Ex-serviceBalance 2014-15 A5.indd
Transcription
Ex-serviceBalance 2014-15 A5.indd
70th Annual Report FOR THE YEAR ENDED 30th JUNE, 2015 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 Notice of Annual General Meeting Notice is hereby given that the Seventieth Annual General Meeting of the Narrandera Ex-Servicemen’s Club Limited will be held in the JB Driscoll Room at 10am, Sunday 20th September, 2015 The business of the Annual General Meeting shall be as follows: 1. to receive and consider the minutes of the 69th Annual General Meeting held Sunday, 21st September, 2014 2. to receive and consider the reports referred to in Rule 39.4 a. the financial report of the Club; and b. the directors’ report. c. the statement by directors d. the auditors’ report on the financial report. 3. in the case of a Biennial General Meeting, to declare the results of the election of the Board and/or conduct any further election as may be required by this Constitution. Declaration of the election of Directors pursuant to Section 36.8 (c) of the Constitution. Following a Special Resolution passed by those members present and entitled to vote at the Annual General meeting 2014 which altered the term of office for the Board to “biennial” – with such amendments to take effect from that year’s Annual General Meeting (being the first Biennial General Meeting) that the Directors elected at that meeting to remain in their respective positions until the biennial meeting to be held in 2016. “Biennial General Meeting” means every second Annual General Meeting being the meeting at which the Board is elected to office pursuant to this Constitution, commencing from the Annual General Meeting held Sunday, 21st September, 2014 PAGE 1 Those duly elected were: President: Mr. Neville Wortlehock Senior Vice President: Mr. Paul Ragen Junior Vice President: Mrs Kerry Sproston Directors: Mr. Keith Smith, Mr. Alan Taig, Mr. Geoff Roberts, Mrs. Kristen Clancy 4. to approve the payment of honorariums First Ordinary Resolution – Presidents Honorarium of $7,500.00 per annum Second Ordinary Resolution – reasonable expenditure by Directors 5. Declaration of Core Property 6. General Business PAGE 2 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 ORDINARY RESOLUTIONS FIRST RESOLUTION: President’s Honorarium: That pursuant to the Registered Clubs Act 10 (6) (b): “The Members hereby approve an amount of $7,500 be paid to the President as an Honorarium for the 2015/2016 Financial Year.” Directors’ Educational and Seminar Expenses: That pursuant to the Registered Clubs Act: (a) “The Members hereby approve and agree to reasonable expenditure by the Club for the professional development and education of Directors until the next Annual General Meeting of the Club and being: (i) The reasonable cost of Directors attending the Clubs NSW Annual General Meeting. (ii) The reasonable cost of Directors attending seminars, lectures, trade displays and other similar events as may be determined by the Board from time to time. (iii) The reasonable cost of Directors attending other Registered Clubs or similar types of businesses for the purpose of observing their facilities and methods of operation provided such attendances are approved by the Board as being necessary for the betterment of the Club. (b) “The Members acknowledge that the benefits in paragraph (a) above are not available to Members generally but only to those who are Directors of the Club and those Members directly involved in the above activities.” NOTES TO MEMBERS Presidents Honorarium The first ordinary resolution is to have Members in a General Meeting hereby approve the payment by the Club of an honorarium to the Chairman in the sum of $7,500.00 in respect of his services as Chairman of the Club between the date of this meeting and the Annual General Meeting in 2016. To be passed – the resolution must receive a simple majority of votes in its favour from those persons present at the meeting who are eligible to vote. Directors’ Educational and Seminar Expenses The second ordinary resolution is to have Members in a General Meeting approve reasonable expenditure by the Club for Directors to attend seminars, lectures, trade displays and other similar events including the Clubs NSW Annual General Meeting and to visit other clubs to enable the Club’s governing body to keep abreast of current trends and developments which may have a significant bearing on the nature and way in which the Club conducts its business. To be passed – the resolution must receive a simple majority of votes in its favour from those persons present at the meeting who are eligible to vote. Explanatory Message Pursuant to the requirements of the Registered Clubs Act1976, the Club is required at each Annual General Meeting to have approved by Ordinary Resolution, the benefits to be provided to the Directors of the Club. The purpose of this Resolution is to comply with the requirements of the Registered Clubs Act. PAGE 3 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 ~ Board of Directors Neville Wortlehock President Paul Ragen Vice-President Kerry Sproston Vice-President Keith Smith Director Geoff Roberts Director Kristen Clancy Director Alan Taig Director PAGE 4 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 Directors’ Attendances 2014 -15 During the year July 1st , 2014 to June 30th , 2015 there were fourteen (14) meetings held, being twelve (12) Ordinary Meetings and Two (2) Special Meetings. Attendance by those eligible to attend was as follows: Mr. Neville Wortlehock Mr. Paul Ragen Mrs. Kerry Sproston Mr. Alan Taig Mr. Keith Smith Mr. Geoff Roberts Mrs. Kristen Clancy