of these funds and at the end of March 2022 our current ring-fenced funds are:-
Reserved Contingency Fund £3,000.00 Master Mariners Grants 2020/21/22 for off shore boating £3,745.00 Trinity House fo meteorology, navigation and radio £2,615.08 New Trinity House Gant specifically for Marine Engineering £1,355.00 Reserved fund for on-shore boating activities £ 221.38
High Sheriff’s Grant for setting up of a new Unit drum and percussion
Band £4,000.00
New Welsh Church Fund (refurbishment) £5,816.00
A) Reserved/Ring-fenced funds
£20,752.46
There are some additional reserves that require explanation:-
We made a claim to our Insurance for the cost of restoring our building and loss of equipment and contents following the flooding in late December 2020. We received in total for our contends and loss of equipment - £8,000. We are still recovering our losses and to date there remains a balance of:- B) Insurance Claim £4,004.83
Detailed in the list of Income we have received money in compensation from Welsh Water for the temporary acquisition of a large portion of our land to enable them to store equipment, heavy plant machinery and portable office to enable them to carry out flood mitigation works along the riverbank adjacent to our premises. This remains in reserve for when we can restore our grounds, totally
inundated with the flood water ,and in need of work to make the grounds a safe and usable space for outside activities and potentially, community use.
C) Welsh Water £3,000.00
When the Coronavirus pandemic hit Wales in Mach 2020 and we were forced o shut our Unit, there were a number of grants for which we were eligible to apply, to help us overcome any loss of income; fund raising and purchase of P.P.E. Also to offset costs arising from adjustments to the building in order to comply with social distancing and measures to help prevent the spread of the virus amongst our members once we were able to re-open. We were successful in obtaining a number of grants and there remains a balance of:
D) Coronavirus Resilliance £4,331.98
Total reserved/ring fenced funds: (A.B,C,and D)
£32,089.27
RECONCILLIATION
Balance of Account as of 31.3.22 £32,686.07 Total Reserved Funds as of 31.3.22 £32,089.27
WORKING BALANCE 2021.2022: £ 596.80
BASE RATE REWARD ACCOUNT: £11,572.00
This is our savings account, into which we transfer funds from the Community Account that we are able to save towards our future building plans. At the start of the financial year the opening balance of this account was:
Opening Balance:
£21,570.86
Our only other Income this year to this account has been:
Total Interest:
£1.14p
£
Our Expenditure has been:
Transfer of funds to pay for new roof
5,800.00
An extension to the Parade Square
£
4,200.00
Total Expenditure:
£10,000.00 CLOSING BALANCE AS AT 31.3.22: £11,572.00
TREASURER’S REPORT TO ACOMPANY THE FINANIAL STATEMENT
Whilst I am pleased to report that all of our hard work in raising funds to finance Phase One of our building plans, plus the new roof which had been our next goal has been successful, it has as expected been a severe drain on our financial resources. Whilst our closing balance looks to be very healthy, this is almost completely swallowed up by our ring-fenced reserves. These ae mainly grants awarded for specific purposes and must be accounted for to the relevant Grantors. I cannot use them to pay for utility bills, Insurance etc.
I have always found it difficult to find grants that will pay solely for Core costs and these have always been met by our own fund raising initiatives and the Cadet subscriptions we receive. It is only now that lockdown restrictions have been removed that we can at last look to start our usual fund raising events
It is therefore my intention to recommend to our Management Committee that we now use the balance of the Coronavirus Resilience Grants we were awarded. The criteria for this grant was in part to help recover loss of income as a result of not being able to pursue fund raising wihin the Community. This currently stand at £4,331.98 and will put us once again on a firm financial base from which to continue to provide the Sea Cadet experience for our current and future members.
I am confident in my final statement, that we remain viable and financially secure.
