LOGIERAIT BRIDGE COMPANY
(Company Limited by Guarantee)
Scottish Charity SC 023580
Balance Sheet as at 11 October 2024
Notes
2024
2023
Current Assets
Cash and Bank
Current Account
Fixed Tenn Deposit Account
50,872
40,OIX)
79,640
Debtors and Prepayments
Income Tax on Gift Aid receNable
1,870
1.744
92,742
81.384
Creditors.. am(xJnts due vitthin one year
2.501
3,902
Net Cur￿nt assets
£90,241
£77.482
The funds of the charity:
Retaln6d Surplus of Income over Expendlture
As at 12 October 2023
Net Income (Expenditure)
47,482
12,759
41.712
5,770
As at 11 Octoter 2024
60,241
47,482
Contingency Reserve
As at 12 October 2023
30,OC(I
30,COO
As at 11 October 2024
30,000
30,CQO
Total unrestrlcted charlty funds
£90241
For the year ended 11 October 2024 the company was entrt￿l to exempb'on from audit under section 477 of
the Companies Act 2006 relab.ng to small companies a￿Ugh an independent exam￿atiOn has been carrÈed
out under the Chafitres and Trustee Investrnent (Scotland) Act 2005 and the CharIt￿S Accounts Iscotland)
Regulations 2006.
The members have not reqUI￿d the company to obtain an audit of ils finarKial statements for the year in
question in aCcOrda￿e wtth SeC￿n 476.
The directors acknowledge their res￿sibIlI￿eS for complw'ng with the r4uirements of the Art with respect
to 8CCOLtnting records and the preparation of financia staten￿nts.
These financial statements have been prepared in ￿)rdan￿ with the prov￿10n5 applvble to Gompanies
subject to the small companies, regime.
Approved by the Board on a Jun8 2025 and signed on its bèhalf by:
2025
Kate M Howie
Trustee
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