Mr. Gary Hoskinson Eligible 14 14 14 14 14 14 • 11 •3 Ordinary 11 12 11 11 12 12 9 1 Special 2 2 2 2 2 2 1 1 Total 13 14 13 13 14 14 10 2 • Mrs. Kristen Clancy appointed September, 2014 • Mr. Gary Hoskinson term complete September, 2014 Life Members: J. L. Moir* C. J. Aubusson* P. J. Hocking* A. J. Withers* G. B. Warden* A. A. Hutchins* G. C. Dangar* * Denotes deceased. J. B. Driscoll* T. Jackson* P. H. Smith* D. J. Sheather* M. Whitley J. W. Sheather* A. R. Black* PAGE 5 J. D. Mooney* E. A. Rea* J. L. Welsh* D. Doyle* E. S. Cameron* C. Lettie* Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 CLUB PROPERTY Pursuant to Section 41J (2) of the Registered Clubs Act for the financial year ended 30 June, 2015: (a) (b) the following properties are core property of the Club: (i) licensed premises at Bolton Street, Narrandera NSW 2700 (ii) car park facilities at the address in (i) above adjacent to the Main Club building. (iii) car park facilities at the address in (i) above adjacent to the Club Inn Motel the following properties are non-core property of the Club: (i) the Club does not own any non-core property Notes to Members 1. Section 41J(2) of the Registered Clubs Act requires the annual report to specify the core property and non-core property of the Club as at the end of the financial year to which the report relates. 2. Core property is any real property owned or occupied by the Club that comprises: (a) the defined premises of the Club; or (b) any facility provided by the Club for use of its members and their guests; or (c) any other property declared by a resolution passed by a majority of the members present at a general meeting of Ordinary members of the Club to be core property of the Club. 3. Non-core property is any other property (other than that referred to above as core property) and any property which is declared by the members at a general meeting of ordinary members of the Club not to be core property. 4. The significance of the distinction between core property and non-core property is that the Club cannot dispose of any core property unless: (a) the property has been valued by a registered valuer within the meaning of the Valuers Act 2003; and (b) the disposal has been approved at a general meeting of the ordinary members of the Club at which the majority of the votes cast support the approval; (c) any sale is by way of public auction or open tender conducted by an independent real estate agent or auctioneer. These disposal provisions and what constitutes a disposal for the purposes of section 41J are to some extent modified by regulations made under the Registered Clubs Act and by Section 41J itself. 5. Non-core property is not subject to the limitations referred to in paragraph 4 above and can be disposed of without the Club having to following the procedure referred to in paragraph 4 above. PAGE 6 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 DIRECTORS REPORT Your Directors submit the financial accounts of the Company for the year ended 30 June, 2015. The names of Directors in office at the time of the report are: Neville Wortlehock Paul Ragen Kerry Sproston Alan Taig Keith Smith Geoff Roberts Kristen Clancy Retired Retired Business Proprietor Painting Contractor Retired Retired Laboratory Manager President Vice President Vice President Director 3 years Director 2 years Director 2 years Director 1 year Director 8 Years Director 3 years Director 5 years Principle Activities The principle activity of the club during the financial year is the operation of a licensed club, and that the income of the Club is directed towards the improvement and maintenance of the Club’s facilities and the promotion of the social welfare of members, their guests and affiliated sub-clubs. No significant change in the nature of these activities occurred during the year. Objectives The company’s short term objectives are to: • Strive to achieve excellence in serving our community by providing exceptional customer service and quality facilities; • Maintain a licensed Club under the Registered Clubs Act for the benefit of our members and their guests and; • To maximise profit and minimise debt to ensure long-term financial flexibility and sustainability. The long-term objectives of the Club are; • Support the Narrandera RSL Sub Branch and maintain the Anzac tradition • Support our affiliated sub-clubs, charities and community organisations, and continually improve the Clubs facilities in order to remain relevant to our members and the local community. To achieve these objectives, the company has adopted the following strategies: Remain financially viable by adopting prudent financial management and best practice corporate standards. Continually develop and improve the assets of the company. Attract and retain quality staff and contractors who are committed to the company objectives. PAGE 7 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 DIRECTORS REPORT Key Performance Measures The company measures its’ own performance through the use of quantitative and qualitative benchmarks. The benchmarks are used to assess the financial sustainability of the company and whether the company’s short and long term objectives are being achieved. Members Guarantee Narrandera Ex-Servicemen’s Club Ltd is a company limited by guarantee. The Articles of Association provides that each member of the Club undertakes to contribute such amount as may be required not exceeding $2.00 if the Club is wound up and the assets of the Club are insufficient to discharge the liabilities. This undertaking continues for a period of 12 months after the person ceases to be a member. Operating