GIFFNOCK SOUTH PARISH CHURCH
Of SCOTLAND
TRUSTEES ANNUAL REPORT
And
CONGREGATIONAL ACCOUNTS
Year ended 31 December 2024
Congregation number: 160861
Charity number: SC007807

Trustees Annual Report of Giffnock South Parish Church of Scotland
Year Ended 31 December 2024
The truslees presenl their annual report and financial statements of the charity for the year ended 31
December 2024. The financial statements have been prepared in accordance with the accounting
policies set out on page 10 of the accounts and c¢ynply with the General Assembly Regulations for
Congregational Finan￿, the Chartties and Trustee Investment (Scotland) Act 2005, the Charities
Accounts (Scotland) Regulations 2006 (as amended) and Accounting and Reporting by Charities..
Statement of Recommended Practi￿ applicable to charities preparing their account5 in accordance with
the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) {effective 1
January 2019)
Objectives
The Church of Scotland is Trinitarran in doctrrne. refonned in tradition and Presbyterian in polity. It exists
to glorify God arKJ to work for the advan￿ment of Christ's Kingdom throughout the world. As a national
Church, it acknowledges a distinctive call and duty to bring the ordinan￿$ of religion to the people in
every parish of Scotland through a territorial ministry. It GcFoperates with other Churches in various
ecumenical bodies in Scotland and beyond.
Activitias, Achievements and Performance
The Piesbytery Mission Plan has again taken up much time aNJ eneigy throughout 2024 and Cluster
discussions are ongoing. The cluster now has 6 congregations after both Orchardhill and Williamwood
decided to leave the cluster. This means that our cluster now has a 2.5 ministry allocation.
Our membership currently sits at 485 members and our minister conducted 27 funerals. 3 weddings and
3 bapiisms throughout 2024.
Special services this year included Hariest Thanksgiving, Remembrance Sunday, Nine Lessons and
Carols, Sunday School Nativity, Christingle and Watchnight setvices on Christmas Eve. Midweek Advent
and Lent services were also held with an average attendan￿ of 16. Communion services were held on
the first Sunday in February, second Sunday in May. the first Sunday in October and the first Sunday in
Advent.
We are fortunate to still have children attending Sunday Schcol every fortnight and their atterKlance in
Church brings energy and enthusiasm lo our servI￿s.
The chcNr urKler the excellent direction of our organist.
throughout the year.
ontinue to lead us in worship
The Nurturing Faith Group continue to send out 8 monthly prayer list to those in the Prayer Circle. This
list is updated every month by Moiag Stephen and includes not On￿ the needs of our own congregation
but encourages prayer for our community, the wider Church, and our world.
Zoom meetings to discuss the sermon took pla￿ over 6 weeks from tfE beginning of Octoter which
generated some thought provoking and challenging discussion.
The Men's lunch meets every month in Loks Bar and Grill with an average of 17 attending.
The Kirk Session agreed this year to partner wtth Kintsugi Hope to run wellbeing groups. We ran our first
group in February, and this ran for 12 weeks. Feedback frc¥n those who attended was very positive and
it is hoped to run anolher group in 2025 that will attract more people from our local communty
Sing Well meets on the second Wednesday of every month and provides an opportunity for those who
love music to enjoy community singing and a cup of tea and a blether.
Monthly Saturday lunch time concerts take place each month throughout the year and are organised by
our organist.

