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2025-03-31-accounts

1[St] Randalstown Scout Group

Statement of Accounts – Year Ending 31[st] March 2025

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No 1 MAIN ACCOUNT £ £
Opening Balance in Bank 17,381.94
INCOME EXPENDITURE
EA Generic Non-Targeted 2,200.00 Building Maintenance & Repairs 1,165.04
Grant
Membership Fees (Cubs) 1,045.00 Insurance (Building & Public 2,998.52
Liability)
Membership Fees 2,718.51 Scout Assoc. Mem. Fees 1,849.00
(Scouts/Explorers)
Membership Fees (Beavers) 616.60 Heat & Light 1,183.00
Guide Contribution 960.00 Transfer to Scout Card 87.17
Fund Raising (Bridge Club, 1,352.00 Ground Rent 900.00
Amazon Europe & Treasure
Hunt)
Mini Bus Expenses 1,523.35
Electricity Networks 8.00
Equipment 0,00
Bank Interest 21.79 Bank Fees 68.19
DE Grant Aid (EA fees for Non 0,00 EA fees ((EA fees for Non 0.00
Payroll Costs) Payroll Costs))
======= =======
8,921.90 9.774.27
Closing Balance in Bank 16,529.57
26,303.84 26,303.84
No 2 SUMMER CAMP ACCOUNT – RESTRUCTED FUNDS
£ £
Opening Balance in Bank 4,969.76
INCOME EXPENDITURE
Scout Camp Deposits 2,680.34 Camp Expenses 1573.06
Equipment 450.64
Booking Fees 595.00
======= =======
2,680.34 2,618.70
Closing Balance in Bank 5,031.40
=======
7,650.10 7,650.10
Signed Ivan Millar
Group Treasurer
12 [th] April 2025
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1[st] Randalstown Scout Group

NI Charity Number : NIC 104182 Statement of Assets and Liabilities

( An outline of the Main Assets and Liabilities at 31[st] March 2025 )

ASSETS :

1. Property ( Insurance value £ 554,192 )

2. Contents of Hall and Store ( Insurance value £ 74,485 )

3. Cash Balances at the end of year 31[st] March 2025

LIABILITIES :

There are no liabilities at the end of the financial year. Signed RPhilip Scott

R. Philip Scott – Chairman Scout Group Board of Trustees