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GIRLGUIDING FORTH VALLEY
UNIT
DISTRICTIDIVISION .../.
TN8te05' Annual Report and Accounts for the year endod 31 December 2025
Scottish Charlly Number SCO
Tru8t•e• at Year End
Unlt Leader
A88l$tant L•adern
Trustee8 ReSIgn￿ durlng Y•ar
Contact Addres•
The above charity (unit) is an unincorporated assoaation. It has no written constitution.
but operates in accordance with the policies and procedures published by Gidguiding. the
operating name of The Guide Association. The Guide Associalion is incorporated under
Royal Charter which gives power to fomi unrts across the United Kingdom.
The Truslees are the volunteer adult leaders trained and appointed as per the Girtguiding
policies and procedures. Update training is available Ihroughoul the year.
The charty's aim is to deliver a programme of infomal education in accordance with the
ethos and prinuples of Girl9uiding. During the above period the charity provided this
programmeto lox girls. Vis& .Iu 5fj
(LKO LIMAS. La> of Cfr
The charity's main income is subscription income. The charity aims to hold suffiaent cash
funds to meet all expenditure due and anlicipated during a 2 month period.
(If the accounts lor the year differ subslantially fmm those olthe previous year, add in a
short explanation as to why e.g. a Inp orlarge camp)
No remuneration was paid to the Trustees during the year.
Slgned
Trustee
Name
Doto
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GIRLGUIDING FORTH VALLEY
OSCR
UNIT I￿ Bantaskin Rainbthvs
REGISTRATION NO SCO
Rocelpts and Paym•nt8 Account lor the year end?d 31 December 2026
2025
2024
RECEIPTS
Membership Subscripti¢)n8
Fundraising
Guiding Activities and Events
Charitable Income- Legacies
Charitable Income- Grants
Charilable Intom8- Donations
Miscellaneous Sales
Investment Income
Other General Incom8
924.00
1271.fyj
Totsl Re¢elpts
1072.00
1758.00
PAYMENTS
Membership Subscrbptions to Girlguiding
590.C
616.00
Fundraising Expenses
Guiding Activrties and Everrts
Publicity Expenses
Cosl of Miscellaneous Sales
Donations Made
Administrative Costs
(Xher General Costs
Total Payments
1007.99
1047.26
SurplusllDeficitl for year 2 A _ B
64.01
710.74
STATEMENT OF BALANCES
Openlng Balances Cash on Hand
Bank
Add SurpluslDeduct (Defiot) for year
5.83
Closlng Balance
1131.08
1067.07
Closlng 8alance Represented by
Cash on Hand 31.12.25
Bank Balance per Cash Book 31.12.25
22.22
22.22
Closlng Balance as C abovè
1131.08
1067.07
PTO
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