In Harrnony Choir continues to thrive with concerts in June and December well supported and
. appreciated.
We continue to support the Sunshine Café, a weekly get together for people with dementia which is held
in Giffnock URC halls. They provide a lunch of 50up and sandwiches, followed by games and music.
The church continues to support Kwenderana with money raised from the after seNice tealcoffee
donations.
Tha Church charity this year was Cystic Fibrosis Trust and fund-raising events took the form of a 'Wear
Yellow For Cystic Fibrosis, in June and a Quiz Night in November.
Three members volunteer at the Lodging House Mission worf<ing in the kitchen or serving food to the
Sefvice users. The Mission is also supported by offerings from our Watchnight and Christmas Day
Services and donations from our Harvest Thanksgiving Service and Easter Eggs during Lent.
Christian Aid collections wer8 again ably organEed in May b
Used stamp collections have recently restarted and money raised goes to assist the work of Al Ahli
Hospital in Northern Gaza.
The ￿InnIng arrangement wrth Pollokshaws Parish Church continues with support from members of
Giffnock South and our church administrator prepares and piints their wpekly order of seNice.
Our members continue to provide support for the Food bank at Carnwadric Parish Ghurch with food
being delivered to them every week by a small team of dedicated helpeis.
Our Safeguarding Co-ordinator, ￿COntInueS to work hard to ensure all our employees,
volunteers and truSt￿S are PVG checked and appropriately trained.
The Fabric Group continues to benefit from the investment in recent years in the renewal of leadwork to
the roof of the church. the heating system and insulation works, and can now concentrate on norrnal
maintenance of facilities to ensure that our church buildings are kept in a welcoming, warm and safe
place for all. The lighting in both of our halls was upgraded- the Eglinton fitments were changed for more
efficient LEDS and the Winton fitments adapted to utilise LED lamps instead of halogens.
We are hugely indebted to our Finance Team both for their skill and Gofflmitment in dealing with all the
financial matters within our church. Reappraisal took place this year in November and again packs were
posted out and returned to lain Grimmond, our Treasurer. We were delighted that we received £16,275.
We are deeply grateful to all our members who contributed in what has been another difficult and
challenging year for all of us.
We are grateful to our caretaker
Finally, we cannot forget the hard Work of our Church administrator.
top of all our adminislration, hall letting agreements. advertising and ma,iy o-hei Lasks.
ho looks after our Church and halls.
who keeps on
Risk Management
The Fabric and Stewardship & Finance Groups are jointly managing the risks associated wth the
funding of the congregation's commitments to the Maintenan￿ of buildings and to the widei church.
Regulatory Complian￿ is monitored by maintaining and reviewing a compliance log and addressing any
issues which arise.

Investment Policy
Investments have been placed wff(h the three funds of the Church of Scotland Investors Trust and these
are regularly reviewed by the Stewardship & Finance Group to ensure the best overall return.
The performan￿ of the funds during 2024 against the benchmarks agreed with the fund managers was..
Deposit Fund (a cash fund for short-term investment) - the average interest paid on deposits was
5.10/0 matching average UK Base Rate of 5.41 %.
Income Fund (a predominantly fixed interest based fund) the total return was 6.8 % against a
benchmark of 1.70￿.
Growth Fund (a predominantly equity based fund) the total return was 11.6% againsl a
benchmark of 16.30
Financial Review
The principal source of income continues to be from regular offerings, and a successful annual
Reappraisal which is implemented in November. This seeks from members a lump sum donation and a
commitment to review and, if appropriate, increase regular annual giving. The lump sum contribution as
in prior years has been allocated to General Income to cover ongoing costs. The congregation has again
responded generously this year with £16,275 being donaled, plus Gift Aid tax recovered, which is a very
commendable result. Regular offerings in 2024. including Reappraisal and Gift Aid tax, totalled £137,317
compared with £147,406 in 2024. Income from hall rentals fell slightly to £31,178 compared to £32,780
in 2023 but the rental re￿1Ve￿ from the fomer Church offi￿r'S house increased from £6,640 to £8,818.
We were most grateful to receive three legacies totalling £21,250.
Unrestricted expenditure in 2024 was £182,544 (2023- £179,669) with no major fabric repairs required,
but rising energy costs. Our Giving to Grow contribution to the national church to cover the costs of
ministry and other work was £86,121 (2023 - £88.813). Salary costs rose from £31,618 to £34,352. The
result was a surplus of £17,319 in unrestricted funds against a budgeted surplus of £2,096.
After adjusting for unrealised investment gains of £13,191, total funds increased from £720,276 to
£750,786, comprising unrestricted funds of £113,596 and restricted funds of £637.190.
Reserves Policy
It is the Trustees, policy to hold unrestricted reserves of at least 6 months, ordinary income. The total of
the General Fund and the Legacy Fund of £113,596 at the year-end equated to 6.8 months.
Reserves held in all funds at 31 December 2024 are as detailed in the notes to the Accounts.
Reference and Administrative Information
Structure, Governance and Management
Governing Document
The Church is administered in accordance with the terms of the Unitary Constitution.
Recruitment and Appointment of Trustees
Members of the Kirk Session are the charity trustees. The Kirk Session members are the elders of the
church and are chosen from those members of the church who are considered to have the appropriate
gifts and skills. The minister. who is a member of the Kirk Session, is elected by the congregation and
inducted by Presbytery.