Irene Ann Bowen Treasurer and Trustee Dated: 4th June 2022
SET - UP PAGE Please enter the relevant data into th shaded BLUE
UNIT NAME RECONCILLIATION Newport 252 Opening Balances CHARITY NUMBER £28,084.80 Bank Account 524366 £0.00 Saving Account YEAR ENDING £0.00 Petty Cash 2022 £28,084.80 Total Opening Balance at Closing Balances £0.00 Bank Account £0.00 Saving Account £0.00 Petty Cash
£0.00 Total Closing Balance at £32,686.07 Closing Balance per A3 Rep -£32,686.07 Error in data entry
ie cells 1 sl April 2021
31 st March 2022 ort
| THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
Form SCC A3 (R&P) Apr-19 |
|
|---|---|---|---|---|---|---|---|---|
| (*Units in Scotland: This Statement’s form and content and its scrutiny are governed by Regulations – SSI 2006/218) Copy to be uploaded onto Westminster and Volunteer & Business Support Manager at Area Office to be notified by 1 November |
||||||||
| Unit Name: Newport 251 |
Charity No: | 524366 | ||||||
| A B OTHER CHARITABLE ACTIVITIES: TOTAL RECEIPTS = A + B MS-SC Premises Grant x 6 full details in report Details in report Fund-name/purpose(if not held for the Unit’sgeneral purposes):- Notes REVENUE RECEIPTS – FUNDRAISING & SPECIAL EVENTS PROCEEDS COMPETITION RECEIPTS C TOTAL NON-REVENUE RECEIPTS (#Attach that Fund’s similar Account of Receipts as page AC1A, and so on) See report TOTAL REVENUE RECEIPTS NON-REVENUE RECEIPTS – PROCEEDS FROM SALES OF OTHER FIXED ASSETS ANNUAL FUND/DIRECT GRANT SCAVA (Sea Cadet Victualling Allowance) OTHER GRANTS CADET CONTRIBUTIONS OTHER DONATIONS / LEGACIES COURSE FEES SUNDRY SALES RECEIPTS BANK DEPOSIT INTEREST PROPERTY RENTS (includes any occasional OTHER REVENUE RECEIPTS Reconciliation:- |
general purposes):- |
THIS YEAR £ |
LAST YEAR £ |
|||||
| Notes | ||||||||
| MS-SC Premises Grant | £11,600.00 | £8,200.00 | ||||||
| £0.00 | £0.00 | |||||||
| x 6 full details in report | £11,356.00 | £47,660.00 | ||||||
| £1,925.64 | £2,064.00 | |||||||
| Details in report | £282.17 | £200.00 | ||||||
| £153.32 | £0.00 | |||||||
| £0.00 | £0.00 | |||||||
| £0.00 | £0.00 | |||||||
| £0.00 | £0.00 | |||||||
| £0.00 | £0.00 | |||||||
| £0.00 | £0.00 | |||||||
| See report | £11,000.00 | £5,000.00 | ||||||
| A | ||||||||
| £36,317.13 | £63,124.00 | |||||||
| £0.00 | £0.00 | |||||||
| £0.00 | £0.00 | |||||||
| £36,317.13 | £63,124.00 | |||||||
| 2022 G H CASH/BANK BALANCE AT THIS YEAR-END NET CHANGE FOR YEAR IN CASH/BANK BALANCE:- - REVENUE ITEMS (= A – D from page AC2) - NON-REVENUE ITEMS (= B – E from page AC2) - COMBINED (=G+H) CASH/BANK BALANCE FROM LAST YEAR-END |
£7,955.77 £63,124.00 -£3,354.50 £0.00 £4,601.27 £63,124.00 |
|||||||
| £28,084.80 | £0.00 | |||||||
| £32,686.07 | £28,084.80 | |||||||
| AC1 |
| THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
Form SCC A3 (R&P) Apr-19 |
|
|---|---|---|---|---|---|---|---|
| Copy to be uploaded onto Westminster and Volunteer & Business Support Manager at Area Office to be notified by 1 November (*Units in Scotland: This Statement’s form and content and its scrutiny are governed by Regulations – SSI 2006/218) |
|||||||
| Unit Name: Newport 251 |
Charity No: | 524366 | |||||
| Fund-name/purpose (if not held for the Unit’s | general purposes):- |
THIS | LAST | ||||
| YEAR £ |
YEAR £ |
||||||
| Notes | |||||||
| DIRECT CHARITABLE ACTIVITY COSTS: | |||||||
| FUNDRAISING & SPECIAL EVENTS COSTS COMPETITION COSTS FUEL & TRAVEL COSTS CATERING COSTS TRAINING COURSES COSTS ARTICLES PURCHASED FOR RESALE |
£10.00 | £0.00 | |||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £178.32 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| OVERHEAD COSTS FOR: | |||||||
