Scottish Charity Reference No SC016210
ABOYNE AND GLEN TANAR MEMORIAL HALL
(The Vlctory Hall)
ANNUAL REPORT AND FINANCIALSTATEMENTS
forthe year ended 31st December 2024
TRUSTEES, ANNUAL REPORT
forthe year ended 31st Decernber 2024

Scottish Charity ReferÈnte No SC016210
Aboyne and Glen Tanar Memorlal Hall
(The Victory Hall}
Charlt
Trustees- Member5 of the Mana
ernent Commlttee
Chair
Secretary
Inde
end ntE
mlner
Clydesdale Bank PIC
c/oThe BusinessTeam
Virgin Money
Sunderland
SR43 4JB
Victory Hall
Ballater Road
Aboyne
AB34 SHY

ABOYNE AND GLEN TANAR MEMORIAL HALL
(THE vicfoRY HALL)
REPORT OF THE COMMIThEE OF TRUSTEES {the"COMMrrTEE"I
ST
YEAR ENDED 31 DECEMBER 2024
Structure
rnance
mana
ement
Aboyne and Glen Tanar Memorial Hall is a Regi5teied Scottish Charity operating under the Deed of Trust
established by The Right Honourable Lord Glentanar and other5 dated October 1920 supplemented by the Deed
of Variation thereto dated July 1997 Itogether the Yrust Deed").
The Committee reports as follow5-
l. Aboyne and Glen Tanar Memorial Hall is a Registered Scottish Charity No SC016210
2. All its affairs are governed by the Committee.
Tr
Trustees are elected at the Annual General Meeting and shall comprise such number not less than six as the
Trustees may determine from time to time. All residents of Aboyne a nd Glen Tanar are eligible to be a Trustee.
A quorum of the Trustees shall consist of four members, with any decisions of the majority being final.
Subsequent to the end of the year, two of the previous Trustee5
Several new Trustees were elected at the Annu?1 General Meeting on 17 May 2025, narnely
as appointed as a
rp.tirpd.
ru5tee
Committee on 31 July 2025.
Ob
ectives and activities
The advancement of citizenship or community development.
The advancement of arts, heritage, culture, culture, or science.
The advancement of public participation in sport.
Summar
of the main activities in relatlon to these ob
ertives
The Hall is used by numerous groups for social, cultural and educationa I purposes, benef iting a range of users
from the young to the elderly. It is a venue for weddings, dances. ceilidhs, coffee mornings, sales, a Christmas
Market, social groups, exercise groups, orchestra rehearsals. and public meetings.

ments and
erformance
Summar
of the main achievement
The demand for use of the Hall is recovering from the effects of lockdown due to the Covid pandemic but still
has some way to 80 before it reaches pre-pandemic levels.
Work had been done to convert the office previously used by Mid Deeside Community Trust {formerly Mid
Deeside Limited) into a small meeting room equipped with conferènce table, chairs. workstations, and a smart
screen. It has been redecorated with new lighting and adequate electric sockets and internet connection5. It 15
hired out in the same way as the other areas in the Hall.
Local trades people are employed where possible.
Booking services are provided by our Treasurer by email and telephone and the Trustees are planning to extend
that to online bookings.
Financial
Sufficient reserves should be kept for unforeseen work which may be required. Considering the age and
construction of the Victory Hall, this is £40,000.
There was a deficit of £16,208 in 2024 compared with a surplus of £3,663.88 in 2023. Thls deficit was largely
due to an increase in building maintenance expenditure (paid for from reserves) and a decrease in income.
nd services
None
None

D clara
ion
The Trustee5 declare that they have approved the Trustees. Report above.
Signed on behalf of the Charity's Trustees
Signature
Full nome
Position
-f4tr£T£E
Dote
If fv5ts3T wzJ-