Results The result of operations for the year after allowing for income tax and abnormal items was a profit of $138,218 State of Affairs No significant changes occurred in the state of affairs of the company during the year. Review of Operations The Clubs profit reduced when compared to the 2014 year profit of $186,435. Events Occurring after Balance Date No events are expected which would have a significant effect on future profitability of the company. Directors Benefits Since the end of the previous financial year, no director has received, or become entitled to receive, any benefit by reason of contract made by the company with a director or with a firm which a director is a member or a director has a substantial financial interest other than is disclosed in the financial statements. Auditor’s Independence Declaration The Directors have received an Auditor Independence Declaration for the financial year from our auditor - William Tomiczek & Associates. Signed in accordance with a resolution by the Board of Directors. N. Wortlehock P. Ragen 13th Day of August 2015 PAGE 8 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 STATEMENT BY THE DIRECTORS In the opinion of the directors of the company: 1. a) The accompanying profit and loss account gives a fair view of the company’s profit and loss for the financial year ended 30th June 2015 and b) The accompanying balance sheet gives a true and fair view of the company’s state of affairs at the end of the financial year. c) The statement of cash flow gives a true and fair view of the cash flow of the company for that financial year. 2. There are reasonable grounds to believe that the company will be able to pay its debts as and when they fall due. 3. The directors have not complied with accounting standard AASB 116 in that the buildings have not been depreciated. The directors decided that the application of the standard would not present a view of the result of operations or the state of affairs that is any more true and fair than is presented in the financial statements. The financial effect of this departure is that the operating profit and land and buildings are overstated by $66,935 for this year. 4. The directors have reviewed the impact of the introduction of Australian Equivalents to International Financial Reporting Standards and advise that no material impact is anticipated from the introduction of these standards. The company’s financial statements have been prepared in accordance with these standards. The statement is made in accordance with a resolution of the Board of Directors and is signed for and on behalf of the directors by: N. Wortlehock P. Ragen 13th Day of August 2015 AUDITOR’S INDEPENDENCE DECLARATION In relation to the audit of the financial report of the company for the financial year ended June 30, 2015, to the best of my knowledge and belief there have been no contraventions of the auditor independence requirements of the Corporations Act 2001 or any applicable code of professional conduct. 10th Day of August 2015 William Tomiczek Registered Company Auditor 1425 PAGE 9 President’s Report Members Thank you once again for the opportunity to present to you the financial report for 2014/2015. We are pleased to report a profit of $138,218 which follows on from last years profit of $186,435. This past year has been a demanding one for your Board of Directors and I take this opportunity to thank them for their service to the Club. Two very solid years trading has been the reward for the hard work put in by your Directors. As a result of changes to the Constitution at last years AGM, which included biennial elections, the current board is half way through its elected period of 2 years. This has been most beneficial as the Board is able to make longer term plans and its decisions are focused on continued growth and improvement for the benefit of the members and the community. The re-election of the majority of the Board of Directors has meant that we have been able to continue on the path of financial rejuvenation and as a result, progress with projects that had been in the planning stages for the past two years. Our main focus has been to complete the renovation of the JB Driscoll Function Room and to replace the existing Members Rewards and Gaming Management System. Both of these projects are long overdue and we are pleased to report that at the time of writing – both projects have been commenced with a planned completion to coincide with this years Annual General Meeting. The JB Driscoll Room will have undergone a complete transformation. The room has been refurbished from floor to ceiling including new paint, carpet, a suspended ceiling and much more. To enhance our growing reputation as a corporate function centre – we have up-graded the WIFI and installed a new remote controlled data projector and screen. Guests also planning social functions including weddings and parties will benefit from a full length back-drop which can be tucked away when not in use. We encourage everyone to contact our staff to arrange a viewing of our fantastic JB Driscoll Function Room. One of the most satisfying aspects of this renovation is the fact that we have been able to use local trades and suppliers. We appreciate their understanding of our needs and the high quality of the work performed. On behalf of the Board and the members, we thank them for their service and support of our Club. PAGE 10 There are many other Club facilities that will require attention in the not too distant future. We look forward to continued prosperity so that we can upgrade them as soon as our cash flow allows. We would