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2026-03-31-accounts

WEST FIFE RAEnftBERS' GROUP NTS Charrty No SC 025426 Receipts and Payments Account for the yeaT ended 31st March 2026 Receipts 202512026 202412025 Membership Subscriptons Tealcoffee Moming5 Annual Lunch From Members- Outings Donations & Qu Total Receipts 710.00 1,585.00 1,035.00 5,150.00 0.00 8A80.00 808.00 1,809.85 1,320.00 6,323.00 4.00 10264.85 Payments Insurance Members- Outings Annual Lunch Donations to ￿s Miscellaneous Bank charges Coffee Moming Expenses Hall Hire Speaker Expenses Total Payments 526.24 5,365.00 1.035.00 2,000.00 30.00 1D5.84 116.50 200.00 120.00 9A98.58 507.25 6,009.30 1.320.00 2,000.00 208.61 0.00 0.00 200.00 10.245.16 Surplus J {Defi¢it} for year (1,018.58) 19.69 Statement of Balances at 31st Pllarch 2026 202512026 2,839.05 {1.018.58 1,820.47 202412025 2,819.36 19.69 2.839.05 Opening Bank Balan Surplus (Deficit} for year Closing Balan Bank Cash in Hand 1.198.47 622.00 1.820A7 2.839.05 I examined the above arzount and found it to be in a(X￿rdanCe wÈth the books and voucheT5 presented to me. Brian McLaren Independent Examiner Brian McLaM (SEP ScolbsTrt Bu8ine5s in the Community) 7 FoLtndry Street Dunfermline KY12 gDD Td: 07426W25185