REGISTERED CHARITY NUMBER: SC044371
F.PORT OF THE TRUSTEES AND
NAUDITED FINANCIAL STATEMEYTS FOR THE YEAR ENDED
31 DECEMBER20
FOR
UE
THE MUIRMILL E
TRIAN CLUB SCIO
H￿ry Browm & Co
Chartered Acc(Kmlan15
26 Pcrtland Road
Kilmamock
Ayrshire
KAI 2EB

THEM
scio
OFTHE FINAf4CIAL ¥fATEMENT
R THE YF.AR ENDEDJI DECEMBER 202
Report of the Trustees
Ito2
Independen¢ Examinert Rewt
Strtement of Financial Activili¢s
Ba]anc¢ Sheet
No(e5 (o the Financial Stxements
6w8

THE MUIRMILL E
U&STRIAN CLUB
RE
RTHE
RT
BER 202J
Th¢ tTUSt¢CS PTrsent Iheir rerth wilh ihe fIna￿la1 statetmlts of the charity for year eTrJed 31 December 2023. The
Irusiees have adopi¢d ik provisions of thp ￿￿emen1 of Recommended Pradice (SORP)'Aceotsntiftg a￿d Reporting by
Chariii¢s' issu¢d in March 2Tr)5.
REFERENCE AND ADMINI￿RATIVE DETAIIS
Reglstered Charhy number
SC044371
PrI￿¢1paI addre55
Independent ¢xAfftiner
Ch.1ncrcd Acc￿ntant
Henry Brown & Co
Chartered Ac¢ountants
26 PortlaThJ Road
Kilrnarnwk
Ayrshire
KAI 2EB
STRUCTURE, GOVERNANCE AND MAIYAGEMENT
Governing documtnt
The ¢h8rity is controlled by its governing documenL A deed of tsust, and C{￿5111￿1¢S an unincorpclated charity.
Risk m$n*eement
The trt￿tees have a duty to identify and Teview the risks io whirh th¢ rlwity is ¢xp05cd and to cnsure appropriate
ntrols are in place to provid¢ rea30robl¢ a53urarKc against frdud arKJ errcr.
STATEMENT OF TRUSTEES RESPONSIBILITIES
The truslees are responsible for preparing the Report of the TTWttS and the rtMrKial swemenis in accordance with
applicable law and United Kingdom ACc(￿nI]ng Standar& (Uniied Gejwalty Aecqmed Accounting Praeiice).
The law applicable ￿ charities irt Scotland, the Chariiies a￿1 Tws*e lnveSkn￿t IS¢otland) 2005. Charities
A￿fjunts Iscoiland) Regulaiions 2C￿ (as amended) and the provisiots of the charity's constitution requires tk trustees
ro Fttpare financial statements for each financial year which give a true and fair view of the state tsfaffairs of the charity
and olthe incoming r¢sourc¢5 and applI￿110n of resource4 1K1￿lIngthe I￿orne Ind exr¢nditure, of the charity for that
i(xI. wying those finarKial sthtcnKnts. th¢ trus¢¢¢s are re4ui¥ed to
IKt suitable accouniing policies and then apply them c￿Sisteni]Y,.
obs¢rye the methods and principles in the Charity SORP;
nuke judgements and estimates th21 are reasonable and Frudeni.
prepare the finan¢ial sraiemenrs on the going co￿￿n basis unless il is inappr0wi￿e to presume that the Charity
will ¢thtiDue in bjsiness.
The trustee5 are responsible for keeping pwper accournting records wthich disclose wtih re&soMbl¢ ic¢u]xcy ar tune
Ihe filla￿la1 ￿ls7[10n of the ¢harity and to enable them co ensure that th¢ finnncial sl#cm¢nls ¢ompby wtth th¢ Chariiics
and Tn￿tee Inve$thieni {Scrrtland) Act 21K)5. Thariti¢5 Aca)unts (Scotland) Regul￿10n5 2006 {as ￿nd¢d) and lh¢
provis￿nS of the charity5 CfflStiluli()n. TIKY are alw resp￿￿Ible for 5afe¥uarding 855d5 of ihc tharity and hence for
takin8 reasonable #eps for ¢he prevention and thiethion of fraud aThl itregularitie

THEM
PORT OFTHE TRugrEES
THE YEAR ENDED 31 DECEMBER 2023
Approved by order of the board of trustees on 30 SeF*ember 2024 si8ned on its [￿half by:
Trusiee