like you to join in congratulating our staff. Our CEO – Rick Boller has ensured that the new policies, procedures and sound business principles that he put in to place in 2013/2014 have been adhered to resulting in consecutive profits. Rick is ably assisted in Admin by Katrina Gleeson, Sarah Cahill and Liz Powell. Our supervisory staff - Melissa Johnson, Alwyn Choy, Donna Poulson, Tracy Jeans and their team ensure that we – the members, are always well looked after. Thanks also go to Wayne Rowley and his maintenance team for keeping the house in good order. Early this year we welcomed Jessy and Sirat Singh as our new Contract Caterers. Jessy and his team at “Cucina Locale” bring a vibrant new style of cooking including culinary delights which have received rave reviews in the six months they have been with us. I look forward to the future with them. During September we will be celebrating our 70th Anniversary. Our hardworking Entertainment & Promotions Committee has drawn up a list of activities for us all to participate in. There will be a wide range of special draws and promotions for members to participate in and lots of opportunities to win great prizes. We hope to see you at some time during the celebrations. Members - this is the second year of the current board’s term, and is the third year of our plan to return the Club to profit and prosperity. At the end of this term your Board will be up for re-election. It would be hoped that we can retain the status quo given the hard work that has been put in and success achieved by your Directors over the past three years. Neville Wortlehock President. PAGE 11 Secretary Manager’s Report Members I am happy to report to you that the Club has achieved a profit for the year ended June 30, 2015 of $138,218. This follows on from our 2014 profit of $186,432 which, for the Members, the Board of Directors, the Management and Staff is a very pleasing result. Members would be aware from our previous reports that we have implemented several changes in the past two years and the results we have achieved are a reflection of those changes with a combined profit of $324,650. The year was not without its challenges. As reported last year we anticipated a reduction in trade particularly in our main sources of income being bar and poker machines. That being said – we have returned figures which are a significant improvement on years prior to 2013 and which have contributed to a very solid profit for the year. It is our view that the year ahead will return similar results and we are working hard to ensure that we provide incentive for our patrons to attend the Club regularly to ensure that this is so. The Board of Directors has committed to several items of refurbishment or replacement. As our President Mr. Neville Wortlehock outlines in his report – we are well underway with the refurbishment of the JB Driscoll function room. We have been successful in attracting a diverse group of companies and corporate bodies who are making use of our facilities. The completion of the refurbishment will provide much better facilities and will enhance our reputation as the premier function centre in the region. In addition to refurbishment of our facilities, we have concentrated on replacing function furniture and equipment. Items include chairs, tables, an upgrade to the WIFI System, a Kids Play area in the Dining Room as well as a range of new equipment in the kitchen. In support of our enhanced reputation are our new caterers Jessy and Sirat Singh who are trading as “Cucina Locale”. Chefs Jessy and Chandon bring a wide range of skills and expertise with them which allows for a wonderful food offering for our patrons which in turn assists us in attracting a wider range of clients. They are a wonderful and welcome addition to our Club. Regular patrons will be happy to know that the existing Gaming Management and Paging System is soon to be replaced. The new system (System 7000) is due to be commissioned in late September. This is a major acquisition for the Club which has been brought about by the hard work of the past two years. We look forward to turning on the new system and the response from members when they are able to reap the rewards it offers. PAGE 12 There are many people involved in running a company such as ours. Members have been well served by a Board of Directors who are committed to the cause and spend a great deal of their own personal time working for the Club. They are to be congratulated for engineering and driving the positive change that has taken place over the past few years. Equally – the Club staff have been actively involved in the many changes implemented and are deserving of praise. As a whole – we are a great team, working for a great club and we look forward to continuing prosperity. Rick Boller Secretary Manager PAGE 13 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 AUDITORS REPORT TO THE MEMBERS OF NARRANDERA EX-SERVICEMENS CLUB LIMITED 1. We have audited the accounts, being the Statement by the Directors, Balance Sheet, Profit and Loss Account and Notes to and forming part of the Accounts of the Narrandera Ex-Servicemen’s Club Limited for the year ended 30th June 2015. The club’s directors are responsible for the preparation and presentation of the accounts and the information they contain. We have conducted an independent audit of these accounts in order to express an opinion on them to the members of the Club. 2. Our audit has been conducted in accordance with Australian Accounting Standards to provide reasonable assurance as to whether the accounts are free of material misstatement. Our procedures include examination, on a test basis, of evidence supporting the amounts and other disclosures in the accounts, and the evaluation of accounting policies and significant accounting estimates. These procedures have been undertaken to form an opinion as the whether, in all material respects, the accounts are presented fairly in accordance with Australian Accounting Concepts and Standards and statutory requirements so as to present a view of the company which is consistent with our understanding of their financial position and results of their operations. 