REGisfERED (XARTfY NUMBER: SC038673
ATEME
R ENDED 31st MARCH
FOR
MYO
NG AT HEA
Page I

DHANTUIM YO
NG AT HEART
R THE YEAR ENDED
IMAR
REFERENCE AND ADMINIsfRATIVE DEfAXLS
Registered Chaiity number
SC0386T3
Office
43 Lower Shader
Isle of Lewis
HS2 ORH
Trustee5lCommittee
Mr Murdo N￿h01$on
Chairper9)n
Mrs Eknor Macleay
Mrs Joan Mackay
Mr5 1)onna Dorris
Mrs Chnstine Macrttch
Mrs Al￿e Nicolson
Mr Iain Murray
Mrs Christina GilLin
Mrs Christine Smith
Treasurer
Mernber
Member
VI￿ Chair
Member
Member
MeM1￿r
Sttretsry
Mrs Elenor Mathay
Treasurer
Mrs Joan Mackay
Chairptrson
Mr Murdo NKholson
Independent Examiner
[￿nald A Macdonald MBA
27 8otve
Iste of Lewis
HS2 ORX
Page %

STRucfuRE, GOVERNANCE AND MAt4AGEME14T
Governiry document
The organisatr.on is govemed by its C￿str(ub0n d￿Ment.
The uganisation 15 regfytered with the scottish Charty Regulator and the Cfvrity Numbet is SC038673.
Oryanisational structrre
The Committee conssts of volunteers who manage the affairs of the charity through regular meetings where Matte￿ are
dixus*d and agreed. The d￿￿c￿5 tsken by the ccfflmrttee are ll￿pleMented by the exeoJtNe mem￿e￿ whKh indudes
chair. 5ecretsry, and treasurer. The chariiy has empknyees.
Risk management
The trustees have a duty to identify and rwew the rfsks to which the charrty is e¥FxThJ to ensu￿ appropriate contsds
a￿ in pla￿ to provide reasonab￿ assuran￿ against fraud and error.
OBJECTIVES AND ACtivrtIES
Objectives and alms
- to cater for the soual recreational Wel￿￿Ing of the senh)r cilrTrns in the ￿ndthintulM C(mmunty cou￿1 area.
Significant activities during thè year
Fa￿ to fa￿ monthty ￿￿etings, day trip5, [￿15 and excvrstons and an annual mainland trip happenetl during the year to 31st
Mard) 2026 35 well as fUndrnl￿ng during the Feric<J.
FINANCIAL REVIEW
Investment policy and objectives
The charrtvs fund5 are hekj on de￿$it in bank accounts.
FuniRE DEVELOPMENTS
The charty's plans for the fijture frKus on ￿tinUing the wrrent format of the dub and, subiett to the wishe5 of ts
membership, to increasing tIE TarvJe of its actmties. Also to ensu￿ delivery of its tharItab￿ objectives.
TRLisfEES' REMUNERATEON AND BENEFITS
There were no tTUStees' ￿MUnerthn or other teneffts for the year ended 31 March 2026.
There We￿ no trustees. eX￿nSeS paid for the year ended 31 Marth 2026.
ON BEHALF OF THE COMMIfFEE:
n Mackay, Twstee
Date..
Page 3