| HEAT, LIGHT & WATER TELEPHONE & BROADBAND OFFICE SUPPLIES, POSTAGE & PRINTING RENT / COUNCIL TAX |
£0.00 | £0.00 | |||||
| £826.98 | £562.55 | ||||||
| £585.39 | £700.65 | ||||||
| £114.85 | £101.07 | ||||||
| MAINTENANCE COSTS FOR: | |||||||
| BANK INTEREST & CHARGES BUILDINGS & ESTATE BOATS VEHICLES OTHER MISC EQUIPMENT INSURANCE COSTS |
£18,844.37 | £53,245.03 | |||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £6,015.67 | £0.00 | ||||||
| £737.19 | £544.70 | ||||||
| £0.00 | £0.00 | ||||||
| CHARITY GOVERNANCE COSTS: | |||||||
| FOR LEGAL ADVICE (for constitution or trustees) OTHER REVENUE COSTS FOR ACCOUNTS/AUDIT OR INDEPENDENT EXAMINA FOR OTHER PROFESSIONAL FEES |
T | £0.00 | £0.00 | ||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £1,048.59 | £663.13 | ||||||
| TOTAL REVENUE PAYMENTS | D | £28,361.36 | £55,817.13 | ||||
| NON-REVENUE PAYMENTS– | |||||||
| ASSETS | £3,354.50 | £1,184.91 | |||||
| TOTAL NON-REVENUE | E | £3,354.50 | £1,184.91 | ||||
| TOTAL PAYMENTS (=D+E) | F | £31,715.86 | £57,002.04 | ||||
| (#Attach that Fund’s similar Account of Payments as page AC2A, and so on) | |||||||
| AC2 |
| THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
Form SCC A3 (R&P) Apr-19 |
|
|---|---|---|---|---|---|---|
| (*Units in Scotland: This Statement’s form and content and its scrutiny are governed by Regulations – SSI 2006/218) Copy to be uploaded onto Westminster and Volunteer & Business Support Manager at Area Office to be notified by 1 November |
||||||
| Unit Name: Newport 251 |
Charity No: | 524366 | ||||
| Name | THIS LAST |
|||||
| In E&W: STATEMENT OF ASSETS & LIABILITIES | of Fund | YEAR YEAR |
||||
| (English/Welsh Units: | No valuations/costs or accounts notes required) |
ifrestricted | £ £ |
|||
| ASSETS: | ||||||
| CASH/BANK BALANCE(S) AT YEAR-END (from page AC1) | £32,686.07 £28,084.80 |
|||||
| BANK DEPOSITS (if any) not included above | ||||||
| LOANS RECOVERABLE | ||||||
| OTHER DEBTS(total recoverable – exclude any “accruals”) | ||||||
| *STOCKS OF ITEMS FOR RESALE(total cost) | ||||||
| INVESTMENTS(present value of securities &c) | ||||||
| INVESTMENTS(ditto – belonging to a Restricted Fund, if | ||||||
| *OTHER FIXED ASSETS: | ||||||
| - LAND & BUILDINGS | ||||||
| - BOATS | ||||||
| - VEHICLES | ||||||
| - COMPUTERS & OTHER EQUIPMENT | ||||||
| *For all these items (including any gifts at estimated value when given) state | [ ] | [ ] | ||||
| their total | present value here if lower than as above |
|||||
| LIABILITIES | ||||||
| LOANS REPAYABLE | ||||||
| OTHER CREDITORS(total payable – exclude any “accruals”) | ||||||
| CONTINGENT LIABILITIES(estimated total amount) | ||||||
| [Scottish] ACCOUNTS NOTES* (if not within Annual Report) | [Amounts] Particulars |
|||||
| For anyseparate Receipts & Payments Account included in this Statement of Account: the nature and purpose of each Fund accounted for and the legal restrictions on its use |
Give page no(s). - or say if none |
|||||
| Total number and amount of any grants paid to (i) individuals and (ii) | ||||||
| institutions, analysed by type of activity or project | [ ] | |||||
| Amount of trustee remuneration (inc. to connected persons) paid and | (or say if none) | Authority: | ||||
| the legal authority for it | [ ] | |||||
| Amount of any trustee expenses reimbursed and for how many |
(or say if none) | [ ] | For how many: | |||
| trustees Amount and nature of any other trustee-transactions (including with connected persons, stating the relationship) - |
[ ] | Nature: | ||||
| together with any amount owing at the year-end (say if none) |