3. The company has not complied with accounting standard AASB 116 in that buildings have not been depreciated. Independence We are independent of the company and have met the independence requirements of Australian ethical pronouncements and the Corporations Act 2001.We have given to the directors of the company a written Auditor’s Independence Declaration. In addition to our audit of the financial report, we were engaged to undertake the services disclosed in the notes to the financial statements. The provision of these services has not impaired our independence. In our opinion, except for the departure mentioned in 3 above, the accounts of the Narrandera Ex-servicemen’s Club Limited are properly drawn up: a) So as to give a true and fair view of i) The state of affairs of the company as at 30th June 2015 and of the profit of the club for the year ended on that date; and ii) The other matters required by division 4, 4A and 4B of part 3.6 of the Corporations Law to be dealt with in the financial statements; b) in accordance with the provisions of the Corporation Law; and c) In accordance with Statements of Accounting Concepts and applicable Accounting Standards 13th day of August 2015 66 Emu Plains Rd Mt. Riverview NSW 2774 William Tomiczek Registered Company Auditor 1425 PAGE 14 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 NARRANDERA EX-SERVICEMEN'S CLUB LIMITED ACN 001 054 735 BALANCE SHEET BALANCE SHEET FOR THE YEAR ENDING 30thTHE JUNE, 2015ENDING 30th JUNE, 2015 FOR YEAR 30.06.15 30.06.14 CURRENT ASSETS Cash (3) Receivables (4) Inventories (5) Other (6) 351,215 9,231 47,827 14,916 423,189 347,565 6,148 50,391 12,976 417,080 4,246,889 3,000 4,249,889 3,924,387 3,000 3,927,387 75,823 95,340 35,143 206,306 87,688 118,242 39,482 245,412 206,306 245,412 NET ASSETS 4,466,772 4,099,054 MEMBERS FUNDS Retained Profit 4,466,772 4,099,054 NON-CURRENT ASSETS Property Plant & Equipment (7) Other Asset-Loan TOTAL ASSETS CURRENT LIABILITIES Creditors and Borrowings (8) Provisions (9) Other NON-CURRENT LIABILITIES Creditors and Borrowings (8) Provisions (9) TOTAL LIABILITIES PAGE 15 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735LIMITED ABN 90 001 054 735 NARRANDERA EX-SERVICEMEN'S CLUB ACN 001 054 735 STATEMENT OF CASH FLOWS STATEMENT OF CASHFLOWS FOR THE YEAR ENDING 30thTHE JUNE, 2015 ENDING 30th JUNE, 2015 FOR YEAR 30.06.15 30.06.14 CASH FLOWS FROM OPERATING ACTIVITIES Receipts from customers Payments to suppliers and employees 2,399,588 -2,203,197 196,391 2,526 2,534,117 -2,235,710 298,407 3,347 198,917 301,754 CASH FLOW FROM INVESTING ACTIVITIES Payments for property, plant and equipment Proceeds on sale of property plant and equipment -256,004 60,737 -251,417 24,683 NET CASH OUTFLOW FROM INVESTING ACTIVITIES -195,267 -226,734 Advances & Loans 0 -3,000 NET CASH OUTFLOW FROM FINANCING ACTIVITIES 0 -3,000 3,650 72,020 Cash at the beginning of the financial year 347,565 275,545 CASH AT THE END OF THE FINANCIAL YEAR (16) 351,215 347,565 Interest received Interest and other costs of finance Paid NET CASH FLOW FROM OPERATING ACTIVITIES (16) CASH FLOW FROM FINANCING ACTIVITIES NET INCREASE/(DECREASE) IN CASH HELD PAGE 16 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 NARRANDERA EX-SERVICEMEN'S CLUB LIMITED ACN 001 054 735 INCOME STATEMENT INCOME STATEMENT FOR THE YEAR ENDING 30thTHE JUNE, 2015ENDING 30th JUNE, 2015 FOR YEAR 30.06.15 Operating Loss before abnormal items and income tax (1 and 2) 30.06.14 138,218 186,435 138,218 186,435 Revaluation Poker Machine entitlements 4,099,054 229,500 3,836,103 76,516 Retained profits at the end of the Financial year 4,466,772 4,099,054 Operating profit after abnormal items and before income tax Income tax attributable to operating profit Operating profit after abnormal items and income tax Retained profits at the beginning of the financial year PAGE 17 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 STATEMENT OF CHANGES IN EQUITY STATEMENT OF CHANGES IN EQUITY FOR THE YEAR ENDING 30th JUNE, 2015 FOR THE YEAR ENDING JUNE 30th 30TH JUNE, 2015 2012 Retained Earnings Balance Profit Retained Earnings 2015 2014 1/07/2014 4,099,054 3,836,103 2015 367,718 262,951 4,466,772 4,099,054 PAGE 18 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 NOTES TO AND FORMING PART OF THE ACCOUNTS FOR THE YEAR ENDING 30th JUNE, 2015 NOTE 1 - STATEMENT OF ACCOUNTING POLICIES The accounts have been prepared in accordance with Statements of Accounting Concepts, applicable Accounting Standards and the Corporations Law, including the disclosure requirements of Schedule 5. The accounts have also been prepared on the basis of historical cost and do not take into account changing money values, or, except where stated current valuations of non-current assets. The accounting policies have been consistently applied unless otherwise stated. The following is a summary of the significant accounting policies adopted by the Company preparation of the accounts. a) Inventories Inventories are measured at the lower of cost or net realisable value b) Property, Plant and Equipment Property, plant