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEFS OF
THE MUIRMILL E
UESTRIAN CLUB SCIO
I report on ihe accwnts for the year ended 31 Decemiw 2023 s¢t our on pw four io ¢ighi.
Re$peetl¥t resw)#%ibilitits of tr¥5tees ex*miner
The charitys trustees are reSpL￿￿1bl¢ for the preparation of (he accounts in )￿rd￿nCe with th¢ t¢rms of th¢ Charilies
and Twstee Inve5trwnt (sc￿land) Aci 2005 aJNI the Chari(ie5 Accowits (Scimland) RCgu1￿lon5 2￿6 la5 amended). Th¢
charity's trustees consider that the audit rwuir¢nKnt of Rcgulaiion IIXIXal to (c) of thr Accoutlts Rc8ulations does nvt
aFgly. li 15 my ￿S￿)nSibIl11Y to ¢xamine the accothrtts as required u)der Se£Uon 44(IXc) of the Acl and to State whether
pwticular matters have c(¥)x io my atteniim.
Basis of the independent examlner's report
My examination was carried out it) accordance with Reguknion I l of ttje Charities Account5 {Seotlandl Regulations
2￿6 {as amended). An examinaiion IrKI￿deS a review of the ￿co￿ting records kepi by Ihe ¢harity and & eotnpari50n of
the a¢¢ounts present￿ with those r￿Or￿ li a]so U￿1￿￿eS ¢onsitkrntion of any unusual iiern5 or disclosures in the
accounts, and seeking explenation5 fron) you as iruslees wncerning any such mall¢r$. The pro¢edures uThdertak¢n do not
provide all the evidence that woukl rcquired in an audit. and consequenily I do neé expre55 an audii opinion on ihe
view given by the aCc￿rtts.
Independeit exafftiner's s¢ateme•t
In the course of my exarninatioo no matter has come to my aiiention:
which gives me retdonable cause ro believe thai in any materwdl Te5FtcL the Tequirements
to keep *eounting records in aL￿rthce with Se¢tion 44IIX8) of the 2(K)5 Act #Thl Regulation 4 of the
20￿$ Accounts Regulaiions. and
io prepare a¢￿u￿r$ which ￿0rd with the a¢¢ounting records and io compty with Regul&ion 8 of the
2006 Acwunts Regulations
have noi F*en met. or
(2) to which, in my opin•(m, attenti4y) sh(MJld ￿ drawn in or(kr 10 enable a proper understa￿lIng of ihe ac¢owLIS
¢0 be reached.
Chartered Accountant
Henry Brown & Co
Chartered Accountants
20 Ponland Rofid
Kilmarnock
Ayrshire
KAI 2EB
30 September 2024

THE MUIRMILL E
RIAN
ND
D31 DECEMBER 21123
2023
2022
T(￿11
funds
unles￿l¢ted
nd
N￿¢$
INCOMING RLSOURCLS
Ineonling re50wrces fro￿ geTrer*ied fvn¢ts
Activities for generating fiJLids
Investment income
Olher i*comini resottrtts
154J99
154,081
7.ILKI
Total incoming rewllrees
154,408
RESOURCES EXPENDED
Costs of gtner*ting fllnds
Costs of g¢nerniing volunlary in(x)me
Fundraising lT￿d￿ c05t of sold and
¢051S
9),864.
109,613
59,124
50,309
Totsl resourees expended
158.988
1 $9,922
NET INCOMINGJ(oufGOING)
RESOURCES
(4,580)
1259
RECONCILIATION OF FUNlkS
Totsl browgh¢ forwaTd
5J43
4,084
TOTAL FUNDS CARRIED FORWARD
763
5J43
The n￿e5 forni of I￿se financial ￿￿eMe[￿ts

THE MiJIRMILL E
BALANCE SHEET
AT 31 DECEMBER2
2023
Unre5trirted
fijnd
2022
Totsl
fvnd$
Notes
CURRENT ASSETS
Cash ai bank
763
5,343
14ET CURRENT ASSETS
763
5,343
TOTAL ASSETS LESS CURREKr
LIABILITIFS
763
5,343
NET ASSETS
763
5,343
FUNDS
unrestrict￿ fijt
763
SJ43
TOTAL FUNDS
763
5,343
The financial s¢aiernents w¢r¢ apWOv￿ by the Board of Tnjsiees on JO Syanber 2024 ond were signed on its behair
'[ rustee
Th¢ notes of these financial staiements
Page 5

