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2021-03-31-accounts

Sketty Scout Group Receipts and Payments Account

Year end date Year end date Year end date
For the year
from
31/03/2020 To 31/03/2021
Receipts and payments
Receipts Unrestricted funds
£
£21,355.50
£8,802.00
£12,553.50
£32,977.86
£1,558.05
£0.00
£0.00
£47,089.41
£0.00
£1,836.57
£938.90
£420.50
£5,390.09
£8,586.06
£212.95
£504.00
£0.00
£716.95
£56,392.42
£0.00
£56,392.42
Unrestricted funds
£
Donations, legacies and similar income
Membership subscriptions £21,355.50 £19,188.00
Less: Membership subscriptions paid on (National/County/Area/Dis trict) £8,802.00 £7,344.00
Net membership subscriptions retained £12,553.50 £11,844.00
Donations £32,977.86 £423.50
Refunds £1,558.05 £3,226.34
Gift Aid £0.00 £3,222.81
Ex 36th £0.00 £0.00
Sub total £47,089.41 £18,716.65
Grants
Maintenance grant
Other grants £28,536.00
Sub total £0.00 £28,536.00
Fundraising (gross)
Summer Fete £1,836.57 £0.00
Fireworks Display £938.90 £0.00
Xmas Show (Raffle) £420.50
Raffle £0.00
Other fundraising activities £5,390.09 £103.88
Sub total £8,586.06 £103.88
Investment income
Bank interest
Building Society interest £212.95 £187.24
The Scout Association Short Term Investment Service
Property Rent income £504.00 £520.50
Other investment income £0.00
Sub total £716.95 £707.74
Total Gross Income
Asset and investment sales, etc.
Total receipts
£48,064.27
£0.00 £0.00
£56,392.42 £48,064.27

1 LT700002 (1st January 2017)

Sketty Scout Group Receipts and Payments Account

Year end date Year end date Year end date
For the year
from
31/03/2020 To 31/03/2021
Receipts and payments
Payments 31/03/2020
Unrestricted funds
£
31/03/2021
Unrestricted funds
£
Charitable Payments
Youth programme and activities £20,177.16 £598.40
Adult support and training £0.00
Licences £445.48 £292.92
Utilities (Gas/Electric/Water/BB) £3,604.34 £1,939.38
Electricity and Gas
Insurance £1,533.00 £1,548.22
Building Repairs and Renewals £1,200.00
Building Materials and equipment £3,519.80 £1,700.39
Administration £69.99 £411.47
Contribution to event/camp costs £546.00
Uniforms/Badges £1,465.33 £869.64
Broadband £217.34
Refunds £570.00 £22,302.00
Cleaning £1,851.52 £353.90
Floats £1,271.53
AGM £0.00
Equipment £271.60 £2,581.83
£0.00
Rent
Sub total £36,743.09 £32,598.15
Fundraising expenses
Summer Fete £319.38 £0.00
Fireworks Display £792.47 £0.00
Quiz Night (Float) £0.00
Xmas Show £0.00 £0.00
Other fundraising costs £710.63 £0.00
Sub total £1,822.48 £0.00
Extension Costs
Extension Costs £760.00 £3,612.09
Sub total £760.00 £3,612.09
Total Gross Expenditure
Asset and investment purchases, etc.
Total payments
Net of receipts/(payments)
Cash funds last year end
Cash funds this year end
£39,325.57
£0.00
£39,325.57
£17,066.85
£68,119.23
£85,186.08
£36,210.24
£0.00
£36,210.24
£17,066.85 £11,854.03
£68,119.23 £85,186.08
£85,186.08 £97,040.11

2 LT700002 (1st January 2017)

Statement of assets and liabilities at the end of the year

Statement of assets and liabilities at the end of the year
31/03/2020
Unrestricted funds
£
£14,011.72
£9,617.19
£61,057.17
£0.00
£500.00
£85,186.08
£0.00
£0.00
£0.00
£0.00
£0.00
£0.00
£0.00
£0.00
£1,000.00
£0.00
£0.00
£0.00
£0.00
£10,000.00
£0.00
£11,000.00
£65.00
£0.00
£0.00
£0.00
£65.00
31/03/2021
Unrestricted funds
£
Cash funds
Bank No 1 current account £14,011.72 £12,441.87
Bank No 2 current account £9,617.19 £2,631.02
Building society account £61,057.17 £81,467.22
Petty Cash £0.00 £0.00
Floats £500.00 £500.00
Total cash funds £85,186.08 £97,040.11
Other monetary assets
Tax claim £0.00 £0.00
Debts due from the County/Area/District/Group £0.00 £0.00
Insurance claim £0.00 £0.00
Sub total £0.00 £0.00
Investment assets
Investment property - detail £0.00 £0.00
Quoted investments £0.00 £0.00
Other investments - detail £0.00 £0.00
Sub total £0.00 £0.00
Non monetary assets for charity's own use
Badge stock £1,000.00 £850.00
Shop stock £0.00
Other stock £0.00
Land and buildings £0.00
Motor vehicles £0.00
Scouting equipment, furniture etc £10,000.00 £10,000.00
Other £0.00
Sub total £11,000.00 £10,850.00
Liabilities
Accounts not yet paid £65.00
Expenses incurred but not invoiced £0.00
Subscriptions not yet paid £0.00
Loan - detail £0.00
Other liabilities - Rent payable to Church of Wales
Sub total £65.00 £0.00

Contingent liabilities and future obligations

The above receipts and payments account and statement of assets and liabilities were approved by the Trustees on [Insert Date ] (the date of the Executive Committee meeting that approved the accounts) and signed on their behalf by Signature R S Jones - Chairman A J Bishop - Treasurer

3 LT700002 (1st January 2017)

REPORT OF THE INDEPENDENT EXAMINER TO THE OFFICERS OF 44- SWANSEA (SKErrY CHURCH) SCOUT GROUP ON THE FINANCIAL AFFAIRS OF THE GROUP YEAR ENDING 31ST MARCH 2021 I have examined the Statement of Accounts of the 44th Swansea Isketty Church) Scouts for the year ending 31*1 March 2021 as prepared by the Group Treasurer. y examination did not amount to an audi( but was carrled out in accordance with the General Directions issued by the Chartty Commissioners for the independent examination of the account s of charities. Nothing has come to my attenJon in connection with this examlnation that gives me Gause to believe otherwise than that the accounts accord with the accounting records of the Group and that the records satisfy the requlrements of the Charities Act 2011. l am not aware of any matter that needs to be drawn to the attention of the Trnstees in order to obtain a proper u tanding of the accounts. Signed:............ KBFerguson FCA Date.................. Keith B Ferguson Limited Chartered Accountsnts 16 White Knight Gardens Bishopston Swansea SA3 3DR