CHURCH OF THE SPIRrr
FINANCIAL sfATEMENTS
FOR THE YEAR ENDED 3W DECEMBER 2024
CHARrrY NUMBER: SC023815

CHURCH OF THE SPIRrr
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31sr DECEMBER 2024
COMTEKrs
Trustees, Annual Rewrt
Independent Examinerfs Rewrt
Statemert of Balances
ststement of Receipts a￿1 PaynEnts
Notes to the Accounts

CHURCH OF THE SPIRrr
CHARtrY NUMBER SC023815
TRUSTEES, ANNUAL REPORT FOR THE YEAR ENDED 31ST DECEMBER 2024
Trustees fkive In rNtsth"rvJ th￿"r rewt )MJ d￿nty for ￿ year 31* DeCant￿r 2024.
Mr5 marga￿ Hall (Pr￿￿rt)
Ms (a￿ IMr￿ (VI￿ Ftres&nti
MI￿ ATrJda Hall IT￿asUrer)
Contart Add
Church of The Sprit
142 Nettr￿rgate
Dundee
DDI 4EA
01382 226149
Re(TUitment and Appolntmwrt of Trwtees
All tr￿ are apwinted or ￿p￿in￿J Lw wte of IT￿ at rAJr Anrnjl meeb.ro f*hJ year.
TrainirvJ of r*w trL&ees ￿ giv￿ by ser¥irKJ
Governing Docyment
urch oflhe Splrit is a unirwraied awialirffi its tKJrrKsse aTe set cyJt
in our con*'thcn and affiEattcfi to the g)"ribJalst NaKThI Uiim.
Charitsble Purpos89
Our pwkKAe s to prowide seNcAs to nkmtws iD Lfftr l￿dir¥j wv7￿, t￿0VKIe ftM￿al
r¥￿ and narnirvJ swes.
Maln Artlvltles
Wee￿Y S￿Vi￿5 are ¢fved to the pU￿1Cl￿ 9JrW 11:C<Hn armj Wed￿y$ 1:30rTh. HealiTh) are offer￿1 on
Weth&days 12..LSpm . l..OOprn aFKJ ￿ S￿daY nTh)rniros bets*w) 10:OOarn- 10..45am. Suwxyt ￿ proMd&J to rembers and vNtors
by promoting S[Nr￿all5l Nats"or￿1 Unlon sew offw&J b) thr(￿h gr￿1p dasw on 5pxrittBlist
bdlets. w(￿h0[￿ and evenings of r￿&mhip *e I*[￿ed. ReJdw LIf￿￿5 rKormting F￿￿al
Athiévements and Futu￿ Plans
During 2024 chur(h a ly￿ks1￿￿ in May wth LYL￿, rasry £250 the A*¥J May. Reg Tuty keky ￿ everuThJ
of rnediumshSp, raising £399 for churth funts.
We have tt¥o tratnees the SNU Fleatknj
Rlsk Assessment
Duriry the year we have L7rried ¢Jrt a r6k assess￿ L*the to fve, h*th rWJirem￿ts have ￿dressed
a few area&
Trustee Remuneratl•)n Exp*￿5
The trustee5 did nrt r￿ve any T￿[M￿ab(m c* eywtsts (kn"ThJ year.
The SNU capSts1 in%estsY*rt matured durfro 2024. £70.9)I to t* SNU aml ￿66 ITh

CHURCH OF THE SPIRft
CHARITY NUMBER SC023815
TRusfEES' ANNUAL REPORT FOR THE YEAR ENDED 31￿ DECEMBER 2024
Continued
nanaal Revlew
This year has In an overdl 9Jrrkn rf £1.5(￿. IIIS is attritxrted to SNU intstmtht, the e￿Ir￿
rnedium*up
We r￿21￿1 a dwab.on of £149 frcTh ts Lknatms ra￿j churh [1￿. PatWaLw% funwl.
Donated Fèulities and ￿rvI
The indepo)dent examiner ha5 3CteYJ ￿ a v￿un￿ b￿5 rk) fcr savK
Appr<Ned by all the tnjstees and tthar.
5￿Tra￿re_
Mrs Marg4ret Hall
Preg¢*nt &Tru*e
la

