61h Forfar SCO Group Annual Report & Anancial Ststements for the Year ended 31 Marth 2026 awlty No SC032669
6th Forf•r Sc¢Mrt Group TNsteesAnnual Report The ExecutSve Committee have p1th75ure in presenting thetr report together wlth ihe financial statements and the Independent examinerf5 report for the year ended 31 JJ2& Name & Address The Group's Name Is the 6th Forfar 129th An8usl Sc¢wt Gro and it rnay be contarted at Quilkoe Farm. Forfar. DD8 3RS Con$tliutlon & PuTp¢)se The Scout Group is constituted in tern of the Rules of The Sc¢xrt Association. lch Is a charitable body incorporated by Royal Charter. The Group is a fegistered Scottlsh Charity- No. SC032669 Scouting exists to artively engage and support YO pe¢ in thelr wsty)al development, emptswering them to make a poytive contribution to soaety. Truslees Karen Gibb Samantha Norrls Barbara Mackie Lu¢y Trethowan Avrll Gordon Susan Gre18 Jill Donald Stuart Mackie Gordon LOn1r Chalr Secretary Treausurer Cornmittee Member Committee Member Committee Member Scout Leader ALthlil•s & Achlevemthts The Group has provided resources necessary to supp(t the scouling prograrnme. The sections have undertaken a number of I>Ing$ and activities in supix)rt of SC(Xrti airns in addition to the regular weekly meetin8s. All levelsare also Involved in the regdar anrwal fundTa15NY 7th beetledri¥e and bin80 nl8hts. Trustee and R•munerallon Expeb The Trustees dld not receive any remuneration or otpenses duringthe year. Re5erv•5 Policv The Trustees believe that around nine months of annual empenthtwe is •Th appropriate Iwel of re5er¥e5 in order to cover the tlmh)# dlfferences betn receipts and payments and to allow for any urxperted items ol expenditure on the sCrt Hall. Approved by the Group Executive Committee on and signed on its behalf by:_ co+- Karen Gibb alrperson
Forf•TScoul Grnup Indewdent Examlner's Aeport Y••r•nd•d 31 2026 Ir•PandITrt A•port to th• Tfttst•w ofth• 6th SIXStrtGfI I report on the fknan¢i•l st•tements of the 6th Forfar Scout Group r1 fjrow") lor y•ar •ld 31 Mlith 2026 The Growl's Trustees are resFonsible for the try>aratlon of th• •¢Cots In acmrdarKe wlth thè Charltles and Trustee Investrnent Act 2C05 fthe A) awwj the Charities Actots IS¢cdand} Re8ulatb)n$ 2(K)61"the Re8ulatkins"l. The Group's Trustees mnslder that the audit rewirement ol Regulatlon Iolllldl doe5 t appty. It 15 my reSp)NIty to ex•miM thè lctyjts a5 required under sertton44llllcl of theArt to statewheth¥ p•rtioJar rnattershave come to my attenthn. My ex•mlnation is Carli crtrt in att0rdae wSth Reaaon& An eramirwlion indudes a r•lew of the auowrting record5 kept try the Growj arx1 • <omp•rtson of the K£ounts wesenied with those records. It also Indudes cortyderolion of ary unusual items or thxloswes In the •ccount8 seeks exk4anatlonsfrom tht Trustees nrnI any sh matter¥ The procedwts ken do Th)t provide all the evidwKe thal wtyjd wyred in an •Itt, Conse0 l th Mt express an •udit opinion on the view given by the acmunts. Ind•p•nd•t Examln•es Stst•m•nt In connection with my examination. no ffl4tter ha5 cometo rny att¢fttn.. iii whlch gNes mè r•wi•ble to belivle that irb any mat¥W resFeci requrements lal to kep attountin8 rétonls in ac£ordarWith the RegulatioT and Ibl to wyre accountswhlth agree with the recon15 awwj wlth tr Re8ation hjve not been or 121 to whkh, In my opinA)n. atterrtion should be dravm In order to talIr£ of thè accounts tts be reathed. Addr•M: 3q 018 514.
