REPORT OF THE AUDITORS
TO THE MEMBERS OF
ENABLE- RENFREW BRANCH
YEAR ENDED 31 MARCH 2025
WE HAVE EXAMINED THE ArrACHED FINANCIAL STATEMENTS.
IN OUR OPINION THE RECEIPTS AND PAYMENTS ACCOUNT AND BALANCE
SHEEf HAVE BEEN PROPERLY PREPARED FROM THE SOCIETY'S RECORDS, AND
ARE IN AGREEMENT WITH THEM.

ENABLE RENFREW BRANCH SC021273
RECEIPT AND PAYMENTS ACCOUNTS FOR YEAR ENDED 31 MARCH 2025
2024-25
2023-24
Receipts
Clubbers Subscriptions
rviei I IO¥1-s1 lip Subsil-iviions
Donation£ Rpcpive.d
Fundraising & Social Activities
Bank Interest
3706
3495
3431
19375
2824
yioi
9452
15518
1916
iuo26
Payments
Kitchen
Social Activiiies
Pnst2gts & <t?tinn3
Annual Subscription- Enable Head Office
911
1067
18748
?n2
98
250
500
i otal payments tor charitable activities
22508
Governance Costs
Heating & Lighting
2038
331
1274
3643
2698
Property repairs & Upgrades
16483
19533
Creditors
Total Payments
Profit for Year
NIL
26151
3350
NIL
40051
-9425

Enable Renfrew Branch SC021273
Statement of Balances at 31 March 2025
2024-25
2023-24
Bank
vpening t5dldnce
Profit fnr Ypar
Closing Balance
14801)
-94?_4
138103
a35n
141305
2024-25
?o??_?
Assets
tnable h'ail- at
Purchase Cn_
51,348
51,s48
All funds are unrestricted
Aporoved bv trustees and signed on their behalf

Enable Renfrew Branch SC021Z73
Notes to the Flnanclal Statements
Year Ended 31 March 2025
Donations Received
..tern Star Renfrew no. 57
677.50
415.00
4uo.Gii
Rpnfrpw finlf c.liib
4￿.0[1
350.00
191.00
'ub
105 CK)
100.(x)
100.00
a.'y Club
0.00
50.00
50.00
Donatlons under £25
98.00
Hall Lets
240.00