[ ] | |||||
| Any further information that ‘may reasonably assist’ a reader’s |
Give page no(s). | - or say if none | ||||
| *Sh dtil t tthd bd if d di |
||||||
| (ow eas on an exra aace (numere) page necessary) | ||||||
| ………………………………………….. ……………………………………..Unit Treasurer | ||||||
| ……………………………………………………………………………….. Unit Chairman | ||||||
| Signed as authorised by the Unit’s Management Committee - Date: | ||||||
| AC3 Note:The statutory audit or independent examination report on this Statement of Account must be attached. |
| THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
Form SCC A3 (R&P) Apr-19 |
|---|---|---|---|---|
| (*Units in Scotland: This Statement’s form Copy to be uploaded onto Westminster and Volun |
and content and its scrutiny are governed by Regulations – SSI 2006/218) teer & Business Support Manager at Area Office to be notified by 1 November |
|||
| Unit Name: Newport 251 |
Charity No: 524366 |
|||
| House name: Street and No: Area or Estate Town/City: County Post Code: Elaine Blackley Rod McDonald Irene Ann Bowen Julie Jones Yvonne Stone Capt Andrew Ward Mr Rod Cowling Mr Chris Boyd Andrew Tuggey Name of any person who is now (or was, in the financial year) a ‘trustee for the charity’ - i.e., holding or in possession of any assets belonging to the Unit (includes custodians, nominees &c)[not : Scotland]:- Cleveleys Newport City Newport City NP19 9TF Names of any other persons who were charity trustees of the Unit at any time in the financial year:- Chair Member Member Member Secretary Treasurer Unit address (or address for correspondence):- Vice Chair Treberth Crescent President Member Unit Management Team members (the ‘charity trustees’) at date of signing Report:- |
e):- | |||
| Cleveleys | ||||
| Treberth Crescent | ||||
| Newport City | ||||
| Newport City | ||||
| NP19 9TF | ||||
| Nature and date of the Unit’s constitution (governing document):-Governed bySea Cadet Standard Constitution |
||||
| The method(s) adopted for recruiting new trustees, and how trustees are elected or otherwise appointed (and by whom) in accordance with the Unit’s constitution, are as follows:- |
||||
| Unit Management Team (UMT) members are elected annually at the Annual General Meeting (AGM). UMT members are elected from the membership of the Sea Cadet Unit which is drawn loosely as being those with an interest in the unit. In the event of a vacancy arising during the year (known as a casual vacancy), The UMT have the power to appoint a new UMT member. The UMT member appointed will serve until the date of the next AGM, after which the post will be filled by election. |
||||
| The Unit’s charitable purpose(s) as set out in its constitution is:- To promote the development of young people in achieving their physical, intellectual and social potential as individuals and as responsible citizens by the provision of education and leisure time activities using a nautical theme and in accordance with the principles, ethos and practices of the Marine Society & Sea Cadets (MSSC). |
||||
| The Unit’s main activities and achievements in the financial year were:- | ||||