Organisalional Structure
'The Kirk Session meets fomally five times during the year and receives reports from conveners of the
Action Groups on all ielevant issues.
Charity Name:
Charity Registratic￿ Number-.
Congregation Refer￿* No:
Contact Address..
Giffnock South Parish Church of Scclland
SC007807
160861
The Church Office
2 Gr*nhill Avenue
Giffnock
Glasgow
G48 6QX
Principal Office.bearers
Independent Examiner
Bankers
Bank of ScotlarKI
Trustees
Ministsr..
Kirk Session

Trustees, Annual Report
Year ended 31 Dècember 2024
Trustses. Responsibilities in Relation to the Financial Statements
The charity trustees are responsible for preparing a trustees. annual repc)rt and financial statements in
accordance with applicable law and United Kingdom Accounting Standards (United Kingdom Generally
AC￿pted Accounting PraGtice).
The law applicable to charities in Scotland requiTes the charity trustees to prepare financial statements
for each year which show a true and fair view of Ihe slate of affairs of the charity and of the Incoming
resources and application of reSoUr￿s, of the charity for that period. In preparing the financial
slatements, the trustees are required to:
select suitsble accounting policies and then apply them consistently;
observe the methijd and prin(aples in the applicable CharitEs SORP;
makejudgements and eslimates that are reasonable and prudent"
slate whether applicable accounting standards and statements of recommended practice have
been followed. subject to any departures disclosed and explained in the financtal statements.
prepare the financial statements on the going concern basis unless it is inappropriate to presume
that the charity will continue in operational existence.
The trustees are responsible for k￿pIng proper accounting records which disclose wilh reasonable
accuracy at any tirne the financial position of the charity and to enable them to ensure that the financial
statements comply with the Charities and Trustee Investment (Scotland) Act 2005 and the ChaTlties
Accounts (Scotland) Regulations 2006 (as amended). They are also responsible for safeguarding the
assets of the charity and hen￿ for taking reasonable steps for the prevention and detection of fraud and
other irregularities.
The trustees are responsible for maintenance and integrity of the charity and financial information on
the congtegalion's website. Legislation in Ihe United Kingdo¥n governing the preparation and
dissemination of financial statements may drfter from legislation in otherjurisdictions.
Approved by the Trustees and suned on their behalf,
Date:

Giffnock South Parish Church of SGolland
SC007807
Independent Examiner's Report to the Trustees of Giffiiock South Parish Church
I report on the accounts of the d12rity for the year ended 31st December 2024 which are set out on
following pages 8 to 14.
Respective responsibilities of trustees and examiner
The charity's trustees are responsib￿ for the preparation of the accounts in accordan￿ with the terms of
the Charities and Trustee Investment {Scotlarxl) Act 2005 and the Charities Accounts (Scotland)
Regulations 2006 (as amended).
The charity trustees consider that the audit requirement of Regulation 10 (1) (a) to (cl of the 2006
Accounts Regulations does not appty. It is my responsibility to examine the accounts as required under
section 44(1) (c) of the Act and lo stste whether particular matters have come to my attention.
Basis of independent Examiner's statement
My examination is carried out in accordance wrth Regulation 11 of the 2006 Charities Accounts
(Scotlandl Regulations 2006 las amended). An examination includes a review of the 2ccounting records
kept by the charity and a comparison of the accounts presented with those records. It also includes
consideration of any unusual items or disck)sures in the a￿ountS and seeks explanations from the
trustees concerning any suGh matters. The proTrdures undertaken do nol provide all the evidence that
would be required in an audit and consequently I do not express an audit Dpinion on the view given by
the accounts.
Independent Examiner's statement
In the Course of my examination, no mattar has Come to my attention
1. Which gives me reasonable cause to believe that in ar)y malerial respect the requirements..
To keep accounting records in accordance with Section 44 (1)(a) of the 2005 Act and RegU￿tIOn
4 of 2006 Accounts Regulations ias amended), and
To prepare accounts which accord with the a(Lounting records and comply with Regulation 8 of
the 2006 Accounts Regulations (as amended) have not been met. or
2. To which, in my opinion, attention should be drawn in order to enable a proper understanding of
the accounts to be reached
Date

