REGISTERED COMPANY NUMBER: SC217179 (Scotland)
REGISTERED CHAIUTY NUMBER: 031255
Report ofthe Trustees and
Unandited Financlal Statements
for the Year Ended 31 August 2025
ror
The Mure Hall Company
Fiona Corbett CA
21 Balgownie Grove
Troon
KAIO 7Kr

The Mure Hall Company
Contents of the Financial StAtement$
for the Year Ended 31 August 2025
Pgge
Report of the Trustees
Independent Examlner's Report
Statem¢nt of FlnAnel#l Actlvltles
Balgn¢e Sheet
Notes to the FlnanclAI StAtements
Detslled SIAtemtnt of FlnanclAI Actlvltles
10

The Mure Hall CoJnpaDy
Report of the Trustees
for the Year Ellded 31 August 2025
The tr￿Ste¢s who are aLw directors of the charity for the purposes of the Companies Act 2006. present their report with
th¢ f]nanciai Siatements of the ctwity for the year ended 31 August 2025. The tn]stees have adopted the provisions of
A¢¢ounting and R¢portiDg by ChaTities: Stst¢m¢nt of R¢w]nmended Practice applicabl¢ to charities preparing their
accounts in accordance with the Fin8n¢ial Reporting Standard applioble in th¢ UK atml Republic of Ireland (FRS 102)
{¢ffective l January 2019).
ORJECTIVES AND AcrivrriFS
Objective5 and aims
The primary Objectiv￿ of the Mure Hall Company are:
- To manage the premises for the b￿c[It of the comrnunity of Uplawmo(
- To promote and facilitste the use of the hall for edu¢atiorf s(Kial w¢llaTfy health. ￿Te8t10￿ leisure and similar
putposes
- To encourage the ￿lation and C￿OperatiOll of the ¢oThJnuDty. voluntsry organisations and local authorities in
developing the usc of the hall
ACHIEVEMEi¥TS AND PERFORMANCE
Charitable ¥etivities
The Mure Hall Company continued its charitable a¢tiviti¢s throughout the period through the lease of the Mure Hall
from East Renfrewshire Council.
The Mur¢ HaIl is used for the nornial T￿ge of aaivilie5 associated with the operation of a wmrnunty facility including
regular lets to village organisations supplemented by a number of individual functions. Th¢ building also houses the
Council's iibrary 5ervice.Ail these aspects are seen as indicators that the company continued to achieve its objective$ fn
Ihe perio(L
Fitwiciallyj the Trust is sound and able to take car¢ of its respO￿81b11ities for the interior deeorntion and furnishing of the
hall.
FINANCIAL REVIEW
Prtn¢ipal fundillg sour¢es
The main soutce of revenue forthe company is letting incom¢.
Reserves polley
The trustees have carried out a review of the charitys adivities and the risks to which it is exposed. The trustees
monitor progress of the charity at bi monthly n￿e1]n￿. The long tenrl operation of the Mure Hall is dependent upon
fimdtng from the local Community.
FUTURE PLANS
The establishment of ihe E&8t Renfrewshir¢ (XTlbJre & Leisure Trust (ERCL) to manage the Council's community
properties has had little impact on the company to date. However the provision of hall keqJ¢rs and maintenance of th¢
shell of the building remain a concern.
The tern￿ of the lea5¢ agreement require the Council to provide hall keeper staff to b¢ responsi7fyle for th¢ hall lets and
regular ¢leaning. Staff cutbacks and an inability on the part of the ERCL to supply a hall keeper for sorne lets has
resulte4 on o¢wion4 in voluni¢¢rs having to stand in for ERCL employees.
It 15 comforting to know that we have the protection of our leas¢ from ERC which has been acknowledged by th¢ ERC
Chief ExKutive a5 a legally binding documellt.
STRucfuR& GOVERNANCE AND MANAGEMENr
Governing document
The charity is controlled by its governing docurnenl a deed of trusL and constitutes a limi*d ¢ompally> limited by
guarantee. as d¢fined by the compani￿ Act 2006.
Page I