| AC4 • Regular and structured activities with a nautical theme. • Allowing young people to take part in activities connected with the wider Sea Cadet movement such as waterborne activities, events and competitions at district, area and national levels. • Availability of formal educational achievements whilst taking courses to earn badges and promotions Contributions are kept low in order to ensure all those who wish to take part in the activities of the Unit may do so. Public Benefit The UMT continue to give due regard to the public benefit provided by the Unit in relation to the charitable purpose of the Sea Cadet movement as set out in the activities and achievements as outlined above. The aim is to promote the development of young people in achieving their physical, intellectual and social potential as individuals and responsible citizens in a safe environment. In order to achieve this the Unit takes young people from all backgrounds, including where possible those with disabilities and develops their skills and abilities by: |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March
Form SCC A3 (R&P) Apr-19
(Units in Scotland: This Statement’s form and content and its scrutiny are governed by Regulations – SSI 2006/218) Copy to be uploaded onto Westminster and Volunteer & Business Support Manager at Area Office to be notified by 1 November Unit Newport 251 Charity No : 524366 Name: Reserves Policy* The charity trustees’ policy aims to maintain unrestricted reserves at a level 12 months revenue payments in order to safeguard the Unit’s ongoing activities from any unexpected fluctuations in Year-end reserves amounted £3,000.00 months’ on that basis. [Delete this section if not applicable] £14,936.46 The Unit holds in designated funds representing fixed assets needed for future activities and £17,152.81 1-2 years for future projects to be carried out in as currently planned/expected [Delete this section unless the Unit has a Restricted Fund in deficit ] A restricted fund held for the purpose of was in deficit to the extent of N/A and the steps being taken to rectify it are:-
During the financial year the Unit received the following donated facilities/services [not: English, Welsh or NI Units]:N/A
The Unit and/or its trustees held the following assets for the charity/ies named below, whose charitable purposes are as set out hereunder. Special arrangements for the safe custody of those assets and their segregation from the Unit’s own assets are as set out below [English, Welsh & NI Units: Delete this section if not applicable; Units in Scotland: This disclosure is not mandatory]:-
Model of H M S Bulldog
Date signed as authorised by the Unit’s Management Team:
Irene Ann Bowen Unit Treasurer Elaine A Blackley Unit Chairman …………………………………………………………………………………………. Independent Examiner
Note: The statutory audit or independent examination report on this Statement of Account must be attached.
AC5
SET - UP PAGE Please enter the relevant data into th shaded BLUE
UNIT NAME RECONCILLIATION Unit Name Opening Balances CHARITY NUMBER £0.00 Bank Account Charity Number £0.00 Saving Account YEAR ENDING £0.00 Petty Cash 2020 £0.00 Total Opening Balance at Closing Balances £0.00 Bank Account £0.00 Saving Account £0.00 Petty Cash
£0.00 Total Closing Balance at -£9,998.86 Closing Balance per A3 Rep £9,998.86 Error in data entry
ie cells 1st April 2019
31 st March 2020 ort
| THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
Form SCC A3 (R&P) Apr-19 |
|
|---|---|---|---|---|---|---|---|
| (*Units in Scotland: This Statement’s form and content and its scrutiny are governed by Regulations – SSI 2006/218) Copy to be uploaded onto Westminster and Volunteer & Business Support Manager at Area Office to be notified by 1 November |
|||||||
| Unit Name: Unit Name |
Charity No: | Charity Number | |||||