Glffnock South Parfsh Church
Statement of Financlal Actlvities
Year ended 31 December2024
Unrestritted Restritted
Lkniesti*ted ResitKted
Funds
Funds
F￿￿￿$
Futsds
Tot¥1
2023
2023
023
Incorne fvom..
Donations and le8acles
CharitaNeaciiwties weddiny ènd fufierals
Other tfadins actiwties- hall rents
Church Officer's House- iontal
Investments
148,406
1,712
32,780
6.640
148.406
L3rKI
31.178
YLin
32,780
6,640
4.282
273
273
4,282
2B
189.548
4,282
193,830
R•iSin8 funds- FWO
Charitsblt4ctyvities
150
150
&2TJ
179519
4.7Z4
184.243
18B.817
179.669
4.724
184,393
14¢t 1ncomell¢xpe4￿￿yr1j tyefore 8*$0Tr
I￿￿$1MentS
17.319
17.319
9A79
9.437
GalnllL0551 on 5aleollnvestfflents
GainllLossl on I￿alUatiOn of investri￿tr
13.191
11.219
NEt In[u￿tI(￿Np¢nditur¢D
17,319
30,510
9￿79
10.777
20,656
Transl*r% ￿1￿**￿ Funds
Nyi rnovernent tn f￿Tr
17.319
510
9.879
10.777
20,656
Recon¢lllatk)n ollunds..
Totall￿ndS ￿0v8h1 knwaid
277
621W3
86.398
613.222
699.620
637.1
96,277
623.999
720,276

.Giffnock South Parish Church
Balan￿ Sheet at 31 December 2024
2024
2023
Flxed Asseis
Heritable property
Investments
673
195,534
207
498,fj73
167.352
666.025
Current Assets
Debtors
Cash ondepositand atbank
12,498
53.640
13.441
42.2L6
SS.657
Current Ilabllltlts
Credltors fallin8 due wthin one year
9,559
IAOG
Net Current Auèt$
5fi579
54.251
Net A55ets
720.276
The funds of the charlly
Unrestrlrted Funds
io
General funds
32,809
80,787
36.740
59,537
Deslgnated funds
ll3.$96
96,277
Rèstrlded Funds
io
637.1￿1
623.999
Total Funds
720.276
The ac¢ounts were approved by the Kirk Session on 26th March 2025
For 3 nd on behalf of the Kirk Session

Giffnock South Parish Church
Accountlng Policies
The principal accounting policies, which have been applied consistently in the current and preceding years in
dealing with items which are considered material to the accounls except for the treatment of the Manse, are set
out below. With regard to the Manse. this is included at cost including refurbishment expenditure sin
acquisition. As it was acquired in late 2009, il was considered neither ne￿$sary nor relevant to revalue it. The
revised accounting policy with respect to Herilable Property is detailed below.
Basis of preparation
The financial statements have been prepared in accordance with Accounting and Reporting by Charities..
Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the
Financial Reporting Standards applicable in the UK and Republic of Ireland {FRS102} effective from 1 January
2019 and the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS102). the Charities
and Trustee Investment (Scotland) Act 2005 and the Charities accounts (Scotland) Regulations 2006 (as
amended)
Fund Accounting
Funds are classified as either restricted funds or unrestricted funds, defined as follows.
Restricted funds are funds subject lo specrfic requirements as to their use, which may be declared by the donor or
with their authority or created through legal processes, but still y￿thIn the wider objects of the charity.
Unreslricled funds are expendable at the discretion of the trustees in furtheran￿ of the objects of the charity. If
parts of the unreslricled funds are earmarked at the discretion of the trustees for a particular purpose, they are
designated as a separate fund. This designation has an administrative purpose onty and does not legally restrict
the trustees, discretion to apply the fund.
Going Concern
The Trustees consider that there are no material uncertainties about the ability of the congregation to continue for
the foreseeable future, and therefore have adopted the going concern basis in preparing these accounts.
Incoming resources
All donations and gifts are included within incoming resour￿$ under either unrestricted or restricted funds
according lo the terms under which the donation is made and when Ihe amount can be quantified with reasonable
certainty. Donations and gtfts in kind are brought into the accounts at their market value to the charity.
Resources expended
Expenditure is recognised on an accruals basis as the liability is incurred.
Heritable Property
The charity has the right to occupy and use for its charitable obiecls certain tangible fixed assets, including Ihe
Church, halls and Church Officer's house, vested in the Church of Scotland General Trustees, also the Manse,
the lilles lo which are held in safe custody on behalf of the congregation. No consideration is payable for the use
of these assets. Expenditure incurred on the repair and maintenance of these assets is charged as resources
expended in the statement of financial activities in the period in which the liability arises except as part of the
acquisition where these are capitalised. The Manse has been incorporated in the Accounts al cost and the value
will be revalued as deemed appropriate by the Trustees. Where a material difference exists between the market
value and the accounts. a revaluation or impaimient wll be recorded.
Investments
Investments are slated at market value at the balance sheet date. Unrealised gains and losses represent the
difference bel￿een the market value at the beginning and end of the financial year or. if purchased in the year. the
difference between cost and market value at the end of the year.
Taxation
Giffnock South Parish Church is recognised as a charity for the purposes of applicable taxation legislation and is
therefore not subject to taxation on its charitable activities. The charty is not registered for VAT and reSoUr￿S
expended therefore include irrecoverable input VAT.
io