INDEPENDEKf EXAMINER'S REPORT ON THE Accoupifs TO THE
TRusfEES OF
CHURCH OF THE SPIRrr
CHARrrY NUMBER SC023815
YEAR ENDED 31ST DECEMBER 2024
RESPEcfivE RESPONSIBILITIES OF TRUSTEES AND EXAMINER
The cha￿LIS trustees are responsible for the preternb.on of the a(￿Unts in acc￿dan0 wrth the ternis of the (hanb"es
arKJ Trustee Investment lkntkThJl 2005 Art and the Charths P£counts {￿Ottand) R￿JuL￿tionS 21ffi. The challty
trustees consder that the audit requirement of Regul*ion 10(1} (d) of the ACC(￿nts Regulations does not appty.
It is my re5ponsitN'lity to examine the acrounts as required under secthjn 44(1) (cl of the Act aThJ to stste vthether
particular matter5 have come to my attention.
BASIS OF INDEPENDENT EXAMINER'S sfATEMENT
My examination 15 carried out in acthance with Regulation 11 of the CharrtJ"es Accnunts (*otJandl Reoubti(x)$ 2(K)6.
An examinab.on iTKludes a review of the acccyjnting r￿T￿S kept by the chanty and a comparison of the acrounts
p￿ented with those rKords. It alxj indudes conskleratk)n of any Unus￿?1 rtems or dithures in the actounts aThJ
See￿ eX￿anationS from the trustees Con￿rning any suth matters. The prC￿dUres undertaken do provmle all the
eviden￿ that w¥)ukl be ieqLbireJ in an c(Jwotwtly, l (k) rK* e¥wess an audrt Otxnion the ac¢C￿nt
INDEPENDENT EXAMINER'S sfATEMEKr
In the c￿r5e of my examination, matter has Cl￿ to my attenti
l. Which gives FrE reaSU￿b￿ cau* lo Wi6ve that in any matsrial re¥*t the requirernents:
to keep a￿ounting re￿rdS in accordan￿ wth settitin 44(1) (a) of the 2C(1S Att and
Regulation 4 of the 2(NJ6 Accojnts Regulab"ons, ar
to prepare accounts whith acc(Al wth the ac￿Jnts"fig records aTrJ compty wrth
Regulation 9 of the 2{￿ Accounts Regulab"ons
have not tEen meL or
2. To which, in my winion, atterikn 5￿k] tE drawn in Lydw to enatAe a utKleTStandiTNJ of
the accounts to be reachgl.
Signed
Date
Davkl Stewart BA CA
Han & Co Accountants
61 Scotr Street
Dundee
DD2 2BA

CHURCH OF THE SPIRtr
STATEMENT OF BALANCES AT 31ST DECEMBER 2024
UNRETricfED
31st DE￿MBER 2024
UNREsfRicfED
31st DE￿MBER 2023
SNU Axed Bond
TSB Current Account
SNU De￿￿t
Cash in Hand
70,￿1
6,188
70.K11
5,372
289
76,812
78,320
Balan￿ brought fortyyard at 31st December 2023
76,812
Totsl Receipts for year to 31st t*cemtrff 2024
6,426
T¢)tsl Payments for year to 31st De￿tr￿ 2024
14.918)
Balan￿ carrEd forward at 31st D￿rnber 2024
78,320
These finanoal statements have t*en p￿pared in a(mrdaKe with the Temis of the CharIt￿S and Trustee
Investment (&ottand) 2005 Act and The Charitias Ac(JxJnts (kotland) Regulations 2006.
They have all ￿en apwoved by all ts Trust￿$ and soned on their trEha￿..
Signature_
Mrs Margaret Hall
P￿sident & Trustee
Date

CHURCH OF THE SPIRrr
STATEMENT OF RECEIPTS AND PAYMENTS FOR THE YEAR ENDED 31sr DECEMBER 2024
UNRESTRicfED
31st DECEMBER 2024
UNRESfRicfED
31st D￿mBER 2023
NOTE
Re￿1
Offerings
Shop
Fundraising
Membership F￿5
Donations
Misc Income
Interest
4,416
4.149
240
3.D35
1.280
916
10.665
8YJ
516
6,426
Payments for tharitable acbwttes.'-
Mediurns
SNU Affiliati(
Elettricty
Repairs & Rewts
Insuran
Sundries
Totsl payments for thartslje ad)v
1,875
125
1,224
1,707
1,039
225
6,135
1.11x1
426
4.763
Payments for Fundraising-_
RefrethM￿ts
Totsl payments for FurKlrdisng
155
155
19)
vemance cctsts'.-
Independent Exami
T(rtal Governan￿ co&s
ScKial Functtons:_
Other
Totsl payments for Scxial FuTh*(ns
Totsl Payinents
4.918
6,325
Surplusl(l)eficit) for year

CHURCH OF THE SPIRIT
NOTES TO THE FINANCIAL sfATEMEKtS FOR THE YEAR ENDED 31st DECEMBER 2024
I. FUNDING
I funding ￿ unre*ricted.
2. REMUNERATION
No ￿MUnerab.0n was paKt to any trust￿ iy C[w￿t￿j to a trustee.
3. EXPENSES
No expenses were paid to any trustee or connerted to a tnLStee.
4. TRANSACTIONS BETWEEN TRUSTEES
There were no transath"on5 ltheen tJUS￿ ￿ Conn￿ perg)ns and fK) balan￿ ujtstanding at the
yvar eFKJ.
5. DONATIONS RECEIVED (all unrestr￿)
2023
January
Feixuary
March
April
May
June
July
August
Septemb
12
Novem
DecemLEr
199
3,0
& MISC INCOME
Refund from Ftydro
Ordes/Devdopmert
SNU 500
SILK Grant
1,135
25
1,260
7. iTrifEREST RECEIVED
SNU F￿ed Bond
516
516
916
916
8. FUNDRAISING INCOME
Speoal Demonstrations
947
9. SUNDRY EXPENDrnIRE
Misc small rtems
SNU s￿ aub
Committee i aass A
31
225
426