| A B OTHER CHARITABLE ACTIVITIES: TOTAL RECEIPTS = A + B Fund-name/purpose(if not held for the Unit’sgeneral purposes):- BASE RATE REWARD ACCOUNT Notes REVENUE RECEIPTS – FUNDRAISING & SPECIAL EVENTS PROCEEDS COMPETITION RECEIPTS C TOTAL NON-REVENUE RECEIPTS (#Attach that Fund’s similar Account of Receipts as page AC1A, and so on) TOTAL REVENUE RECEIPTS NON-REVENUE RECEIPTS – PROCEEDS FROM SALES OF OTHER FIXED ASSETS ANNUAL FUND/DIRECT GRANT SCAVA (Sea Cadet Victualling Allowance) OTHER GRANTS CADET CONTRIBUTIONS OTHER DONATIONS / LEGACIES COURSE FEES SUNDRY SALES RECEIPTS BANK DEPOSIT INTEREST PROPERTY RENTS (includes any occasional OTHER REVENUE RECEIPTS Reconciliation:- |
THIS YEAR £ |
LAST YEAR £ |
|||||
| Notes | |||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £15,000.00 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £1.14 | £12.04 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| A | |||||||
| £1.14 | £15,012.04 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £1.14 | £15,012.04 | ||||||
| 2020 G H CASH/BANK BALANCE AT THIS YEAR-END NET CHANGE FOR YEAR IN CASH/BANK BALANCE:- - REVENUE ITEMS (= A – D from page AC2) - NON-REVENUE ITEMS (= B – E from page AC2) - COMBINED (=G+H) CASH/BANK BALANCE FROM LAST YEAR-END |
-£9,998.86 £15,012.04 £0.00 £0.00 -£9,998.86 £15,012.04 |
||||||
| £0.00 | £12,016.32 | ||||||
| -£9,998.86 | £0.00 | ||||||
| AC1 |
| THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
Form SCC A3 (R&P) Apr-19 |
|
|---|---|---|---|---|---|---|---|
| Copy to be uploaded onto Westminster and Volunteer & Business Support Manager at Area Office to be notified by 1 November (*Units in Scotland: This Statement’s form and content and its scrutiny are governed by Regulations – SSI 2006/218) |
|||||||
| Unit Name: Unit Name |
Charity No: | Charity Number | |||||
| Fund-name/purpose (if not held for the Unit’s | general purposes):- |
THIS | LAST | ||||
| BASE RATE REWARD ACOUNT | YEAR £ |
YEAR £ |
|||||
| Notes | |||||||
| DIRECT CHARITABLE ACTIVITY COSTS: | |||||||
| FUNDRAISING & SPECIAL EVENTS COSTS COMPETITION COSTS FUEL & TRAVEL COSTS CATERING COSTS TRAINING COURSES COSTS ARTICLES PURCHASED FOR RESALE |
£0.00 | £0.00 | |||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| OVERHEAD COSTS FOR: | |||||||
| HEAT, LIGHT & WATER TELEPHONE & BROADBAND OFFICE SUPPLIES, POSTAGE & PRINTING RENT / COUNCIL TAX |
£0.00 | £0.00 | |||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| MAINTENANCE COSTS FOR: | |||||||
| BANK INTEREST & CHARGES BUILDINGS & ESTATE BOATS VEHICLES OTHER MISC EQUIPMENT INSURANCE COSTS |
£10,000.00 | £5,000.00 | |||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| CHARITY GOVERNANCE COSTS: | |||||||
| FOR LEGAL ADVICE (for constitution or trustees) OTHER REVENUE COSTS FOR ACCOUNTS/AUDIT OR INDEPENDENT EXAMINA FOR OTHER PROFESSIONAL FEES |
T | £0.00 | £0.00 | ||||
| £0.00 | £457.50 | ||||||
| £0.00 | £0.00 | ||||||
| £0.00 | £0.00 | ||||||
| TOTAL REVENUE PAYMENTS | D | £10,000.00 | £5,457.50 | ||||
| NON-REVENUE PAYMENTS– | |||||||
| ASSETS | £0.00 | £0.00 | |||||
| TOTAL NON-REVENUE | E | £0.00 | £0.00 | ||||
| TOTAL PAYMENTS (=D+E) | F | £10,000.00 | £5,457.50 | ||||
| (#Attach that Fund’s similar Account of Payments as page AC2A, and so on) | |||||||
| AC2 |
| THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
Form SCC A3 (R&P) Apr-19 |
|
|---|---|---|---|---|---|---|
| (*Units in Scotland: This Statement’s form and content and its scrutiny are governed by Regulations – SSI 2006/218) Copy to be uploaded onto Westminster and Volunteer & Business Support Manager at Area Office to be notified by 1 November |
||||||
| Unit Name: Unit Name |
Charity No: | Charity Number | ||||
| Name | THIS LAST |
|||||
| In E&W: STATEMENT OF ASSETS & LIABILITIES | of Fund | YEAR YEAR |
||||
| (English/Welsh Units: | No valuations/costs or accounts notes required) |
ifrestricted | £ £ |
|||