and equipment are brought to account at cost, less, where applicable, any accumulated depreciation or amortisation. The depreciable amount of all fixed assets including capitalised leased assets but excluding freehold land and buildings are depreciated over their useful lives commencing from the time the asset is held ready for use. Poker Machine Entitlements are not valued at cost but at current market value as determined by the Directors. c) Leases Leases of fixed assets, where substantially all the risks and benefits incidental to the ownership of the asset, but not legal ownership, are transferred to the company, are classified as finance leases. Finance leases are capitalised recording an asset and a liability equal to the present value of the minimum lease payments. Including any guaranteed residual value. Leased assets are amortised over their estimated useful lives. Lease payments are allocated between the reduction of the lease liability and the lease interest expense for the period. d) Employee Benefits Provision is made in respect of the company’s liability for annual leave, and long service leave. Long service leave is accrued in respect of all employees with more than five years service with the Club. Contributions are made by the club to an employee superannuating fund and are charged as expenses when incurred. The Club has no legal obligation to provide benefits to employees on retirement. e) Cash flow For the purpose of the statement of cash flows, cash includes: i) Cash on hand and in at call deposits with banks or financial institutions, net of bank overdraft. PAGE 19 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 NARRANDERA EX-SERVICEMEN'S CLUBFINANCIAL LIMITED SUPPLEMENTARY INFORMATION ACN 001 054 735 NOTES TO THE PROFIT AND LOSS ACCOUNT SUPPLEMENTARY FINANCIAL INFORMATION FOR THE YEAR ENDING 30th JUNE, 2015 NOTES TO THE PROFIT AND LOSS ACCOUNT FOR THE YEAR ENDING 30th JUNE, 2015 30.06.15 NOTE 2 OPERATING PROFIT 30.06.14 Operating Profit before abnormal items and income tax has been determined after: Charging as expenses: 138,218 186,435 Depreciation of Plant and Equipment 162,571 143,905 300,789 330,340 4,400 4,400 8,800 4,400 4,400 8,800 Crediting Income Sales Revenue Interest Received Profit sale of plant Other Revenue 634,457 2,526 60,737 1,768,214 672,666 3,348 24,683 1,859,766 TOTAL REVENUE 2,465,934 2,560,463 64,979 64,461 129,841 39,733 20,839 13,402 22,019 60,402 351,215 176,722 49,133 24,422 10,000 22,039 788 347,565 Auditor's Remuneration For Auditing Accounts For other services NOTE 3 CASH Cash on Hand Bendigo Bank, Narrandera Cash Management Account /Mortgage Fund Current Account Keno Account Imprest Account TAB Account Building &Renovation Account PAGE 20 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 NARRANDERA EX-SERVICEMEN'S CLUB FINANCIAL LIMITED SUPPLEMENTARY INFORMATION ACN 001 054 735 NOTES TO THE PROFIT AND LOSS ACCOUNT SUPPLEMENTARY FINANCIAL INFORMATION FOR THE YEAR ENDING 30th JUNE, 2015 NOTES TO THE PROFIT AND LOSS ACCOUNT FOR THE YEAR ENDING 30th JUNE, 2015 30.06.15 NOTE 4-RECEIVABLES Trade Debtors/Security Deposits 30.06.14 9,231 6,148 46,181 1,646 47,827 47,298 3,093 50,391 3,550 8,711 2,655 14,916 0 3,154 8,495 1,327 12,976 Freehold Land and Buildings-at cost Core Property 2,936,513 2,927,311 Plant and Furniture-at cost Less Accumulation Depreciation 3,949,134 3,327,258 621,876 3,874,709 3,336,633 538,076 3,000 3,000 688,500 459,000 4,249,889 3,927,387 NOTE 5-INVENTORIES Stock on hand -Bar -Monster Competition Total NOTE 6-OTHER CURRENT ASSETS Prepayments -Insurance -Service Contracts -Other Membership Cards/Postage NOTE 7-PROPERTY, PLANT & EQUIPMENT Other non-current asset-Loan Poker machine entitlements-at valuation (2015) PAGE 21 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 NARRANDERA EX-SERVICEMEN'S CLUBFINANCIAL LIMITED SUPPLEMENTARY INFORMATION ACN 001 054 735 NOTES TO THE PROFIT AND LOSS ACCOUNT SUPPLEMENTARY FINANCIAL INFORMATION FOR THE YEAR ENDING 30th JUNE, 2015 NOTES TO THE PROFIT AND LOSS ACCOUNT FOR THE YEAR ENDING 30th JUNE, 2015 30.06.15 NOTE 8-CREDITORS & BORROWINGS 30.06.14 CURRENT Trade Creditors 75,823 87,688 Total 75,823 87,688 36,362 58,978 42,481 75,761 95,340 118,242 2,972 28,340 3,831 35,143 1,680 25,876 11,927 39,483 NOTE 9-PROVISIONS CURRENT Provisions for Annual Leave Provisions for Long Service Leave NOTE 10-OTHER CREDITORS AND BORROWINGS Subscription in advance Accrued Expenses Link payouts PAGE 22 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 NARRANDERA EX-SERVICEMEN'S CLUB LIMITED ACN 001 054 735 SUPPLEMENTARY FINANCIAL INFORMATION TO THE PROFIT AND LOSS ACCOUNT SUPPLEMENTARYNOTES FINANCIAL INFORMATION FORAND THELOSS YEARACCOUNT ENDING 30th JUNE, 2015 NOTES TO THE PROFIT FOR THE YEAR ENDING 30th JUNE, 2015 30.06.15 30.06.14 NOTE 13-DIRECTOR Emoluments Remuneration received or due and Received by all directors of the club -Presidents allowance -Other expenses Number of directors whose income From the club fall within the Following band: $0-$9,999 7,500 5,814 7,500 1,769 1 1 4,974 0 NOTE 14-RELATED PARTIES During the financial year the following directors of the club, received amounts as consideration for services provided to the club Paul Ragen PAGE 23 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 SUPPLEMENTARY FINANCIAL INFORMATION NOTES TO THE PROFIT AND LOSS ACCOUNT FOR THE YEAR ENDING 30th JUNE, 2015 NOTE 15 - RECONCILIATION OF OPERATING PROFIT AFTER INCOME TAX TO NET CASH INFLOW FROM OPERATING ACTIVITIES. Operating Profit after income tax and abnormal items Profit on sale of fixed assets Depreciation and amortisation Changes in