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2025-03-31-accounts

Carrickfergus Sea Cadets – TS Warrior Accounts for the year ended 31[st] March 2025


Carrickfergus Sea Cadets

INCOME AND EXPENDITURE ACCOUNTS

FOR THE YEAR ENDED 31 MARCH 2025

Carrickfergus Sea Cadets – TS Warrior Accounts for the year ended 31[st] March 2025


Charity Number

104021

Address

Carrickfergus Sea Cadets Alexander Pier, Quayside Carrickfergus Co Antrim BT38 8BE Tel. 028 93350300

Treasurer

Mr J A Balmer

Secretary

Mr W Cheshire

Chairman

Mr N Thompson

Bank

Danske Bank Limited 21-23 High St Carrickfergus Co Antrim BT38 7AL Tel. 028 904 5690

Carrickfergus Sea Cadets – TS Warrior Accounts for the year ended 31[st] March 2025


INDEX

Accountant’s Report 1
Income and Expenditure Account 2
Balance Sheet 3
Notes to the Accounts 4 - 5

Carrickfergus Sea Cadets – TS Warrior Accounts for the year ended 31[st] March 2025


Treasurer ‘s Report for the year ended 31 March 2025

I have prepared, without audit, the accounts set out on pages 2 to 5 from the accounting records of Carrickfergus Sea Cadets and from information and explanations supplied to me.

Dated : ........................................

Signed : .......................................

J A Balmer BA FCA Treasurer

1

Carrickfergus Sea Cadets – TS Warrior Accounts for the year ended 31[st] March 2025 ------------------------------------------------------------------------------------------------------------------------------------

Income and Expenditure Account

2025 2024
£ £
Income
EA Grant 1,600 2,981
Galley Sales 668 -
Cadet Donations 2,804 3,109
Other Income 718 1,139
Total Income 5,790 7,229
Expenditure
Salaries and Wages - -
Depreciation 9,471 9,471
Heat & Light 2,861 2,337
Motor Expenses - 44
Repairs and Maintenance 2,224 837
Telephone - 634
Bank Fees / Charges 73 41
General Expenses 1,122 835
Insurance 2,561 2,450
Total Expenditure 18,312 16,749
SURPLUS / (DEFICIT) (12,522) (9,520)

2

Carrickfergus Sea Cadets – TS Warrior Accounts for the year ended 31[st] March 2025 ------------------------------------------------------------------------------------------------------------------------------------

Balance Sheet as at 5 April 2025

2025 2024
£ £
Fixed Assets
Property 136,590 144,503
Boats & Equipment 1,413 2,971
Current Assets
Cash at Bank 7,050 11,241
Debtors and Prepayments 276 1,170
Current Liabilities
Creditors-due within one year 275 2,309
Net Current Assets 7,051 10,102
Creditors–due after one year - -
NET ASSETS 145,054 157,576
Reserves
General Fund Reserve (52,508) (39,986)
Other Reserves 197,562 197,562
TOTAL RESERVES 145,054 157,576

3

Carrickfergus Sea Cadets – TS Warrior Accounts for the year ended 31[st] March 2025


1 Accounting Policies

(a) Stocks

Stock is valued at cost or net realisable value if lower

(b) Depreciation

Fixed assets are depreciated at rates and on bases designed to write off the cost of the assets over their expected useful lives. The rates and bases in use are :

Property : 2.5% Straight Line Vehicles : 25% Reducing Balance Boats & Equipment : 10% Straight Line

2 Tangible Fixed Assets

Property Motor
Vehicles
Boats and
Equipment
Total
£ £ £ £
Cost
@ 31.03.24 318,698 - 55,727 374,425
Additions - - - -
Disposals - - - -
@ 31.03.25 318,698 - 55,727 374,425
Depreciation
@ 31.03.24 174,195 - 52,756 226,951
Charge for year 7,913 1,558 9,471
On Disposals - - - -
@ 31.03.25 182,108 - 54,314 236,422
Net Book Value
@ 31.03.25 136,590 - 1,413 138,003
@ 31.03.24 144,503 - 2,971 147,474

4

Carrickfergus Sea Cadets – TS Warrior Accounts for the year ended 31[st] March 2025

3 Creditors


2025 2024
£ £
Other creditors 275 2,309
Accruals - -
275 2,309

5