APPENOIX 1
OSCR
Period start date
Y•8r
Ponod end date
Morfh
Yvr
kntttsh I￿arty Re8uLknr
Offlee of the ScottF•h Charlty R•gulgtor
01 01 2024
To
31 12 2024
Reference and administration details
Charlty n•m•
Oth•r namm charty h known
Walls & District Agricuttural Society
A•gl•t•r•d ¢harlty numb•r , SC 009931
Ch4rlty'• prfn¢lyl addf0••
Freefield. Browland
Bridge of Walls
Shetland
Po•t¢od•
N•mu of th• ¢harfty tru•toffi on d•1• ol approval al Tru•t•••' Annu•l Roport
ZE2 9NR
Tru•ts• nam•
D•t•• 4¢tsd If
not forwhol• y•ar
' N•m• of p•r•on
(Of body) •ntltl•d to
appolnt tru•t•• (If any)
lan Thomson
Catherine Robertson
Michelle Henry
Emma Johnson
Murray Peterson
George Jamieson
John Nichols
Mark Henry
Leonard Wishart
Kevin Hay
Lewis Fraser
John Robert Thomson
Pearf Young
Janet DFtchbum
Alma Duncan
Marissa Henry
Niah Henry
Willum Abemethy
Ewen Johnston
President
Secretary
Treasurer
Wice Secretary
wi￿ President
Vice President
Vice President
io
12
13
14
16
16
17
18
20

APPENDIX I
Achievements and performance
Summary of tho maln a¢hl•v¢monts of
th• charlty durlng tho Iln•nclal p•rfod It was another great show this year, although the footfall was
lower than the previous year, mainly due to the weather at the
start of the day, so in tum as resulted in less income than
2023.
As it was last year, our expenses have been up again. The
entertainment licen￿ has changed which in tum caused a big
increase in cost compared to previous years.
Other expenses we have incurred this year, not all due to the
running of the show, but are in fact due to the initial start of
building another shed for the show.
Financial review
Brl•f •tst•m•nt of th• ch•rfty'• polley
As the previous year. we have made a loss again, but due to
our reserves we have managed to tnaintain from the previous
years as well as fundraising it has helped to keep our ftjnd
bouyent.
D•tslh ol any d•ficlt
The main reason for a deficit this year, as stated above, was
due to less footfall on the show day as well as the initial costs
in applying to build a new shed for the Show.
0onat•d laelllll•• and wrvlG•• (ff anyl

APPENDIX2
OSCR
SC009931
Recei
tsand
ments accounts
Sc(*sh ChArty RwL*or
oi
2024
31
12
24
Section A Statement of re¢eipts and payments
Un¥estrf¢ted
Restir¢tsd
ds
Expendable
Pennanent
Total funds
Gurrentperiod
Totsl lunds la6t
period
A1 Recfyl
Dondon$
Grants
Recei
$fronTr tundra
841
Gr￿58
Inc4Yne trom investments other
LHnd ￿lId1
Rfjnts from land &
1841
720
trtatrAe
15.572
f5.S72
Al Sub total
19.61
19.61B
A2 Retwpts from ass￿&
Prty*s trom sak ofinvestrnents
A2 Sub totsl
Totslrncwpts
19.618
19.618
A3 Pay￿nts
ExFwnse5 forfUnthX￿ng athivibes
Gr05s ltsdiw paympnts
Inve5tnwt M￿89@r￿ent
Payments r4abtwJ dir￿1￿ to rtr•itab
ixlf
Grants and donatKJn5
Goveman￿ tsJst$".
Audrtl IndererKknI ex￿￿￿OboA
Prepatabon ￿artnual a¢wJnts
Iwcosts
Other
Di
NewSW Cosis
4.711
A3Sub tor•1
4711
27.350
A4 Paympnts relai¢ng to asaetand
iwtment movements
Purchases 0f￿ed asget5
Purchaseof ￿¥￿sl￿t5
A4 Sub tg
27250
27.35D
17,7)2}
A6 Transf￿ tol (from) furyl8
Ststrplus/(deficllJ

Section B Statetnent of balances
SC009931
Exportdable
P*nnanÈnl
TL￿ri￿P•rbll
B1 Cath funds
42.6•
17.7321
17,732)
M987
Delai
tor￿￿￿£
B3 0thora6sots
T¢
L￿tY￿r
B5 C¢)nringont Ilabll$t￿
Tc411
apprtr

SC009931
Additional analysis111
415
rotsi
485
2 Gran
t£
EntyFo•
Ttade stsfvts
t¢it£
13.slll
1.12
13,541
1S,572
14572
Pl￿￿9￿11a Inthl C￿6
EMperw$
Repa￿S
2.280
1.499
2.562
5.562
2.562
urKlra*ity Costs
TL*
27.350

The funds will be used to continue the Walls Show as well as the upkeep of the show field and show shed. 