The Mure AaIl Company
Report ofthe Trw¢tts
lor the Year Ended 31 August 21125
STRUCTUR￿ GOVERNANCE AND MANAGEMEP
RtcrDilm¢nt and appoilltment of new trustees
The appointtnenL removaL power and du¢ies of th¢ trustees are as set out in the articl&s of a550ciation.
OrEathisAtiODal Structure
The activities of the organisation have been manapl by tb¢ trustees meeling as a body.
REFERENCE AND ADMINisfRATIVE DETAIIS
Registered CompAny llllThber
SC217179 (Scotland)
Regtstered Charlty number
031255
Registsrfd Orr￿C
The Mur¢ Hall
Tannoch Road
Uplawmoor
Glasgow
G78 4AD
Tru$te¢s
J ca￿laW
J Leggat
A Corbett
S Campbell
M Raeside Chainnan
Mrs L Mccann
Ms Z G Brook
M R Harvey
M5 A Donnelly (appointed 2.12.24)
Company Secretary
J Leggat
Independent Examlner
Fiona Corbett CA
21 Balgownie Grove
Troon
KAIO 7NT
Approved by order of the board of tr￿stees on 21 May2026 a￿1 signed on its behalf by.
M Raeside- Trustee
Page 2

Independent Eyamin*s Report tts tbe Tn￿tee5 of
The Mure Hall Company
I teport on the accounts for the year ended 31 Augiist 2025 set out on pages four to niJ)e.
Respeetive re5PDllsibilities of trustees and ¢58111iiier
Th¢ charitys trustees are rg5ponsil)l¢ for the preparation of the accounts in accordance with the ternLS of the Chariti¢s
and Trustee Investment (S¢oUand) Act 2005 and the Charities A¢wunts (Scotland) Regulations 2006 (a5 amended). The
charity's trustees consider that the audit requirerneni of Regulation 10(I)(a) to (c) of the Arwunts Regulations does not
appty. It is my responsibility to examine the accounts &$ requtred under Section 44(1)(c} of the Act and to state whether
particularmattets have Come to my attentio
Basis of the independeDt exaMI￿e￿5 report
My examination was wried out in accordance with Regulation I l of the Charitie5 Accounts (Scotland) Regulations
2006. An eXaMi]￿li0n includes a r¢view of th¢ ac¢ounting le￿rdS kept by th¢ tharity and a comparison of th¢ accounis
presented with those records. 11 ajso includes consideration of any unusual items or disclogures in the accoullw and
sceking explanations from you as trustee5 concerning any such matters. The procedures undertaken do not provide all
the evidence that would be required in an audiL and consequ¢ntiy I do not express an audit opinion on the viewgiven by
the accounts.
Ind¢pe￿dellt exami￿¢￿$ statement
In comiection with my examination. no matter has com¢ to my attention .
(l) which gives me reasonable cause to b¢li¢ve tha( in any rnat¢ri￿ respec¢ the r¢quirernents
to keep accounting records in accordance with Section 44(1)(a) of the 21MJ5 A¢t and Regulation 4 of the 2006
Ac£ounts R¢gulations" and
to prepare accounts which a¢¢ord with the ac￿Uni]ng records and to Comply with R¢gulation 8 of the 2006
Accounts Regulations
hav¢ not been mer or
(2) to which. in my opinion. attention should be drawn in order to enable a proper und¢r5tanding of the accounts to be
reached.
Fiona Corbett CA
The Institute of Chartered Accountants of Scodand
Fiona Corbett CA
21 BaIgownie Grov¢
Troon
KAIO 7NT
21 May 2026
Page 3

The Mure Hall Company
Statement of Finan¢tsl Actiyities
for tbe Year Ended 31 August 2025
31.8.25
Unrestricted
31.8.24
Total
fjjnds
Notes
INCOME AND ENDOWMEl￿s FROM
Charitsble aetivities
Operation of community hall
4,120
4,398
Invesknent income
3.362
1.475
Totsl
7.482
5,873
EXPENDITURE ON
Charitable aetlvities
Operation of community hall
5.568
1.202
NET INCOME
1.914
4,671
RECONCILIATION OF FUI¥DS
TotaI fjjnds brought forward
70.088
65.417
TOTAL FUNDS CARRIED FORWARD
72.002
70,088
The notes forni part of these fmancial statern￿ts
Page 4