| ASSETS: | ||||||
| CASH/BANK BALANCE(S) AT YEAR-END (from page AC1) | -£9,998.86 £0.00 |
|||||
| BANK DEPOSITS (if any) not included above | ||||||
| LOANS RECOVERABLE | ||||||
| OTHER DEBTS(total recoverable – exclude any “accruals”) | ||||||
| *STOCKS OF ITEMS FOR RESALE(total cost) | ||||||
| INVESTMENTS(present value of securities &c) | ||||||
| INVESTMENTS(ditto – belonging to a Restricted Fund, if | ||||||
| *OTHER FIXED ASSETS: | ||||||
| - LAND & BUILDINGS | ||||||
| - BOATS | ||||||
| - VEHICLES | ||||||
| - COMPUTERS & OTHER EQUIPMENT | ||||||
| *For all these items (including any gifts at estimated value when given) state | [ ] | [ ] | ||||
| their total | present value here if lower than as above |
|||||
| LIABILITIES | ||||||
| LOANS REPAYABLE | ||||||
| OTHER CREDITORS(total payable – exclude any “accruals”) | ||||||
| CONTINGENT LIABILITIES(estimated total amount) | ||||||
| [Scottish] ACCOUNTS NOTES* (if not within Annual Report) | [Amounts] Particulars |
|||||
| For anyseparate Receipts & Payments Account included in this Statement of Account: the nature and purpose of each Fund accounted for and the legal restrictions on its use |
Give page no(s). - or say if none |
|||||
| Total number and amount of any grants paid to (i) individuals and (ii) | ||||||
| institutions, analysed by type of activity or project | [ ] | |||||
| Amount of trustee remuneration (inc. to connected persons) paid and | (or say if none) | Authority: | ||||
| the legal authority for it | [ ] | |||||
| Amount of any trustee expenses reimbursed and for how many |
(or say if none) | [ ] | For how many: | |||
| trustees Amount and nature of any other trustee-transactions (including with connected persons, stating the relationship) - |
[ ] | Nature: | ||||
| together with any amount owing at the year-end (say if none) |
[ ] | |||||
| Any further information that ‘may reasonably assist’ a reader’s |
Give page no(s). | - or say if none | ||||
| *Sh dtil t tthd bd if d di |
||||||
| (ow eas on an exra aace (numere) page necessary) | ||||||
| ………………………………………….. ……………………………………..Unit Treasurer | ||||||
| ……………………………………………………………………………….. Unit Chairman | ||||||
| Signed as authorised by the Unit’s Management Committee - Date: | ||||||
| AC3 Note:The statutory audit or independent examination report on this Statement of Account must be attached. |
| THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March |
Form SCC A3 (R&P) Apr-19 |
|---|---|---|---|---|
| (*Units in Scotland: This Statement’s form Copy to be uploaded onto Westminster and Volun |
and content and its scrutiny are governed by Regulations – SSI 2006/218) teer & Business Support Manager at Area Office to be notified by 1 November |
|||
| Unit Name: Unit Name |
Charity No: Charity Number |
|||
| House name: Street and No: Area or Estate Town/City: County Post Code: Name of any person who is now (or was, in the financial year) a ‘trustee for the charity’ - i.e., holding or in possession of any assets belonging to the Unit (includes custodians, nominees &c)[not : Scotland]:- Names of any other persons who were charity trustees of the Unit at any time in the financial year:- Unit address (or address for correspondence):- Unit Management Team members (the ‘charity trustees’) at date of signing Report:- |
e):- | |||
| Nature and date of the Unit’s constitution (governing document):-Governed bySea Cadet Standard Constitution |
||||
| The method(s) adopted for recruiting new trustees, and how trustees are elected or otherwise appointed (and by whom) in accordance with the Unit’s constitution, are as follows:- |
||||
