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$tliutlon & PuTp¢)se
The Scout Group is constituted in tern￿ of the Rules of The Sc¢xrt Association. ￿lch Is a charitable body
incorporated by Royal Charter. The Group is a fegistered Scottlsh Charity- No. SC032669
Scouting exists to artively engage and support YO￿ pe￿¢ in thelr wsty)al development, emptswering
them to make a poytive contribution to soaety.
Truslees
Karen Gibb
Samantha Norrls
Barbara Mackie
Lu¢y Trethowan
Avrll Gordon
Susan Gre18
Jill Donald
Stuart Mackie
Gordon LOn￿￿1r
Chalr
Secretary
Treausurer
Cornmittee Member
Committee Member
Committee Member
Scout Leader
ALthlil•s & Achlevemthts
The Group has provided resources necessary to supp(*t the scouling prograrnme. The sections have
undertaken a number of I>￿Ing$ 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 bet￿￿n receipts and payments and to allow for any ur*xperted items ol
expenditure on the sC￿rt 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 SIX￿St￿rtGf￿I
I report on the fknan¢i•l st•tements of the 6th Forfar Scout Group r1￿ fjrow") lor y•ar •l￿d 31
Mlith 2026
The Growl's Trustees are resFonsible for the try>aratlon of th• •¢Co￿ts In acmrdarKe wlth thè
Charltles and Trustee Investrnent Act 2C05 fthe A￿) awwj the Charities Acto￿ts IS¢c*dand}
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 lctyj￿ts a5 required under
sertton44llllcl of theArt￿￿ to statewheth¥ p•rtioJar rnattershave come to my attenthn.
My ex•mlnation is Carli￿ crtrt in att0rda￿e wSth Rea￿a￿on& 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 ￿n￿rnI￿ any s￿h 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¢ftt￿n..
iii whlch gNes mè r*•wi•ble to belivle that irb any mat¥W resFeci ￿ requrements
lal to ke*p attountin8 rétonls in ac£ordar￿With the RegulatioT￿ and
Ibl to wyre accountswhlth agree with the recon15 awwj wlth tr
Re8￿ation hjve not been or
121 to whkh, In my opinA)n. atterrtion should be dravm In order to ￿￿ta￿lIr£ of
thè accounts tts be reathed.
Addr•M: 3q 018 514.

6th FOrf•rSr￿rt6rn
statem•nt of BalarK*s
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 R￿d. 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 liabl1￿le$0r 0￿￿￿1•D￿$
Appro4*d 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
UnifO￿S
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 AcC￿￿t
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
I￿2.97
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