The Mure H211 Company
Balance Sheet
31 August 2025
31.8.25
Unrestricied
fund
31.8.24
Total
fijnds
Notes
CURRENT ASSETS
Debtors
Cosh at bank
2,170
69,832
138
69,950
72.002
70.088
NET CURRENT A￿ET5
72,002
70.088
TOTAL ASSETS LESS CURRENT
LIABILITIES
72.002
70.088
NET ASSETS
72,002
70,088
FUNDS
Unrestricled fund$
72.002
70,088
TOTAL FUNDS
72,002
70.Q88
The ¢haritable company is eniliied to exemption from audit under Section 477 of the Compani¢s Act 2006 for the year
ended 31 Au8usI 2025.
The members have not rwuired the company io obtain an audit of lis financial Statements for th¢ year ended
31 Au8USt 2025 In a￿OrdanCe with Section 476 of the Companles Act 2006.
The tru5tee5 acknowl¢d8e their r¢8ponsibilities for
(a)
ensuring that the charitabl¢ company keeps a¢¢ounling re¢ords that comply with Se¢tion$ 386 and 387 of th¢
Companies A¢t 2006 and
preparing financial $lat¢ments which givc a true and fair view of the stats of affairs of the choritable cornpany as
al th¢ end of ea¢h financial year and of its sury)lus or d¢ficii for ¢a¢h financial year in accordance with the
requirements Of Sections 394 and 395 and whlth otherwise comply with the requirem¢nts of the Companies Art
2006 relating to fmancial statements. so far as applicabl¢ lo the charithble company.
(b)
These financial Jtat¢m¢nts have been prepared in accordance with the provisions applicable lo Charitable companie5
subject lo the small companies regime.
The fitwjcial Statements w¢r¢ approved by the Board of TTU5teos and auihorised for issue on 21 May 2026 and were
Signed on it5 behalf by..
M Raeside- Trnstee
The note5 form part of these financial statements
Page 5

The Mure Hall Compally
Notts to tlbe Finaneial Statements
for the Year Ended 31 August 2025
Accouf4TING POLICILS
Basis ofprepariRg the finaD¢ial statements
The fman¢ial stalem¢nts of the charitable ¢ompany. whiGh 15 a public benefit entity under FRS 102. have been
prepared in aceordance wtth the Charities SORP (FRS 102) 'Accountillg and Reporting by Charities: Stat¢ment
of Recornmended Prdclice applicable to charities preparing their accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective l January 2019),,
Financial Reporting Standard 102 The Fi¢wicial Reporting Stand¥d applicabl¢ in the UK and Republic of
Ireland. and the Companies Act 2006. The financial statements have been prepared ulld¢r the histori￿[ c05t
convention.
Income
All in¢ome is re¢￿gniSed in the Ststement of Financial Activities once the charity has entitlement to the fitnds, it
i5 probable that the in¢ome will b¢ r¢ttived and the amoiurt can be measured reliably.
Expenditure
Liabili¢ie5 are re¢ognised as exp¢ndittwe as soon as there is a l¢gal or constrnctive obligdtion committtng the
charity to that expenditure. it is probable that a transfer of economi¢ b¢nefits witl b¢ r¢quired in settlement and
the amount of the obligation can be me&sur¢d reliably. Expenditure is accounted for on all accruals basis and has
been classified under heading5 that aggregatc all (ost retated to th¢ category. IVh¢re costs cannot be directly
attributed to pani¢ular headings they have been allo¢ated to activiti¢5 on a basis consistent with th¢ use of
ruource5.
T8Dgible Ilxed 4$5ets
Depreciation is provided at the foll¢)wllJg anttu￿ ra*s in order to wrtte off each asset over its estIn￿ted useful
Itf
Plant and machinery
25% on eo$t
Taxatlon
The charity is exempt from co4)oration tsx OD its cljaritable a¢tivities.
Fund accounting
Ut)re$tricted funds can b¢ used in accordance wtth th¢ ¢lwitable objectives at the discretion of the trust¢¢s.
Restricted funds wi only be used for particular￿s￿i¢ted purpo￿ within th¢ objects of the charity. Re5triclion5
arise when Sp￿lfied by the donor or when fvnds are raised for particular r¢stric*d purposes.
Further explanation ofth¢ natUTe and purp05¢ of eath fiuKI is included ID the notes to the financial statements.
INVEsfMENf INCOME
31.8.25
31.8.24
Deposit account interest
3.362
1.475
Page 6
conlinued...

