Registration number SC240936
St Ninians Kids Club
Statutory Report
for the year ended 31 Juty 2025
WNN
*AEXIBSI6*
0310312026
COMPANIES HOUSE
A11
#292 .

St Ninians Kid$ Club
Company infomiation
Direttors
Lesley Watters
Lynn Quinn
Secretary
Zaneta Mariola Wlodkov45ka
Company number
SC240936
Registered office
150 Restalrig Road South
Edinburgh
EH7 6JA
Accountants
Access Business Ser￿￿ (Edinburgh) Limited
S4 Stableblock
Holyri￿d BU￿neSS Park
146 Dudding5ton Road West
Edinburgh
EH16 4AP
Business address
clo St Ninians R.C. Primary ￿001
150 Restslrig Road South
Edinburgh
EH7 6JA

St Ninians Kids Club
C4mtents
Page
Directors, report
IrKlependent Examination
Profit and loss account
Balance sheet
Notes to the financial statements

S¢ Nioians Kids Club
Directors, report
for the year ended 31 July 2025
The dirertors present their report and the financial statements for the year ended 31 July 2025.
The Company is Limited by guarantee and does not have a share capitsl
Principal activity
The principal activities of the company are the care and education of children in need of care during
out of school hours and school holidays, the provision of faciltties for the recreation and other leisur
time occupation of such children in the interest of social welfare with the object of improving their
conditions of life, and the education and training of persons providing such care, education and
recreation facilities
Directors
The directors who served during the year are as stated below:
Lesley Watters
Lynn Quinn
This report has been prepared in accordan￿ with the provisions applicable to companies entitled to
the small companies, exemption.
This ￿pOrt was approved by the Board on 11 February 2026, and signed on its behalf by:
Zaneta Wlodkowska
Secretary
Page I

Si Ninians Kids Club
Independent Examination of accounts for the year ended 31 July 2025
I have carried out an independent examinab.on of the accounts of St Ninians Kids Club for
the year ended 31 July 2025. This report is in respect of an examination carried out under
settion 44(1)(a) of the Charities and Trustee Investment (Scotland) Att 2005.
In my opinion, no matter has come to my attention in connettion with the examination
which gives reasonable cause to believe that in any material respett:
(l)Accounting records have not been kept in ￿spert of the charity in accordance with
section 44(1)(a) of the 2005 Act, and regulation 4 of the Charities Accounts (Scotland)
Regulations 2006.
(2) The accounts do not accord with those records.
(3) The Statement of Financial Attivities and Balance sheet do not comply with the
requirements of regulation5 8 of the Charitbes Accounts (Scotland) Regulations 2006.
In my opinion, no matter has come to my attention which should be drawn in this report to
enable a proper understsnding of the accounts to be reached and that:
(l) There has been no material expenditure or action which appears not to be in
accordan￿ with the purpose of the charity.
(2) Any information or explanation to which l am entitled to under regulation 13 of the
Charities Accounts (Scotland) Regulations 2006 has been afforded to me.
Chrystin McDerment
Access Business SeThices (Edinburyh) Limited
S4 Stableblock
Holyrood Business Park
146 Duddingston Road West
Edinburgh
EH16 4AP
Date: 11 February 2026
Plge 2

St NiDians Kids Club
Profft and loss account
for the year ended 31 July 2025
Continuing operations
2025
2024
After School Club Fees
Breakfast Club Fees
Other income
45,018
12,732
29
57,779
39,730
8,950
39
48,719
Cost of Sales
Materials
3¢10
340.
57,439
165
48,554
Gross Profit
Distribution Expenses
Travelling Expen
Sundry Expenses allowable
20
20
14
Administration Expenses
After School Club Salaries
Breakfast Club Salaries
Inland Revenue PAYE
Pension Contributions
Training Expenses
First Aid Training
Breakfast Club Expenses
Insurance/Inspection
Cleaning
Equipment
Printing Postage and stationery
Advertising
Telephone
Float Expenses
Legal and professiofkil
Accountancy
Staff Expenses
Leavers Expenses
Ex%ratia stafflcommitt
Subscription fees
40,388
6,833
6,715
2186
42,549
6,882
1,432
1,963
106
35
120
367
18
516
161
367
17
239
451
523
207
462
48
597
422
430
572
25
456
119
317
15
{Loss)/profit
There are no recognised gains or losses other than the profit or loss for the above two financial years.
Tbe llotu on page5 6 to 9 fom an iDteEral p4rt of tbese fiDaDci•I statement
Page 3

St NiDi*ns Kids Club
Balance sheet
as at 31 July 2025
2025
2024
Fixed assets
Tangible assets
Current assets
Debtors
Cash at bank and in hand
3,662
4,046
750
18,240
22,337
18,990
22,337
c￿dItorS. amounts falling
due within one year
Net current assets
(1,453)
18,990
20,884
Total assets less current
liabilities
22,652
24,930
Net assets
22,652
24,930
ReseThes
Profit and loss account
22,652
24,930
Members, funds
io
22,652
24,930
The directors, statements required by Sections 475(2) and (3) are shown on the following page
which forms part of this Balance Sheet.
The notes on pages 6 to 9 forni an integral part of these fillaneial statements.
Page 4

St Nini*ns Kids Club
Balan￿ sheet (continued)
Directors, statements required by Sertions 475(2) and (3)
for the year ended 31 July 2025
For the year ended 31 luly 2025 the company was entided to exemption from audit under section
477 of the Companies Art 2006 relating to small companies.
Directors, responsibilities:
. The members have not required the company to obtain an audit of its accounts for the year in
question in accordance with settion 476; and
. The dirertors acknowledge their restM)nsibilities for comp￿Ing with the reqU1￿ments of the Art
with respect to accounting records and the preparation of accounts.
These accounts have been prepared in accordance with the provisions applicable to companies
subject to the small companies, regime.
These accounts were approved by the directors on 11 Febnjary 2026, and are signed on their
behalf by:
Watters
Director
Lynn Quinn
Dlrector
Reglstration number SC240936
Th¢ Dot¢5 on pag¢$ 6 to 9 fonD au integral part of these finaDcial statements.
Pa£¢ 5

Si Ninians Kids Club
Notes to the finanti*l ststemeDts
for the year ettded 31 July 2025
. Continued
Accounting policies
1.1. Accounting conventton
The financial statements are prepared under the historical cost convention and in accordance
with the applicable accounting standards in the United Kingdom and Statement of Recommended
Practice: Accounting and Reporting by Charitres (SORP 2005)
Tangible fixed assets
Fittings and
Equipment
Total
Cost
At l August 2024
Depreciation Charge
At 31 July 2025
384
4,046
384
3,662
Net book values
At 31 July 2025
At 31 July 2024
384
3,662
3,747
299
4,046
Debtors
2025
2024
Other debtors
750
Creditors: amounts falling due
within one year
2025
2024
Accruals and deferred income
1,453
Reconclllation of movements In shareholders. funds
2025
2024
Loss for the year
Opening shareholders, funds
Closing shareholders, funds
(2,278)
24,930
(7,525)
32,455
22,652
24,930
Page 6

St Ninians Kids Club
Notes to tbe fiD*neial statements
for the year ended 31 July 2025
. continued
Controlling Party
There 15 no controlling party
Company limited by guarantee and does not have share capital
Page 7