APPENDIX 3
ScotlLth (hanty Rwl
Independent examinerfs report on the accounts
Report to the Ch*ty n*ne
tA￿tee$IMemtsars of
Registeredcharfty SC 00993 1
numb•r
On tho a¢counts of thè
Peri(#Y start date
charity for tho perfod
Pefiod end date
Month
Year
Year
201
Sgt out on pages
{femEtnberi0 W￿u￿èthP pago
Rèspectivè
responsibilitie$ of
trusteès and examiner
The charitys trustees are responsible for the preparation of the ￿cOunts in accordancg
Tlh the terms of the Charities and Trustee Investment {Scoliandl 2005 Act and the
Charities Accourts (Sco￿and) Regulations 2006 las amended). The charity trustees
consider that the audit requirement of Règulation 10111 (dl of the Accounts Regulat50nS
does llot apply. 11 is my responsibilty to examine the ac(x)unts as r8ouired under sgclion
44{11 Ic) of the Act aNI lo state whether particular matters have come to my attention.
Basis of independent My examination is ￿rrIed oul in accordan￿ with Regulation 11 of the 2006 Accounts
gxaminovs statement Regulations. An examinatioll indudes a ￿VIeW of the alxounting records kept by the
charity and a comparison of the accounts Presented wrlh those records. 11 also inclLtrdes
consideralton of any unusual items or disdosures in the a￿oUntS and seeks
8xplanations from the trustees GOn￿rning any such matters. The procedures und6rtaken
do not prowde all the ewdence that would be required in an audit and. consequentjy, I do
not express an audit opinK>n on th? view givèn by the accounts.
Independant examlnerfs In the course of my examination, no matter has come lo my attent￿ lother than that
statèmert disclosed on the attached pagel
which gives me reasonable Cause to bglieve that in any material respect the
requirements..
to keep accounting re¢ord$ in accordance with sectK>n 44(1) {al of the 2005 Act and
Regulatio￿ 4 of the 2006 Accounts Regulats"ons, and
to P￿pare accounts which accord wtth the accounting records and comply with
RegulatK)n 9 of the 2006 A￿o￿nIS Regulations
have not been met, or
to which. in my opinion. attention should be drawn in ordw to enable a proper
urKl8rsta ding of the accounts to be reached.
Slgned-
Name:
Relevant professional
quallflcatlon(s} or body
(if any)-
Address.. VIqVHTrrt771
HEs74Fo¢O
6LIOG c of tr4nLLS
£1 Lnhlo z￿1 qpJL.
H //fcE
241 g12015.
H£LW FL
f￿10￿￿9 pa￿.
-OSCR wll accept thgital Swtijres.

OpenlngBlance as at l January2024
42699.86
Intome
Dc*nations
Entries
Show Day Earnings
Prize MoneyDonations
Caravan Storage
Show Dance
BBQ
Bar
Fun(Jraising
Show Field Hire
Show Day Income 2023
Unused Prize Monies
375.00
894.10 /
7057.00 (Gate Entries & TradeStsndMoniesJ
iio.00
450.00
1760.00
2561.00
1837.60 .
3125.60
270.00 1
75.00 (JT ade moneydue from2023J
1103.00
i96￿.30
Expendlture
Utilities
Food & Drink Supplies
Misc Show Expenses
Insurance
Engraver
Licences
Advertising
Stationery
Float I Prize Money
Rosettes
Newshed Build
HonaTarium
Cleaninglmaintenance
Princess Dresses
Fundraising Expenses
5632.45 Z
789.95
6206.66 (i
1300.13
745.20 [inv￿Ce from2023J
1047.24 (Thls includes leeforupdatlngconst?tution)
39.63 .
139.61
2100.00
555.31
4769.30
1250.00
1602.01 .
100.00
712.73
cludes expenses from2023J
27350.22
Balance
Plus unTepresented cheques
Closing Balance as at 31 Dec 24
34967.94
016
Ci6 s4 q6