. Giffnock South Parish Church
Notes formlng part of the finan¢ial statements
for the year ended 31 December 2024
Vnrestrlcted Restrltted
Funds
Funds
)24
iknre5trlcted Restrbcted
Funds
Fufids
2023
Total
Total
Z023
2023
l Donatlons & Ley¢les
Offerings
Tax recovwed on Gifthid
112.211
24,556
21.2￿1
550
158,567
121.IY)2
25,629
121.W2
25,629
24,556
21,250
550
Legacies
Contribution5- own w8anisa¢iDn$
775
148.406
775
15&567
148,406
2 Inve#ment Incorne
Deposit interest
Dividends recwved
253
253
4,029
4,282
4.427
6.273
4,029
4.282
6,273
3 Anatysls of EXP￿nd￿vIt
Charltthle Ac11￿lieS
Givin8 To Grow Contribulion
Glasgow Presbyiery Dues
Minister's Expense5
Staff salary costs
Fabric Repairs & MaSntenance
Gas & EILrtricsty Costs
Council Tax- Manse
86.121
9,583
86,1
88.813
5,320
3,430
31.618
10,298
I6.¢￿1
3,589
9,376
3.762
405
585
88.813
5,320
3,430
31,618
14,580
16.(El
3,589
9,376
3,762
405
585
538
523
375
5,268
34.352
13.019
17,045
3,675
9.805
2.952
1.114
744
L637
34352
19.292
17.045
3.675
6.273
4,282
Other BuSldin8s Costs
Church Office Expffises
Orgari & Mu51C
KSik Session Groups, Èxpenses
Other expenses
Flower Fund expense5
Youth Groups, expenses
Stonework rÈpèir- front Steps
1952
1.114
744
L6a7
81
375
S.268
442
265
Total
182,406
6.273
188,679
179,519
4.724
184,243

Giff nock South Parish Church
Note5 forming part of the financlal $t#ternents
for the year ended 31 December 2024
4 StaifLD5t5and nvmber5
24
2023
Salaries ènd wages
31.618
ThEavera8e llurnbeT of efflployees durlftgtheyeai. Calcula￿ on Ihe basis of a Cou[￿ wa5 a5 follow5=
2Q23
Numbei
Number
Admln15traLlon
U51C 5Lalf
Premise5' JtkRintenance
AJI Church ot Scotjand congwaV￿$ Coffltylbvie ￿ the Natlonal Stiwd Fund *thich bear5 the costs of all ministws, stiperd5 and employer's
conirlbutions for nattonal i ftsurante. pensioTr ond HOUSinB & Lo4n fund. MinisLers' sbpeTrds are pald In actoidance na￿onal 511pend
sc3le. which is related to years of service. For the year under r￿leW the minifflyrn stypend was £31,642 and the fft•xirnum stipth)d wa5
£38.884 ih thg fifth and %￿b$@¥U￿bI years. No Eryloyeehad employee benefits In ÈxC*S* of É60.￿012o23..n0ne)
5 Trustee Remuneratb)n & Related PartyTransartlorts
a Trus￿. was r￿1Mb￿r$￿ cy had e¥penses paid. IDtallin8 £S.769. in respect of Cwncil tsx £3.675.
-.￿tro .1nd lelep￿)ne. 11 & surdries £1.134
Apart frorn the above. no TrusteÈ or a pw50n relaled tr a Tr¥5tee had any personal interestin any Cl￿tractOr wan5OCllon entered into by the
charity during ihe year.
Durin8the year a t4*al of É42.024 l•¢cltsdin8Gift was dC¥lat￿ tty the corye8atioD by trust￿$ 12023 £44.S881
6 Tan8ible F6xed Aqet5
2024
20Z3
Cost
Property
498.673
Property
498,673
At l January 2024
Additions
Revaluatlon
At 31 2024
494673
498.673
Accumul*ed Depr•u4tlon
At l January 2024
Chargè for year
iminaied on Olsposals
At 31 DE¢￿b￿ 2024
Net Book Value
At 31 Deceynber 2024
498.673
498.673
7 Inve%tmefits
2024
Z023
MarkotvaluÈ èt 31 DecEmber2023
ditionsAOi5posalsl
Realised 8ainlllossl on sale
UnrealSseo 8aln/llossl on Investments
Marketvalueat 31 December 2024
167.35Z
14.991
151,138
4,995
11191
195,534
IL219
167.3S2
Inve5trnenls at cost
134422
121.431
The following investments were hdd at 31IIZ124=
Cos Investo¢s Trust- Growth Fund- 23.043 units
Cos InvÈsto¢s Trust- Income Fund- 4.387 urits
12

