## **BURRAVOE  PIER  TRUST** 


Date: 21/07/2025 

For your information, 

Just to inform you we have started the process of updating our governing document and are working on possibly transferring to a SCIO. Hopefully we will get this done before the end of this financial year. 

Regards 

Charity No  SCO109083 Vat Reg No  671 399 894 



APPENDIX 3
trn1'.NT C￿)111¥ Re?itsi(11
Independent examiner's report on the accounts
y?
R•port to t￿ Chaty fvdrn
trustMslm•mb•rn ￿ Burra¥c* Pier Trust
Regi*ter•d charlty SC010983
nurnb•r
On accounts of the
¢harlty for th• poriod
Peri(xl Start date
Month
01
Period end date
YffiF
Year
2024
01
31
12
S•t oul on pag••
mt•rn aladth￿￿￿I$Oh••I1}
R••p•ctlv• The charity's trugteos are resp)nsible for the preparatvJn of the aiyxunts in 4¢cordan
fe¥pon¥lbllSdH ot with the lerrn5 of the Charit￿ arml Trustee Inveslm8nt Iscol￿d) 2W5 Act 3nd Ihe
tru¥t•K and •xamln•r
Charibeg Actounts IScotLaThJ) Regulations 2006 las amended) The charity Irustsos
consider that Ihe audrt requ¥ement of Regulab'on 1011) (d} of the Account6 Regulations
does nol appfy. 11 * my réspop.sbilty to &xamin8 th8 acrJ)unts 88 r8quir8d undar $8ctien
4411) Ic) ol the Ad and to slate ¥thether particular matters have &Jn81o my attenlion.
Ba•h ol Ind•pnd•nt My exarniiation 1$ CaTh1￿ (Mrt In ac£ord8nce wth 148gul8tion 1101 Iha ?0(￿ Accounts
•xarnlnor'• gtat•m•nt Regulatityls. An eX￿inab￿ Incl￿ a review of tho aco)unlino rÉcords k@pt by th
charty arwj a c£*Yparlson offv ac￿Unts wesonf￿ wrfh thoBO r￿rdS It also Includes
consideration of any unus￿1 items or dksdosure8 in the accowts 88oks
explanatiorffj the tru81oes coThxmlng any guch rnatters prcthdulè# umdèrtakért
do pn)Vide all tl* evid8n¢e that W￿￿1 be wuired in an audit aiKI, ￿nSequen11y, I do
not expréss an aud6t oplnkn) on the VI￿ gfveffi ty the accounts.
Independènt •xamln•r'• In the Cou￿8 d my 8x8minalion. no maffer h85 ¢ur*e to my att￿t￿n lother than that
￿t￿m•￿t disclosed on the attach&Y pagè"1
whk* gives me rea8￿labb cause to belbeve that In any matenal ￿SPeCt the
reqUiren￿lS..
to keep accounbng re(x)rds in a￿[danC￿. 44(1) (a) oftt)e 21XJ5 Acl and
Regulation 4 of the 20￿ Accounls Regulalfans. a
lo prepare accoun1s the a(xi)uthng Te¢ord¥ and compty wrth
Regulation 9 01 the 2(￿ Accwnls Regulations
have nol been mel. or
to vthKth. in my opinion, atten￿n shoukl be drawn in ordef to enable 8 proper
31gn•d~
Nam•:
R•l•vant prof•s•ion•l
qualificationlsl or body
Irf onyl:
161021202J
Addrw:
"Ple8•e dekle in tbe brxM8ts Ilth8y ¢$) not ¥th. lfthot￿dts let Il*rte mattets h•* loy￿1 at*rthoft on Ihe
foJio*wp•g.
~ OSCR wim acc•pl cff typed S•j￿r

APPENDIX 3
Disclosure section
Onty comwe ifthe examlner needs to hÈghllght materfal problems.
Glvo h•r• brfef d•tril* of
Ony items that tho
•xaminw wlghes to
di8cl¢)8

APPENDIX 1
Achievements and performance
Summary of th• main •¢hl•v•ment• ol We had ￿Veral Yachts visitw¥J arKI the C￿￿$t8 was quf(e bu8y. We had
the charlty durlng tho financlal perfod
one group arriving wÈth rib boats so thai tkw CA)ukl explo￿ the coastline.
(lo a brt of fB￿ng and fot whaies.
Financial review
Brlof ststsmont 91 th• Gharity'• poll¢y
on reservo•
V¥lth an incxease of £3903 in our funds Ihe trustees ¢xnsider5 thi¥ to be
appropriate lo allow the contin￿1 running of th8 Trust.
Det•ll• of any d•ficit
None
Donatsd lacilitios and m1vi￿O Ill any) TNslee$ arKI ft*mbers of tr¢ publt have glven thelr tln* doing dearsing
of ttylets and SUTroundiro area. Also all the maIntena￿t Ihis year ha$
been done ty ¥O￿nteern.

APPENDIX I
other optional information
Declaration
Th• tru8t•M d•clar• that trwy hav• •ppYoved the lYu8le•8' W•POrt abov•.
Slgn•d on b•half of th• charlty's ITUSt
Slgnaturel•l
OSCR x¢•pt
dfglw ortyyd
Full nam•l81
Po$4*ion {e.g. Chair) Chair
Char
Dats 31103r2025
31n3r21Y25

Burravoe Pier Trust
Financial Statement 2024
Income
2024
2023
Grant
Pier charges
Caravan p6rk
Shower
Laundry
Toilet5
VAT
Portacabln + storage + toilet
Donation
Insurance SYMA
Hydro char8ed out
280.Crf)
1920.00
15764.96
362.
749.CQ
167.
263.35
1104.00
250.00
550.IXI
15996.86
37406.27
1778.20
16549.95
142.iJ)
135.LY)
$94.50
1224.00
20(KI.(KI
868.62
32938.27
Ex
enditure
Electrlclty
New Equipment
Toilet supplies
Crown estate
Insurance
Maintenance
Sec/treas expenses
VAT
Clean out septlc tank
Refuné to camper
Hall hire
17681.8S
209.98
479.86
180.00
1727.54
3995.16
250.15
4496.10
24117.37
2172.21
541.52
360.00
1663.78
412.00
172.82
3583.47
483.80
20.00
14.fX)
29034.64
33506.97
Balance at year start
+ Income
£89269.09
32938.27
122207.36
29034.64
£9317172
85369.79
37406.27
122776.06
-Expenditure
Balance at year end
£89269.09
Bank Balance at 31 Dec
£93172.72
£89269.09