| Unit Management Team (UMT) members are elected annually at the Annual General Meeting (AGM). UMT members are elected from the membership of the Sea Cadet Unit which is drawn loosely as being those with an interest in the unit. In the event of a vacancy arising during the year (known as a casual vacancy), The UMT have the power to appoint a new UMT member. The UMT member appointed will serve until the date of the next AGM, after which the post will be filled by election. |
||||
| The Unit’s charitable purpose(s) as set out in its constitution is:- To promote the development of young people in achieving their physical, intellectual and social potential as individuals and as responsible citizens by the provision of education and leisure time activities using a nautical theme and in accordance with the principles, ethos and practices of the Marine Society & Sea Cadets (MSSC). |
||||
| The Unit’s main activities and achievements in the financial year were:- | ||||
| AC4 • Regular and structured activities with a nautical theme. • Allowing young people to take part in activities connected with the wider Sea Cadet movement such as waterborne activities, events and competitions at district, area and national levels. • Availability of formal educational achievements whilst taking courses to earn badges and promotions Contributions are kept low in order to ensure all those who wish to take part in the activities of the Unit may do so. Public Benefit The UMT continue to give due regard to the public benefit provided by the Unit in relation to the charitable purpose of the Sea Cadet movement as set out in the activities and achievements as outlined above. The aim is to promote the development of young people in achieving their physical, intellectual and social potential as individuals and responsible citizens in a safe environment. In order to achieve this the Unit takes young people from all backgrounds, including where possible those with disabilities and develops their skills and abilities by: |
THE SEA CADETS ANNUAL STATEMENT OF ACCOUNT* FOR THE UNIT RECEIPTS & PAYMENTS ACCOUNT for year ended 31 March
----- Start of picture text -----
Form
SCC A3 (R&P)
Apr-19
----- End of picture text -----
(Units in Scotland: This Statement’s form and content and its scrutiny are governed by Regulations – SSI 2006/218) Copy to be uploaded onto Westminster and Volunteer & Business Support Manager at Area Office to be notified by 1 November Unit Unit Name Charity No : Charity Number Name: Reserves Policy* The charity trustees’ policy aims to maintain unrestricted reserves at a level months revenue payments in order to safeguard the Unit’s ongoing activities from any unexpected fluctuations in Year-end reserves amounted months’ on that basis. [Delete this section if not applicable]
During the financial year the Unit received the following donated facilities/services [not: English, Welsh or NI Units]:-
The Unit and/or its trustees held the following assets for the charity/ies named below, whose charitable purposes are as set out hereunder. Special arrangements for the safe custody of those assets and their segregation from the Unit’s own assets are as set out below [English, Welsh & NI Units: Delete this section if not applicable; Units in Scotland: This disclosure is not mandatory]:-
Date signed as authorised by the Unit’s Management Team:
…………………………………………………………………………………………. Unit Treasurer …………………………………………………………………………………………. Unit Chairman …………………………………………………………………………………………. Independent Examiner
Note: The statutory audit or independent examination report on this Statement of Account must be attached.
AC5