Giff riock South Parish Church
Notes forming part of the finan¢lal statements
for the year ended 31 Decernber 2024
8 Debtors& Prep￿rne￿Is
2023
Glft Aid tax due
crued Income
9.200
4.241
13,441
12.498
9 Credltor5 lalllng due wlthln I year
Accruals
Other creditors
,107
1,452
9,559
1.296
iio
1.406
10 Movements in Fullds
Bal*o at
OutBolng
Resour￿$
¥estmertt Transfer5
Balano at
0110112024
Re$wr￿S
Rev￿UatIon
3111212024
Re5¢ricted lund5
Manse Reserve
Property Reserve
498.673
125.326
623.999
498￿73
138,517
637,190
6.273
6.273
6.273
6.273
13,191
13.191
Lknre#rltted lunds
General Fund
Legacy Fund
36.740
59.537
96.277
178.613
21.250
199.863
181.544
32,809
80.787
113.596
182.544
Total funds
720276
206.136
188A17
13.191
750.786
Boljnce ¢7t
OutgOiIIP
knvestn7ent Tronsfv¥
Revtsluotipn
Bolt7nce flt
01/01/2023
31/12/2023
Restri¢tedAund5
FlowerFund
Munse Reserve
Property ReseThe
442
498.673
114,107
613,222
442
498,673
125,326
623,999
4.282
4.282
4.282
4.724
11.219
11.219
ihJrestrlrtedfvnds
Gerterul Fund
22.593
63.805
86.398
188.548
1.000
189.548
174.401
5.268
179.669
36,740
59.537
96.277
LegotyFund
rotolfynds
699.620
193J30
184J93
11.219
720.276
Manse Reserve.. this represents thepurchaseand ielufbishrrentC05t of the rnansl
Property Reserve.. this ¢epr#ents the net proceed5 following saleof theformw manse less thÈ puftha5e and
rEfurbi5hrnent costs of the new manse. It is understood that the vseof this reser¥e 15 (OT thefabric of the manse.
safittuary and hall5.
Legacy Fund..
wherÈthÈ Tru5tee5 have 5eta5ide funds from le8acies for fu￿re use.
13

Giffnock South Parish Church
Notes forming part of the financial statements
for the year ended 31 December 2024
11 Analy51s of Net Assets Among Funds
General
Desl8nated
Rèstrkted
Total
Fixed Assets
498,673
498.673
Investments
57,017
138.517
195,534
Current Assets
42,368
23.770
66,138
Current babilities
19.5591
19559)
Net Assèts at 31 December 2024
32A09
80.787
637,190
750.786
Geneml
Designuted
Restrirted
Totol
FixedA55ets
498.673
498,673
Investments
42.026
125,326
167.352
CurrentAssets
38.146
17,511
55.657
Current l￿bilitIeS
fl,406J
(IA06J
Net Assets at 31 DeceM￿r 2023
36,740
59.537
623,999
720.276
12 Collections for and donations to
2023
Thlrd Partles
Erskine Hospital
Lod8in8 House Mi55ion
Preschal Trust
Macmillan Cancer Care
453
1,297
2,027
291
Kwenderana
Turkey/Syria earthquake appeal
Cystic Fibrosis
667
617
474
L452
Total
3,368
5,761
13 Volunteers
In comrnon with all congre8ation5 of the Church of Scovand the con8re8ation benefits from the contribution made
by volunteers who give their time antl ialents willin8ly lor the benefit of the Church. The areas of congregational l ife whSch
rely on the contribution ol volunteefs are many and varied and nweh of the activity would be unable w conti nue
were it not for the commitment shown.
14