THE MUIRMILL E
U&STRIAN CLUB SCIO
NOTESTO THE FINANCIAL ￿ATEmENTs
FOR THE YEAR ENDED 31 DEcE￿IBER 2023
ACCOUNTING POLICIES
Aecomnting conventioft
The financkg151aternents have been prepa￿d uThler the historical cost eonvemti(m, and in a¢¢ordance with the
Financial Reporting Stsndard fty Smaller FJttities {effective Awil 2(K)8). the Charities and Tru$te¢ Inv¢stm¢nt
Iscotland) Act 2005 and tk Tequirements of the Ststement of Rcwmm¢rykd Prnclic¢, Accounting and
Reporting by Charities.
lTrtoming resources
All in¢oiDing resources are I￿Illded on Stste]tW vf FIna￿la1 Aaiyities when the charity 15 ￿a1]Y entitled
to the income and the am(wt Can be quantified with reasonable
R¢sour¢es exp¢￿ed
Expendiwre 1$ a¢count&l for on an a¢CTua15 tOSi5 and has c]Lssified under headings thot iw¢gate all Cost
related to the category. Where costs cannot ￿ directty attributcd to partiallar h¢adings Ihcy havc been all￿at￿l
to activiiies on a basis ¢￿S1￿¢nt wrth th¢ w¢ of rcsourcc&
Tax*tlon
charity is exem￿ from thx I>A its eharitsble ￿]vIll¢s.
Fund accounting
unrestrict￿ fimds can be used in accOTth[￿ with th? charitable objectives ai thp discretion Df the trustees.
Restri¢ted fuJKts can [￿lY be used ftsr pertKular restrKted p￿r￿tseS within the obje¢ts of the ¢harity. Restriction$
arise when specifjed by the dontr or when fund5 atr raised for p8rticular ￿stricted purpose$.
Further explanatw)n of the n&twe and purp(w of cach fund 15 incI￿l¢d in the notes to the financial statement&
Hire purchase and Jtaslng eommltmtnts
Rcntals paid under ￿eratIng leases are charged to stateme￿ of FinarKial A¢rivities ￿ a straighT line basis
ovu ihe per￿d of Ihe le￿¢.
AcrivrriES FOR GENERATINC FUNDS
2023
2022
SEK)nsorshi
Eniry fees
Arena hire
i.fflo
153.399
2,350
147.408
4.J23
154,399
154.081
INVESTMENT INCOME
2023
202?
Dq￿lt account ini¢r¢s¢
FUNDRAISINC TRADINC: cogr OF COOD5 SOLD AND OTHER COSTS
2023
2022
Support costs
59,124
50,309
PJg¢ 6

THE MUIRMILL
UFSTRIAN CLUB SCIO
NiyfES TO THE FINAP4CIAL STATF.MENTS- CONTINUED
R THE YEAR ENDED31 DECE.MBER2023
TRUSTEES, REMUNERATION AND BENEFITS
Th¢r¢ were rm) t￿￿e¢s. remunerntion or other benefjts the year tAded 31 December 2023 nor ftir the year
ended 31 DeC￿r 21Y22.
TrMstee5' txpenxs
The￿ were no Irustees, expenses paid for the year enthd 31 Decembtr 2023 nor for the >rar ended
31 December 2022.
MOVEMENT IN FUNDS
Net movement
in funds
Ai 111123
At31112123
Unrestricted fu•ds
General fvnd
5J43
(4,580)
763
TOTAL FIJNDS
5J43
(4.580)
763
Net m(pvement in fiJThls, included in the alM)ve 8re ls follows..
Incoming
Resourc￿ Movement in
resources expend¢d
funds
Unre51ri¢ted funds
General fund
154,408
1158,988)
(4,580)
TOTAL FUNDS
154.408
{158,988)
(4,580}
Comp•ratives for movemenl in fuwd5
movernenl
in funds
At Iiir22
At31112r22
Unrestri¢ted Fun
General fund
4,084
1259
SJ43
TOTAL FUNDS
4.084
1259
5J43
Comparaiive nei movement in fund& included in ihe above are as folbws:
Incoming
resourtes
Resources
expended
m0￿Ment in
fijnds
Unrestri¢ied fund5
Ge￿rA1 futxl
161,181
{159.922)
1259
TOTAL FUNDS
{159,922)
1259
Pa8e 7

RIAN CLUB SCIO
NiwrES TO THE FINANCIAL STATEMENTS- CONTINUE
RTHE
MOVEMEKf IN FUNDS- eootinlled
A currenl year 12 months and prioryear 12 mont]ts eornbinrjj FKbsilion is as follo￿5.
Net movement
in ￿ndS
At Iiir22
At31112Q3
Unrestrnted funds
General fund
4,084
(3.321)
763
TOTAL FUNDS
(3,321)
763
A CUTYent year 12 n)onths 8ThJ prior year 12 M￿tIl8 colnbij￿l net Mov¢n￿nt in fi￿d5, ]￿ll￿￿d in the alKJve a
&5 follows..
IT￿omIng
Resources Movern¢Ttt i
¢xpend¢d
fund5
Unrestrkttd f4uds
Ge4)eral fijnd
315.589
1318.910)
(3.321)
TOTAL FUNDS
315,589
{318.910)
(3,321)