OpenCharities

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2026-03-31-accounts

lndependentexaminer's reportonthe accounts
Report to the
trustees,/membersof
Charity name
A-rr?r4l(n,r-trylau/1Gt,''i-9vPlcLlG('a-P
Registeredcharity
number
SC
C)t-+IIZT
Onthe accounts of the
charity fortheperiod
Day
lti
Period start date
Mo.nh
Yea,
O(Lr c^o't{to
Day
3l>f
Period end date
Month
finzctt
Yeari
e-o2-4
Setout onpages (rernemberlornclude the page
numbersofaddfthelsheets)
I
Respective
responsibilities of
trustees and examiner
The charity'strusteesare responsible forthepreparationoftheaccountsinaccordance
with the terms of the Charities andTrusteelnvestment (Scotland) 2005 Act andthe
CharitiesAccounts(Scotland) Regulations 2006 (as amended).Thecharity trustees
consider that the audit requlrementofRegulation 10(1) (d) of theAccountsRegulations
do€snotapply. ltismyresponsibility to examine theaccounlsas required under section
44(1)(c) of the Act and to statewhetherparticularmatlershave cometomy attention
Basisofindependent
examiner's statement
Myexaminataon iscarried out in accordancewith Regulation11ofthe 2006 Accounts
Regulations.An examinationincludes a review of the accounting records keptbythe
charity andacomparisonoftheaccounts presented withthoserecords. ltalso includet
consideration ofanyunusual itemsordisclosuresintheaccountsand seeks
explanations from the trustees concerning any such matters.Theproceduresundertaken
do notprovideall the evidence thatwouldbe required in anauditand,consequently,Ido
not express an audit opinion on the view givenbythe accounts.
examiner's statement
Regulations.An examinationincludes a review of the accounting records keptbythe
charity andacomparisonoftheaccounts presented withthoserecords. ltalso includ
consideration ofanyunusual itemsordisclosuresintheaccountsand seeks
explanations from the trustees concerning any such matters.Theproceduresunderta
do notprovideall the evidence thatwouldbe required in anauditand,consequently,
not express an audit opinion on the view givenbythe accounts.
lndependent examiner's ln the courseofmyexamination,no matter has cometomy attention lotherthanthat
statement disclosed on theattached page"l

MANAGEMENTSUPPORTGROU
INCOME
P11412025 TO31
Cashinhand11412025 30.66
Cash inBank11412025 939.78
TeaMoney 250.50
Membership 150.00
Donations 573.00
Xmas[unchdeposits 150.00
Sateof Sweets 1.34
PantoDeposits 140.00
Panto Refund 31.50
TOTAL 2266.78

EXPENDITURE
Teas 41.84
HaLtHire 55.80
Xmas Lunch 392.44
Gifts 14.35
Pantomime 515.00
Japanese Garden 49.55
Postage(Oscr) 12.8O
Sundries 31.00
WhiteBoard 12.72
Cashinhand31'tMarch 2026 34.25
Cash in Bank 1107.03
TOTAL 2266.78