The Mur¢ Hall Company
Notss to the Flnancial StatementS- Colltinued
for the Year Ended 31 August 2025
TRUSTEESI REMUNERATION AND BENEFITS
There wcre no trustees, remuneyation or other benefits for the year ended 31 August 2025 nor for the year ended
31 August 2024.
Truste&s' ¢xpenses
There were no
31 August 2024.
Jstees, exp¢nse5 paid for the year ended 31 Augus¢ 2025 nor for the year ended
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unr¢stri¢ted
fi￿d
INCOME ATr4D ENDOWMENTS FROM
Charitable actiYKtKe5
Op¢ration of conllnunity hall
4,398
Investment income
1,475
Totsl
5.873
EXPEP4DITURE ON
Charitable actiyities
Operation of community hall
1,202
NET INCOME
4,671
RECONCILIATION OF FUNDS
Total fimds brought forward
65,417
TOTAL FUNDS CARIUED FORWARD
70.088
TANGIBLE FIXED ASSETS
Plant
machinery
COST
At I September 2024 and 31 August 2025
29,130
DEPRECIATIof4
At I September 2024 and 31 August 2025
29.536
NET BOOK VALUE
At 31 August 2025
At 31 August 2024
Page 7
¢ontinued...

The Mure Hall Company
Notes to the Financial Statsments- continued
for the Ytar Ended 31 August 2025
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.8.25
31.8.24
Trad¢ debtors
Prepayments
138
2,170
2.170
138
MOVEMENT IN FUTrIDS
Net
mov¢m¢nt
in fi￿d8
At
31.8.25
At 1.9.24
Unroqtrieted funds
General fill
70.088
1,914
72,002
TOTAL FUNDS
70,088
1,914
72.002
Net movement in fimd5, included in the above are as follows:
Incoming
resources
Resources
expended
M0￿ment
in ￿ndS
Unr¢strl¢ted funds
General
7,482
(5.568)
1,914
TOTAL FUNDS
7.482
(5568)
1,914
Comp4r¥tives for movement in funds
N¢t
movement
in funds
At
31.824
At 1.9.23
Unre5trieted funds
General fund
65,417
4.671
70.088
TOTAL FUNDS
65,417
4.671
70.088
Comparative net movement in funds, included in the above are as follows..
Incoming
resources
Resources
expended
MovemeTht
in ￿ndS
Unrestricted funds
General fvnd
5.873
{1,202)
4.671
TOTAL Fuf4DS
5.873
(1,202)
4,671
Page 8
continued...

The Mure H#ll Company
Notes to the Financial Statements- Continued
for the Year Endtd 31 Auiu5t 2025
MOVEMENT IN FUNDS- contlnued
A current year 12 months and prior y¢ar 12 months combin¢d position is as follows:
Net
movement
in funds
At
31.8.25
At 1.9.23
Unrestricted funds
General ￿rtd
65.417
6,585
72,002
TOTAL FUNDS
65,417
6,585
72,002
A current yoar 12 months and prior year 12 rnonths combined net movement in fjjnds, included in the above a
as follows..
Incoming
re50urce5
Resources
expended
Movement
in fvnds
Unr¢strlctsd funds
General fund
13,355
(6,770)
6,585
TOTAL FUNDS
13,355
(6,770)
6,585
RELATED PARTY DISCLOSURES
There were no related party transactions for the year ended 31 Au8USt 2025.
Page 9

The Mure Hall Cowpally
Detsiled Statement of Financial Aclivltles
for the Year EDded 31 August 2025
3 1.8.25
31.8.24
INCOME AND ENDOWME
Investment Income
Deposit account interest
3,362
.475
Charllable actlvltles
Letting income
4.120
4.398
Total Incomlng resource4
7,482
5,873
EXPENDITURE
Charitable a¢tlvltles
Insurance
SuDdri¢s
Premises repairs and renmvals
ERCL admin fees
646
138
4.299
485
624
138
5,568
1,202
Totsl r¢sour¢es expended
5,568
1,202
Net Income
1,914
4.671
Thi5 P8ge does not forni part of the 5fatutory fitw)cial statements
Page 10