AOOYNEAN061EN TAPIAR MDAORIAL HPIL
ACCOUNT SUMMAAYYEAR ENDING 31 DE￿MBER Z024
YEAR ENDING
31￿14
Cl desdale Bank
Currentp￿0Unt
.909.60
31
7231
11957.37
116.82
7&19
TOTAI:
35
Cleanln
Salarles
Materiats
Windows
6,300.00
935.17
160.00
724.94
865.00
Utllbttes:
3,551.29
7,608.76
3.197.59
8,34G.O
230.00
481.28
189.37
21.59
Ejectrlc
Gas
Tele
hone
Onllne Servke5
Web Flostin
436.14
Maintenanc@'.
16.525.80
Decoratirwa
Plurnbing
GaTdenlng
Servicin
75.(M)
553.50
953.53
552.67
418.88
748.32
66.07
ent
Sundrtes/se￿1￿.
Insurance
PRS
Waste
8ank Ch¥r8es
13Q4.74
281.40
153.74
1,949.43
273.61
198.15
16.70
SundrfeslSupplles-
Postage & sta￿onery
33.C
4.75
Mis¢el￿neOU￿
356.51
213.59
Invol￿ Serv1￿$.
Cs
Soclal Medk1
2A53.75
907.$0
2A20.50
536.25
TOTAL EXPENDrruRE:
TOTAL INCOME..
PROFITIioss
Drfferen￿ .
£32.232.08
E35 895.96
27 02&83
16.208.22
STATEMENT OF BAiANCES
Openin8 Balan
Surplusl (Detlcttlforyear
aosbn8 8aL7rKes
£47,618.53 £
£3.663.88 .£
£51282AI £
51,282.41
16.208.22
35.074.19
Explanation clthe dthtforthe yèar ￿ included Inthe TnJSt*s￿p9rt

ABOYNE GLEN TANAft MEMORIAL HALL
INCOME ACCOUNTS YEAR ENDING 31st DECEM8ER 2024
F¢bru•ry
Junt
A￿￿$t
September
Ortober
Nov•mb4r
Decembor
YOTAL
GROUP
We¢SJln8S
Funrtlons/Partles
Fltness a8sse5
411.00
£ 1.247.(
E S00.OJ
5rAJ.IK)
2,653.00
2.967.OJ
3.578.25
2,281.00
971.25
2th).LMJ
505.IY)
82.00
940.00
542.00
50,
229.IX>
404.IXI
15.OD
264.50
322.50
258.75
322.00
424.50
£ 40B.00
Z88,00
180.
312.(Q
288.1)J
438.LXJ
£ 2fj4.OCI
Deesldeorchestrn
Ottlsh Dan
Pro1￿3
MDDC
2D7.00
345.
322.LYJ
120.75
207.C
276.C
276.clj
72,OJ
£ 28B.IXI
241.so
201.25
161.rx)
120.75
12&00
I￿.50
115.¢K)
230.110
115.1)O
240.00
£ 120,¢)0
1,010.50
L320.Q¥J
4.496.0)
5.579.21
1,566.93
200.¢J)
212.Lb)
£ 212.00
E 1,gJ9.CpJ
£ 405.C
£ 212.(A)
212.00
212.
212.CK¢
212.LJ)
212.C
212.00
£ 212.00
Meptlnv/Folr5
rtAbtsyn¢
Donatlons
128.trj
453.
323.LK)
58.¢x)
50.C
£ 921.(X)
É 5.174,21
26L
204.OD
É 42&00
37.93
388.0)
270.
871.0)
Refunds
Grants
MSSC
Iniemal BarnkTran5fer
9,256.01
JIR5LOI
9,256.01
36,684.15
£ 82th93
£ I￿01.$0
É ¥fjOZ.75
£ 2.042.75
£ l175.IX*
£ 2.119AX)
£ 6,64&ZI
£ 1,339.?5
£ &082.
£ I,323￿)
Lass: Refundto ArtAI)oyne
Le$$: Internal Bank Transfer
403.31
9.2S6.01
£ 27.024.83
TOTAL INCOME FOR HALL HIRE..
27,024,83
Audited and found to be correct.
A Hons Business Economincs & Finance

