LOGIERAIT BRIDGE COMPANY
(Company Limited by Guarantee)
Scottish Charity SC 023580
Balane• Sheet as at 11 October 2025
Nots$
2025
2024
Current Assets
Cash and Bank
Current Account
Fixed Temi Deposit Account
53,977
50.000
50,872
40.000
Debtors and Prepayments
Income Tax on Gift Aid receivable
1.870
1,870
105.847
92,742
Creditors: am¢)unts due *ithin one year
2.184
2,501
Net Current assets
£103,663
£90,241
The funds of the Gharity:
Retained Surplus of Income over Expenditure
As at 12 October 2024
Net Income (Expendtture)
60,241
13.422
47,482
11759
As at 11 October 2025
73,663
60,241
Contingency Reserve
As at 12 October 2024
30,000
30,OCKJ
As at 11 October 2025
30,000
30.C(JO
Total unrestricted charity fvnds
For the year ended 11 October 2025 Wds entitled to exemption from audit under se¢lion 477 of
the Companies Act 2006 rekting to small companbes although an independent examin*ion has been carried
out urKler the Charitie5 and Twstee Investment {ScotJand) Act 2005 and the Charities A¢counts (Scotl￿d)
Regulations 20C6.
The members have not required the CoM￿Y to obtawi an ￿dit of ts finan¢01 slatements for the ye* in
question in accordance section 476.
The directors a¢knowiedge their reskKmsits'lities for ¢omFlwng th the r4uiremerrts of the Aci with resFect
to accounkn.ng records and the Preparati￿ of financia Ststeft￿n
These financial statements have t￿n prepared in accordance with the provisions applicab￿ to companie$
subject to the $mall companies. regwne.
Approved by the
May W26 $wJn&Y its tehaw by:
95 May 2026
Kate M Howie
Trustee
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