operating assets and liabilities Increase in trade debtors Decrease in inventories Increase in prepaid expenses Decrease in trade creditors and accruals Decrease in other provisions Total 30.06.15 30.06.14 138,218 -60,737 162,571 186,435 -24,683 143,905 -3,083 2,564 -1,940 -16,205 -22,902 198,486 1,685 -14,802 8,270 26,379 -752 326,437 NOTE 17 - RECONCILIATION OF CASH The cash figure as shown in the balance sheet is reconciled to cash as at the end of the financial year as disclosed in the statement of cash as follows:Cash Bank and on hand Balance as per statement of cash flows 351,215 351,215 PAGE 24 347,565 347,565 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 NARRANDERA EX-SERVICEMEN'S CLUB LIMITED ACN 001 054 735 SUPPLEMENTARY FINANCIAL INFORMATION SUPPLEMENTARY FINANCIAL INFORMATION NOTES TO THE PROFIT AND LOSS ACCOUNT NOTES TO THE PROFIT AND LOSS ACCOUNT FOR THE YEAR ENDING 30th JUNE, 2015 FOR THE YEAR ENDING 30th JUNE, 2004 2015 30.06.15 Bar (1) Poker Machines (2) Sports Committee (3) Monster Competition (4) Keno (6) Other Income (7) TAB (9) Total Less: Overhead Expenses (10) Net Profit 30.06.14 75,465 1,213,315 3,940 849 57,888 115,841 -23,150 1,444,148 106,187 1,241,647 1,042 1,895 58,424 79,461 -22,793 1,465,863 1,305,930 138,218 1,279,428 186,435 509,794 553,046 Less Closing Stock Cost of Sales Gross Trading Profit 47,298 224,060 271,358 46,181 225,177 284,617 32,161 264,809 296,970 47,298 249,672 303,374 Gross Profit Percentage 55.83% 54.86% Less Expenses: Bar Wastage Bar Freight Bar Requisites Bar Wages 12,021 6,331 9,560 181,240 8,848 7,199 6,004 175,136 Total 209,152 197,187 75,465 106,187 NOTE ONE - BAR TRADING ACCOUNT Sales - Bar Less Cost of Sales: Opening Stock Purchases Net Bar Profit/ (Loss) PAGE 25 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 NARRANDERA EX-SERVICEMEN'S CLUB LIMITED ARRANDERA EX-SERVICEMEN'S CLUB LIMITED SUPPLEMENTARY FINANCIAL INFORMATION CN 001 054ACN 735001 054 735 NOTES TO THE PROFIT AND LOSS ACCOUNT SUPPLEMENTARY INFORMATION UPPLEMENTARY FINANCIAL FINANCIAL INFORMATION FOR THE YEAR ENDING 30th JUNE, 2015 NOTES TO THE PROFIT AND LOSS ACCOUNT OTES TO THE PROFIT AND LOSS ACCOUNT FOR ENDING THE YEAR ENDING 30th JUNE, 2015 OR THE YEAR 30th JUNE, 2015 NOTEMACHINE 2- POKERPROFIT MACHINE PROFIT AND LOSS ACCOUNT OTE 2- POKER AND LOSS ACCOUNT 30.06.15 30.06.15 30.06.14 30.06.14 Poker Machine Proceeds oker Machine Proceeds 1,617,569 1,617,569 1,702,170 1,702,17 Less Expenses: ess Expenses: Data Monitoring ata Monitoring Supplementary Tax upplementary Tax I fees etc S I fees etc Paging system aging system Poker Machine Wages oker Machine Wages Repairs and Maintenance epairs and Maintenance Poker Machine Promotions oker Machine Promotions Jackpot Provision nk Jackpot Link Provision Poker Machine Stationery oker Machine Stationery Total otal Poker Machine Profit/(Loss) oker Machine Profit/(Loss) 26,819 217,268 7,220 2,392 114,969 32,447 9,216 -8,096 2,019 404,254 1,213,315 26,819 217,268 7,220 2,392 114,969 32,447 9,216 -8,096 2,019 404,254 1,213,315 26,068 232,865 7,660 3,189 132,994 32,682 13,924 9,199 1,942 460,523 1,241,647 26,06 232,86 7,66 3,18 132,99 32,68 13,92 9,19 1,94 460,52 1,241,64 Competition etc. ompetition etc. 46,792 46,792 42,596 42,59 Less Expenses: ess Expenses: Sports prize and Trophies ports prize and Trophies Sports committee ports committee Profit/ (Loss)Profit/ (Loss) 42,852 3,940 42,852 3,940 41,554 1,042 41,55 1,04 NOTE 3SPORTS COMMITTEE AND LOSS ACCOUNT OTE 3- SPORTS COMMITTEE AND LOSS ACCOUNT NOTE 4-COMPETITION MONSTER COMPETITION PROFIT AND LOSS ACCOUNT OTE 4- MONSTER PROFIT AND LOSS ACCOUNT cket Sales Ticket Sales 77,871 77,871 77,024 77,02 Less Expenses: ess Expenses: Opening Stock pening Stock urchases Purchases Total otal ess: ClosingLess: StockClosing Stock Total otal Wages ages Monster Profit/ Competition onster Competition (Loss)Profit/ (Loss) 3,093 72,501 75,594 1,646 73,948 3,074 849 3,093 72,501 75,594 1,646 73,948 3,074 849 3,428 74,794 78,222 3,093 75,129 3,42 74,79 78,22 3,09 75,12 1,895 1,89 PAGE 26 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 NARRANDERA EX-SERVICEMEN'S CLUB LIMITED ACN 001 054 735 SUPPLEMENTARY FINANCIAL INFORMATION TO THE PROFIT AND LOSS ACCOUNT SUPPLEMENTARYNOTES FINANCIAL INFORMATION FOR THE YEAR ENDING 30th JUNE, 2015 NOTES TO THE PROFIT AND LOSS ACCOUNT FOR THE YEAR ENDING 30th JUNE, 2015 NOTE 6- KENO PROFIT AND LOSS ACCOUNT 30.06.15 30.06.14 Ticket Commission Less expenses 88,995 95,179 Keno Maintenance Expenses Keno Promotions Keno Wages Keno Stationery Total Keno Profit/(Loss) 5,093 14 24,774 1,226 31,107 57,888 6,338 1,412 27,643 1,362 36,755 58,424 17,180 7,100 2,526 60,737 7,185 5,380 2,176 11,613 1,944 115,841 17,180 5,200 3,348 24,683 7,705 3,575 0 11,566 6,204 79,461 9,072 10,988 19,395 12,827 32,222 -23,150 19,978 13,803 33,781 -22,793 NOTE 7- OTHER INCOME GST rebate Utilities Contribution Interest Revenue Profit sale of Non Current Assets Subscriptions Conference Fees Insurance Recoveries ATM income Bar Rebate Total NOTE 9 - TAB Commissions/Rebates Less expenses TAB Expenses Wages Total TAB Profit/Loss PAGE 27 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 LIMITED ABN 90 001 054 735 NARRANDERA NARRANDERA EX-SERVICEMEN'S EX-SERVICEMEN'S CLUB CLUB LIMITED ACN 001 ACN054 001735 054 735 SUPPLEMENTARY FINANCIAL INFORMATION SUPPLEMENTARY SUPPLEMENTARY FINANCIAL FINANCIAL INFORMATION INFORMATION NOTES TOLOSS THE ACCOUNT PROFIT AND LOSS ACCOUNT NOTES NOTES TO THE TO PROFIT THE PROFIT AND LOSS AND ACCOUNT FOR THE YEAR ENDING 30th JUNE, 2015 FOR THE FOR YEAR THE YEAR ENDING ENDING 30th JUNE, 30th JUNE, 2015 2015 30.06.15 30.06.15 