APPENDIX 3
OSCR
Independent examinerfs report on the account8
tru•t*￿m?fflb0I* ol e E £c i O
R•glsl•r•d charlty SC
numb•r
On the xcounts of th•
tharlty for the wrtod
042L?17
Pw1￿1 51art date
Pèrfod
kknlh
Ywr
to
4 2GJ4
S•1 out on pag•s
R•sp•ctlv• Ttrt Cl￿nI1$ trustees are resW)nSib￿ for the preparabm of the acAxxJnts In
rn•pon•lbllrtl•• ol vnth the bm$ ol the Ch8niies Bnd TnJ8lee Inveslrnenl ISctllarKII 2(K)5 Ad
Ihe
tru•t••• and examln•r chant￿ A(x(MJnts Iscxilland) Re9uI8tsL￿ 2Cth las amended}. The charty *usleo8
Jef Ih8t the requirement ol R&3U1al￿ 10(1) {d} ol the Ac£cMJrts flylalicMK8
does not apply. It Is my responsibility to examine tr*e aGcounts as requir￿ uthder Secti
44{1 } Ic) of th8 Ad and to 6tale whether p8rtJcu18r matters have come to my Btteillion
of Ind•p•nd•nt My ex8rnlnatK￿ t8 in accxyd8nce Regul8lkin 11 d the 2￿6 ￿(x￿ntS
•xamlnee• Staton￿nI R•9ulatKWlS. An •XamwWlw￿ inthd88 8 review of the accAyJntsw rec<wds k*1 by the
thanty arrfj a c(xnpans(￿ ol the 8ccwnts tK8S8n18d wrth Ihc6e rec(ffds. 11 allo ncl
(£Xl8￿818IX)n of any unusu81 rterns or di8ck*ur88 the aCC￿nts seek
do nol am Ihe evid8nc8 Ihat w)uld be wuir&J ￿ an ￿d.
nol express an audrt opnM)n ￿ Ihe givan by th8 ￿coUnts.
•x•mln•e• In th8 t￿rne of my 8xarnmalx)n, no maller h8s ￿rne to my atterrtKm lother
statemont di8ck)s8d on the attached P￿e"l
uenty. I do
Ihet
giv88 mo r8asonable cauge lo b8h8ve that in ary matenal r8
r8quirom8nts.'
) k88p accountir¥J r￿8 in ￿￿Kdance wth 98cl￿ 4411 I la) ol th8
R&3ulalion 4 of Ihe 2006 Accounts Rggulations, and
to prepare accwnts wthi¢h ￿tIx￿ wilh accountir¥J r￿￿18 and
Rewla1#￿ 9 (A A(%￿nts Rtyulalkx)s
05 Ad and
2. lo vthith. in my Opffik￿. attèntion slKwSJ be drawn in order lo ￿eble 8
Lir¥lAr*t8nAiM nf ac￿Unts to be reached.
Dat•: 0411112025
grwd:
R•l•v•nt wof••slonal
qu•llflc•ttorfs) or body
{ff any):

Charity No. SC042937
Sl•t•m•rrt ol Rettlpts Ind Piyroents lor the perfod •ndlw 31 2025
202412025
Restrirted
202312024
Totsi
Unfestrirted
Tot
R•c•lpts
Donatic￿$
Grants
R￿ipts frorn ftjndra1￿Thj
Bank Interest
Gross trading ￿lPtS
210
210
1.507
11.250
317
35,594
317
35,594
343
32.958
5vb Total
45.871
45.871
Totsl IrKon¥J
45 871
45.871
46.OS8
202412025
Re5trittÉd
202312024
Total
Unrestritled
Total
P•yrrnrbts
50,758
37.5S9
494
S1.252
494
51.252
312
37.871
Sub Totsl
51.252
51.252
37 871
Net r￿￿pts I Ipayrr•ntsi
-5,381
-$381
187
TTrnslers to I lfrornl fvnds
SuWu8 I Id&f￿tI for ￿r
-5381
8.187
Pwe1

Buddies (SCIO)
Charity No.SC042937
Statement of Balances for the period ending 31 March 2025
2024/2025
Restricted
202312024
Total
Unrestricted
Total
Cash Funds
Cash & bank balances at start of year
Surplus l (deficit)
Cash & Bank balances at year end
30176
-5381
24795
30176
-5381
24.795
21,988
8,187
30,175
Total funds
Reconciliation to bank account
Bank statement at 31 March 2025
Debit Card at 31 March 2025
Petty cash at 31 March 2025
Cash & bank balances at year end
21.351
2.751
693
24.795
Page 2

Buddles15CIOI
Charity No.SC042937
Moles to the financ￿1 st•ternents lor the ptrfod eTrdl￿ 31 M•r¢h 1025
Funth
Unre5trirted funds are funds that the charlty may use freely In lurrher•nce of Its objertives. The maln source of fuTrdin8 is tradin& i.e. providini 5eNices
to members. The charity did not receive •ny 8r•nts It) the flnancial year 2024125. The th¥rlty held no re5tTiCted funds in the flnancial year 2024125.
Ileb•ted P•ityTr•ns•rtlons
The Trusiee5 did not receive •ny renumeratlon durfnl the financlal year 2024125.
The Trus¢ee5 dld not receive •ny expenses durln8 the Ilnancial year 2024125.
There were no tFin5OCtlon5 wlth Trvstees durin8 the fingnclal year 2024125.
There were no tron5attlon5 Wlth connected persons dyrlni ihe Ilnanclal Veal 2024125,
AECEIP
Don•tlons rnc•hd
202412025
Restrlcted
202312024
Tot•1
Unrestricted
Tot41
V•riou5 dono
210
210
210
210
1,507
1.507
Tot•1
Gr•nts rt¢•Prtd
202412025
202312024
Tetal
Unrestrltted
Restrlcted
Tot•
Grants
9,750
9,750
9,750
9,750
11,2SO
11,250
Totil
Rttelpts lrt+m th41￿•bIt
202412025
202312024
Total
Unrestricted
Ae5¢riued
Total
￿ern￿r fees
3S.594
35,594
35,594
35.594
32.958
32,958
Pa8e 3

Buddles ISCIO)
Charity No.SC042937
Notes to the financial statements for the perlod endln8 31 March 2025
PAYMENTS
Payments relatSn8 dlrectly to charltable artlvities
202412025
Restricted
202312024
Total
Unrestricted
Total
Staff costs
Premises costs
utilities including telephone
Insurance, Licenses and memberships
Printing, Postaage, Stationary and Advertisin8
Finance
31,040
13,292
3.399
641
2.385
31,040
13,292
3.399
641
2.385
19,511
11,985
4,153
935
975
Total
50.758
50.758
37.559
Page 4