6th FOrf•rSrrt6rn statem•nt of BalarKs Jtst M•nth 2026 BAr&nd 8•lance as at Iwi SvrpluslDeflclt for the year Bajance ès at $1 24m9.26 15,75&56 5,817.59 8.670.70 18.511.67 24.429.26 Royal B8nk of 5cotl•nd CurrontAttount Adlustrnents +l- Cash In Hand 611.67 24,S38.97 109.71 18,611.67 24.429.26 Rèstr4cted Funds- Vedurn Fund 6.687.51 9519.49 Un-restrl¢ted Funds General Fund- IGroup Account) 14924.16 14.9)9.77 Total 611.67 24,429.26 The Group owns the Scout HaFI at Lochside Rd. Forl•r a Shed on Lour Est by ForfaT. The Group owns a quantity of Campi other sports equiwmnt whlch has been acqulrnd o¥•ra numbtrof v U•bHld•s The Group has no othèr material liabl1le$0r 01•D$ Appro4d by the Group Execvtive Committee on and swed on Its behalf br.. S•m•nth• Noth% S•¢r•tsry
6th Forfar Srout Group Income and Expenditure Ststement Yearwided 31 March 2026 Bank Balan as at Isl April 2025 24429.26 Income Annual Subscriptions Fundraisir Donations UnifOS Gift Aid Weekly Subscrlptlons TriF6 Bank Inte$1 Vedum Camp Income L882.97 400.00 5360.IKI 1,042.1 254.72 11692.60 Total Incom• 2463229 EMp¢ndltyre Membership Du8s pahj to HQ and Di*1 Fundraising Costs Bwjges and Unrforrn Training & Materials Trips Eleclrickty Insurance Repairs and Maintenan Equipment Programrne Adivities Vedum Camp Expenditure 2.184. 14&33 275.44 2%.00 2,141.00 3,464.94 67k130 212.29 1,960.60 15,524.58 Totsl Expenditure 27,449.88 Balan as at 31st Marth 2026 11611.67
6th Forfarscout Group ststement of Receipts & Payments AcCt Yvr ended 31 piiarth 2026 2026 RECEIPTS Voluntsry Inuylme Subscriptions GiftAld Donations Other Income- Uniforrn5 Fundraising Activitie5 Bank Interest 5360.00 4,886.83 o.oo I2.97 254.72 4.040.78 239.57 Group Attfvliles Grants Trlps 1.042.00 525.12 Vedurn C¥np Actlvltles Vedum Camp Income 12,69160 9,519.49 Total Recelpts 21,632.29 19,361.79 PAYMEKrs Expenses for Fundraising Activibes Chartitable Activities Donatations Govemance Costs Vedum Camp Expenditure 148.33 27,301.55 10,64L09 15,524.58 Totsl Payments 42.974.46 10,691.09 SurpluslDefidt foryear - 2134117 8.670.70
6th Forfjr Scout Group Notss to the Accounts Year ended 31 Marth 3)26 General Fund 2026 2025 RECEIPTS Subscrfolons Fundrnising Donations Unifom)s Glft Ald Trlps Bank Inleresi Vedum Camp Income 5,360.W 4,886.83 1,882.97 4.040.78 400.00 0.00 1.042.00 254.72 12.692.60 525.12 239.57 9.519.49 Total Re¢•ipts 2L63129 19,36L79 PAYMENT5 klembershlp Dues pakl to HQ and Dislrlct Fundraising Costs B*$ and Uniform TrainitYJ & Materials Trfps Electricity Insurance Repaits 8nd M8inten8nce Equipment Pmgr8mme Acaivlties Vedum Camp Expendlture 2.184.00 14&33 56&40 275.44 296.CKI 2,141.(K) 3,464.94 674.30 2,(KJO.00 50. 237.48 1,677.80 2.467.00 212.29 838.70 L960.60 1,973.15 15,524.58 Total Payments 27,449.88 10,691.09 Surplu5/Deff¢tt for yw 4817.59 8.670.70
6th Forf•r Scout Group Recondllailpn- 31 Mavth 2026 Balan¢e perA(counts Jt 31 Marth 2026 611.67 Unpresented theques: Totsl: Add: Payments in TransiL' Date Chq No. Trtal: Adfvstment 8•l•nc• ¢)n Bankstatonwnt at 31 March 2026 18,611.67