NOTENOTE 10- OVERHEAD 10- OVERHEAD EXPENSES EXPENSES Advertising Advertising 13,140 13,140 Auditors' Auditors' RemunerationRemunerationAudit Audit Services Services and Accounting and Accounting 8,8008,800 AnzacAnzac Commerations Commerations 4,1504,150 Bad Debts Bad Debts 0 0 Bank Bank Charges Charges 1,3301,330 BingoBingo 12,122 12,122 Cash Cash Shortages/returned Shortages/returned cheques cheques 837 837 Cleaning Cleaning and laundry and laundry 22,409 22,409 Computer Computer Expenses Expenses 7,8387,838 Courtesy Courtesy Bus Expenses Bus Expenses 7,4797,479 Depreciation Depreciation 162,571 162,571 Donations/Sponsorship Donations/Sponsorship 21,218 21,218 Fuel and FuelElectricity and Electricity 130,325 130,325 -Annual -Annual LeaveLeave Paid Paid 49,112 49,112 -Annual -Annual LeaveLeave Provided Provided -6,119-6,119 -Long-Long Service Service LeaveLeave Paid Paid 21,171 21,171 -Long-Long Service Service LeaveLeave Provided Provided -16,783 -16,783 -Sick -Sick LeaveLeave Paid Paid 9,7119,711 Insurance-General Insurance-General 38,198 38,198 InsuranceInsuranceWorkers Workers Compensation Compensation 20,386 20,386 LegalLegal Fees Fees 7,2997,299 Licenses Licenses and Subscriptions and Subscriptions 13,373 13,373 Managers Managers Expenses Expenses 1,8761,876 Members Members Amenities Amenities 101,283 101,283 Payroll Payroll Tax Tax 9,8039,803 Postage Postage 3,5373,537 Printing Printing and Stationary and Stationary 12,015 12,015 Promotions/Raffles Promotions/Raffles 5,7225,722 RatesRates and Taxes and Taxes 15,115 15,115 President/Directors President/Directors Expenses Expenses 13,314 13,314 Repairs Repairs and Maintenance and Maintenance 59,372 59,372 Staff Expenses Staff Expenses 33,919 33,919 Staff Training Staff Training 6,7966,796 Security Security 5,6925,692 Springtime Springtime Luncheon Luncheon 1,8011,801 Superannuation Superannuation ContributionsContributionsEmployees Employees 73,677 73,677 Telephone Telephone 13,278 13,278 WagesWagesAdministration Administration 214,334 214,334 -Door-Door 75,762 75,762 -Cleaning -Cleaning 88,117 88,117 -Courtesy -Courtesy Bus Bus 39,774 39,774 Workers Workers compensation compensation payments payments 2,1762,176 Total Total overhead overhead expenses expenses 1,305,930 1,305,930 PAGE 28 30.06.14 30.06.14 6,0816,081 8,8008,800 0 0 384 384 1,2251,225 11,658 11,658 2,1442,144 25,837 25,837 8,1228,122 6,8686,868 143,905 143,905 29,887 29,887 150,400 150,400 59,615 59,615 -7,452-7,452 5,9295,929 6,7006,700 9,7619,761 39,660 39,660 23,652 23,652 5,6275,627 11,874 11,874 0 0 102,899 102,899 8,3118,311 1,6701,670 9,7579,757 -1,352-1,352 15,210 15,210 9,2709,270 54,929 54,929 28,154 28,154 4,2714,271 6,4636,463 0 0 70,537 70,537 12,728 12,728 201,169 201,169 75,365 75,365 84,781 84,781 44,589 44,589 0 0 1,279,428 1,279,428 Narrandera Ex-Servicemen’s Club Limited ACN 001 054 735 ABN 90 001 054 735 STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME FOR THE YEAR ENDING 30th JUNE, 2015 Revenue Other Revenue Cost of Sales Other Income Administration Expenses Operating profit before income tax Income tax attributable to operating profit Operating profit after income tax PAGE 29 2015 2014 634,457 1,770,740 -341,977 2,063,220 60,737 -1,985,739 138,218 0 138,218 672,667 1,863,113 -366,536 2,169,244 24,683 -2,007,672 186,255 0 186,435 FUNDING/SUPPORT RECIPIENTS 2014 / 2015 Narrandera East Infants Narrandera Public School Narrandera High School Narrandera Public School St Josephs P & A Association Numeralla Wildlife Care Narrandera Meals on Wheels Legacy {Narrandera} Narrandera Rescue Squad Multiple Sclerosis Ltd Narrandera Cricket Inc Narrandera Swimming Club Narrandera War Widows Narrandera Over 50’s Rotary Club - Circus Quirkus Narrandera Karate Club Baptist Community Services Narrandera Lions Club Narrandera Probus Club Narrandera Line Dancers Family & Community Services Riverina AFL Narrandera CanAssist John O’Brien Festival Committee Narrandera Landcare Bendigo Bank - Narrandera Lake Talbot Environs Committee Teloca House Pen to Paper Writers Group Youth Off The Streets Tirkandi Inaburra Narrandera Rodeo Bidgee Hurricanes Narrandera UNISEX Darts Narrandera Darts Association Narrandera Pool Association Narrandera Shire Council Narrandera Tourism Narrandera Business Group Narrandera Community Radio Narrandera Camera Club Narrandera Race Club The Cypress Centre ANZAC – Sunshine Play Leukaemia Foundation Ladies Defence Class Narrandera Pony Club AFL South West Juniors Narrandera Domestic Violence Committee Foster Kinship Care & Support Group Rockin on East Festival Committee Narrandera Country Music Association Narrandera Junior Rugby League Narrandera Imperials Football/Netball Club Classic Debutante Ball Committee Narrandera Charity Debutante Ball Committee Senior Citizens and Welfare Group Narrandera Sportsperson of the Year Committee Centenary of ANZAC Committee Narrandera Returned Services League Sub Branch PAGE 30 Mission Statement 1. Narrandera Ex-Servicemen’s Club is committed to providing high quality services and amenities to members, guests, visitors and the Narrandera community at large. 2. Our enthusiastic employees strive to build a progressive corporate identity within the community through commitment to high levels of customer satisfaction. 3. Narrandera Ex-Servicemen’s Club is committed to conducting our business in compliance with the laws and regulations under which we operate and by following the Registered & Licensed Clubs – Code of Practice. The requirements of the Code reflect the Club movements underlying values of honesty, fairness, integrity, mutuality, compassion and community. PAGE 31