ABOYNE AND GLE14 TANAR MEMORIAL HALL
OUTGOINGS/EXPEIISES ACCOUNTS YEAR ÈNDING 310ECEMgER2024
Febr*
rnb•r
¢Jdabor
TOTAL
rltg
525.
525MO
525JJO
525.00
5Z5.
515.0)
525.QQ
525m
5U.LKJ
525AIO
525.00
57.42
525.fMI
6.3CO.DO
935.17
¢y¢4rArySwppl
Indowg
114.89
16.77
292.96
IZ7.02
293.13
31.98
IEOM
718x6
759.87
724.25
6Y7.L¥J
456 20
171A5
568D)
36&96
6n.00
3.I97Sg
O,Y6
39
8391
B39.rA)
697
697.
558m
678.00
678.DD
T￿eDh￿t
W4b Htytlni
37.14
37.14
37.U
37.J
41,59
IL59
4L59
4L59
41J9
41.59
4L59
4159
481.28
ZL59
2L59
uu.i?
J89.17
61.79
495.70
403 10
5.80132
43Q80
93S6.LVJ
Hufflb
drrf
inln8
Equwn)
IMVOKE5ERVUS
Bar*4wF4
m￿14
334.31
748J2
418.88
66.07
418AB
n6.25
3EO.OD
5UnO
465.50
468.75
J,41D.50
436.15
a7L15
165.
NDIIE¥5ERWCES
rinc•
L949AJ
I,Y9A3
173.61
191.
PASIM￿C
27.55
2755
28.61
57.21
28.61
28,61
gJnkChary5
lffltemgiegnkTraffl5f
gJNDPJES1￿pP￿ES
7A0
16.7D
Y,25EDI
9.256.01
4.75
4.75
MIFC
20.C
.00
69AI
95.95
213.59
403.31
40331
IU40JS
JJgYm
2X&50
X,14>40
BJ)54n4
415&72
IAg.72
IOJ1ffj5
£ SiW.J7
Les%: ArtA￿¥hetsktm0ff I￿￿me
L¢4.. Int•mal BMkTrinsfEr
£ 925&01
£ 43A3*05
TOYALEXPEN5ESFOR ThE MALL:
£43,233.05
E%arnlied and foLnd to be torrert.
ale

APPENDIX 3
SCR
Independent examinerfs re
rt on the accounts
Rèport trl th• CtrAr*ynam
Psb /Ni GLL ThThJrtL H4LL'
oig210
Roglst•rnd Charfty SC
nurnb•r
On the accounts olthe I
chaiity for the period ,
PeTM)d start date
Periog end date
Year
ai I 11
Setout oft pa
Dumborsof sheets)
R•sp•cdve The Ch￿1￿8 trustses respxjnsible forthe preparation of the ac(y)unts NJ aceofdance
responsyi >ilitm of with tho lorms ofthe Charitss aThJ Trustee Investmert ISexJUandl 2CQ5 Ac& and the
tr￿t￿# and examiner
Charities AeLounls {kntl8ndl RegiJl8tions 20C6 {as ameF*Jedl. The charity trustees
¢￿S][jer that the audit requirement of Regulation 1011) Id) of the Accounts Regulatoy
does not apply. 11 15 my responsibibty to examine the awunts as required under seclion
W1) (c} of tho Act and to state vthelher partmyjlar matters have Come to my attenti￿.
Basi• of independent My examinab'on is carriad out in accordance *Trth ReguLgtion 11 ofthe 2C￿ Ac£ounts
wAamin•Vs ¥tstemtnt Regulallons. An examination irKludes a re)riew ofthe ac(L)unling re￿rdS kept by tha
charity and a cornpaiison of Ihè 3w)unls presented wilh those recor(Is. 11 ako I￿ludeS
consideration of any unusual items or discFosures in the afXOUntS and Seeks
explanakn.ons from the trustees Concerr￿ng any such matters. The pror£dures undertaken
do not pro¥ide all lh8 e¥idèneA tw would be fequtred in an audrt and. consequenty. I do
not express an audit opinion on the view given by Ihe a¢￿unIs.
IDdepgnttent examlnerfg In the ojurse of my examnalion. no matter has eome to myattention
which gives me o•sonable cause lo belie￿ that in any malori81 respe(* Iho
requirements:
to keep a￿lUnts"n9 re¢orts in a(￿r￿an￿ with section 44111 la) (rf ￿ 20Li5 Act and
Regulation 4 ofthe 20C6 Accounts RagulatK•ns. 8nd
to prepare accounts which aec(xd wtth the accounb"n9 recy)rds and comply with
Regulats"on 9 of the 2006 Ac¢ounts Regula￿nS
have rKtl been met. or
'. 2. to Ithich, in my opin1r￿. attention should be thawn in OTdgr to enablg 8 proper
hed.
Sgn¢d:
Mam:
Relevant pYof•gslonal
qualificallot)l$) or llody
lrfany):
-z(-
rD1Th￿rffj pao&

APPENDIX 3
Disclosure section
Only complete rf the examiner needs tr) highlight material Kyoblems.
Glve here brlddotall1 of '.
aTry Items that th•
•¥amlnwwi5hes to ,
di8cIo8•