Emf EXAMINER TO THE TRUSTEE
AIRIDHA
HE
RT CLUB
4Jh
Independent Examinerfs Report to the Trustees of Airidhantuim Young at Yeart aub
I repx)rt on the accounts of the charty for the year ended 31 March 2026 whth are set out on
pages I to 6.
Respective responsibilities of trustees and examiner
The tharivs twstees are reS￿nSIble for the prepaTrtion of the accounts Sn accordan￿ with
the temis of the Charitses and Trustee Investrnent (*oUand) N£t 2005 and the Charities
Accounts Iscodand) R￿ulatI￿5 21￿. The charty tru*ees tonsder that the audr( requlrement
of Regulab"on 10(1} {dl of the 2(X)6 Accounts Regulat¥Jns does not appty. It is my re4￿n￿bl.1ty
to examine the accounts J5 required under ￿tiOn 4411) {cl o* the and to slate whether
particular matters have o)me to my attenth"on.
Basis of independent examinerfs statement
My examination is (3rried out in accordance with RegUlat￿n 11 of the 2006 Accounts ReguLitions.
examination indudes a rewew of the accovntr'ng records kept by the charity and a comparison
of the accounts pre*nted wtth those records. It also indude5 consideration of any unusL411
rtems or dlsclosures in the accounts, and seeks explanations ftom the trustees conoming
any s￿h nk3tters. The prrKedures undertsken do not prowde all the eviden￿ that would be
required in an audL and conwuentty I do not exwess an audr( opinion on the view gwen by
the accounts.
Independent VAamlnerfs statement
In the course of my examination, no matter has come to my attention
l. whith gNe5 me reasonable (au5e to LElieve that in any matsrial re5P*Ct the requirements..
. to keep accounting records in accordance with SeLtion Hlll (a) of the 2(K)5 Art and
Regulation 4 of the 2006 Accounts RegulatK)n5
• to prepare accounts which attord with the accounty.ng records and c(XnPty with
RegLskkn"on 9 of the 2¢YJ6 Acry￿nts Regulatmms
have not J*en met, or
2. to which, in my opinion, attenb'on sh￿Id te drawn In IxdeT to ena￿e a proper
understandlng of the accourts to be reached.
tkwld A Macdonak
(knupation: Re￿red Bank MJna9er
Qualifications.. MBA
Address: 27 Borve
151e of Lewis
H52 ORX
Tel.. 01851850751
dge4

DEfAILED ￿ATEMENT OF FINANCIAL AcnvrFIES FOR YEAR ENDED 3114ARCH 2026
31.3.26
31.3.25
INCOMING RESOURCES
Voluntary income
Grants
C4)nations
591.80
Activities for ge￿rating funds
Fundraising events
2A12AO
2.867.10
Memter Contritrxjbons
6,95&24
6.043.00
Investment income
ank Inte￿5t
76.43
Total In￿￿1￿9 resources
ION36.87
9,600.71
RESOURCES EXPENDED
Fundrnl$lng tTading: cost of goods sold and other cwts
Purchases
335.47
163.20
Charitable activities
Insuran
Light and heat ￿nt etc
Gifts & d(x)ations
Meals
139.26
220.00
10.99
1,261.35
8,710.00
30.00
352.00
135.24
0.00
55.50
1,528.50
8A96.00
AGM Advert
Entertainrnent and ex0J￿onS
11.059.07
10,550A4
Legal and professw)nal fees
Bank (haryes
Gifts/flowers ￿ cmimiitee
84.IXI
T¥aining
0.00
11.143.07
10,550.44
tlet incomel (deficit)
Page 5

RIDHAN
IMY
ATH
BALANCE SHE
31.3.26
31.3.25
FIXED ASSETS
Tangible assets
CURRENT ASSETS
Debtors
Cash at bank- See Note
6,213.53
6,919.73
CRED￿OR$
Amounts falling due wtthln one year
6 213.53
TOTAL ASSEfs LESS CURRENT LIABILMES
6,213.53
6,919.73
NET ASSETS
6 213.53
FUNDS
Unrestrthd funds
RestrKted funds
6,213.53
6,919.73
TOTAL FUNDS
6 213.53
These financial statements were approved by the Committee on .
behalf by..
and were signed on its
Mathay, Trustee
Note: Opening Bank Balances
£6.919.73
Net Deficit for Year
£ 706.20
Closing Balanee 3113n6
£6213.53
Represented by.. Accout*t 00666954
Account (X)669082
£ 3.001.27
£ 3,212.26
TOTAL
£ 6213.53
Page 6