FRIENDS OF BIGGAR MUSIC CLUB TRUST- SC035077
ACCOUNTS FOR 1.4.25- 31.3.26
2023-24
2024-25
2025-26
INCOME
Donations
160.00
90.00
60.00
Tax reclaim (Gift Aid)
Charifund Dividends
Fund Raising
Funds from concert
1,916.68
2,016.97
2,117.26
Bank interest
34.40
44.29
38.06
Totsl income
2,111.08
2,151.26
2,215.32
EXPENDITURE
Donation to BMC
1,500.00
1,500.00
2,000.00
Independent Examiner
Bank Charges
AGM expenses
Transfer to Charifund
Total expenditure
1,500.00
1,500.00
2,000.00
Balance (surplus/deficit for year)
Bank Balan￿ 31st March
611.08
651.26
215.32
2,209.53
2,860.79
3,076.11
FUNDS HELD @ 31st March 2026
RBS
2,209.53
32,451.64 33,834.34 39,991.33
34,661.17 36,695.13 43,067.44
2860.79
3076.11
Charifund
Total
Signed.......
Chairman
Signed...
Treasurer
I have examined these accounts and found them to be correct.
Signed..
FOBMC accounts 25-26