APPENDIX 1
'￿TruS•￿$. Annual'.Rwtforth• p•rlod
Period slart date
Pwiod end dale
4orrtb Y
Monlh Year
2024
oscr,_
Day
Day
31
To
OffK8 of the S￿th'sh Charfty Rogulator
Reference and administration details
Charity name
(X￿r namos ¢h•iity 18 known
Carylen BuddiE3 arKI &rial Cbjb
ca￿lJIen &Jddies
Registered charity Nmb•r
Charity's principal address
SC045841
Name8 of the charity tru8tee8 on date of approval of Trustees, Annual Report
Nam• ol p•[￿n
qor body) •ntltl•d to
appokrtlnMta8 (Ir any)
TTUSt•• nam•
Olllc• lff any)
Chairperso
e Chawperson
IW11r2021
1PA11r2021
25104r2017
2514r2017
10
12
13
14
15
16
1T
18
19
20

APPENDIX 1
Reference and administration details
Names of all oth•r charity tnMi•es during the perlod. ff any, (for eyample. those vrtK• r•slgnad part way
thr4yJgh the financlal pwlod)
Name
Structure, governance and management
Type of governing document
C￿st￿lI)n was Reg*red in 2014. The assets ol the unir¢crfp(Yat
assocotion were transferred to Ihe SCIO. It has a single tier stnjcture and
as SLKh Ihe I￿￿ee5 are Ihe rrtmbers of the cwty.
Trus1•• rneNllm•nt and appolntmtnt The Management Comrmloe. which normalty nxets a month. are
Ihe chanty twstees. At exh AGM ts weff*er will elpxl any member to
be a chty trustee. At each AGM all ot the chanty trustees appointed,
will rebTe fomi offKe-but shall then be eligible ts re-appointTrEnl
under that Cla￿e. the t￿her SJ% shall retire the following year.
Objectives and activities
Ch•ritabl• purpo8•9
Ow awn is to re￿￿e isolatTron and FYonKrte social inte￿tK)rt ts our
mters who are aJed 14 and up to give them a better qualty of life and
lo I￿aSe sdf-esteem. We believe our mern￿rs should lead a FQ5itive
and happy lrfe with the rvJhts to expeci the same life experiences and
Cha￿ as any oltrEw Indi¥￿u81 aKI are wmmiiled to Th￿king this
happen.
Summary of the main activllles
In rel•tlon to Ihese obp¢ts
Group xtrrfrties are
Arts & CRfts
Ka￿ke
nights.
(hJlir¥Js inclL#Ye."
P•xling
Cinema
Museum$ & V*iior atlra¢bon$.

APPENDIX I
Achievemenls and performance
Summary of the maln achlev•ments of Ourgroup has Conti￿8d to grow. Thk% year we continue to help our
the charlty durlng the financlal Perh￿ membw5 S￿lalIse thw fiÉnds and encourage new
fi7endsknps. OUrn￿rn￿e￿ have become fflore interdctive wrfh each
other which helps to burfd confKknIt. They continue lo give gTrat
supp(¥t to each other and enC￿UMgemenI when out and about
d￿ng day to day activities. We nin our Sumnw Programme which
is a favourfte fcy our memb8rs and a gTral success with tIiP8 to
vistsorattractions in Scottand. BO￿ and Cinema trips.
We continued to gain great SUPKKVt from the communrty. We worf(
ith secmdary schoots in the a￿a lo help pupus gain Caritas
awards. This gav8 ourmemb8lE th8 chance to meet indiwdu31s and
groups of people they K)uldnY rKvmally socialize ￿$h.
The Sportsman Bar Karaoke night is also a grg8t success. This is
also for1nd1v￿Ua1S leamuw disabilit￿s. Thoso nights
enLX)ur8ge new fiiendships and k*s of gre81 memones as mad8.
Our volunteers have given sup￿* and Trspile to our memberfs
18mty whrch is also important to us. C>urgroups have a great
onw and lriendfy atnwheTr whKh h81ps twrn￿mb8rs
selue in quiw to their new envIron￿nI.
Financial review
Brtef 8talem•nt of the charlty'8 pollcy We have a reserye of £31X).
Detalls of any defflclt
Don•t•d la¢llltl•$ and SObvl¢•• {If anyi

APPENDIX 1
Other optional information
Declaration
The truste￿ declare that they hav• approved tru8t•M' r•port *bov•.
Slgned on behall of the eharfty's trustetrs
Signaturn(g1
Full namelsl
Position (e.g. Chaiil
Dale 11 May 2025

Cb*rity nun*er." SC045841
Camglen BuddA&8 Leisure and S￿18] Club
Trusttts. report and fmancial statements for
the period ended 31 August 2024

Contents
P•8e
L¢g¥l #nd adminislrnlive infom￿110
Truucc5 rcrA)rt
Indepthdentexaminert'repcffl
Staleff£nt orrinanciaf activilies
Balance
No*$ ro the fin￿KIal statements
9-13

SC045841
Charity nurnber
Business address
Registered offKe
Trustees
Se¢retary
Metnbers Comrnittee
Accountants

The trust¢es pres¢Dt their re￿ and the fu￿￿131 ststr4nents foi the period fflded 31 Augw¢ 2024. The trnslees wb)
y¢rved during the ptriod 8nd w) to the d&te of this rew ate set oui page 3.
Siru¢lur¢. 8ov¢rnance and mana8¢m¢nl
Cotjstttution
The charity is a Scottish Ctwrity Vnwr5M)f8tal Organiylion (sao) and was form￿ on 27 July 2015. Thc charity was
previously a club all the ¥scts transferred to the ￿10 28 July 2015. Thc rlwrity has a singlr tie¥ 5tTuclure
and. as S￿h. the trusttcs 8rc th¢ of thc charity.
Trustc
The Board of Tnjsttts tt*maliy meets every mortth. Membership is open io parents and guudians of our n*ft*ers. TD
allow for ¢oTrtinuiry nKrTthT5hip 15 als) opcn to inffrc5¢cd mcME%￿Of ihe community.
Objectives and a¢tivities
Ch8n￿ble (kjjects
The purpose of ihe ¢lwiry is ￿ promole social in*raciion and reduce isolation through the pmvision of recreational
aeiivitie5 lor illdividuaLswith I￿rniNg diffheultiesand the *fvalKan￿tOr ducation.
Aeiivilies
The chgrily provides a place wlKre our nrmbers (xn so¢iali5e wAth frtends every seco￿1 Friday frorn 7-9pm. Activities
include Arts and Crnfl& Bakin& Garnes, Movie Nigh￿ KI￿)ke Disco We al80 attan¥e day trips have
5wnm¢r progrJmmp whi¢h gw5 m¢nknoul and aEAiut durllJgth¢ ￿lidaY&
Achievements and F*rfoTmance
Thc charkty c4Hrtinu￿ io The 8rn￿b 15 duc to w)rd of working with other coThllDunity groups in thc
area. Our Fa¢etrA))k pw Iw been a gffal source of commullw4tion. It is a gte41 plalf(Ém ftir us people know what
we do and Wh￿ is going on.
Wc havc run 25 club nights. pTograrnrn¢ thi5 yrar con5i*cd of 12 irip5 lo w7riow I[￿10n5 in Scvilarwl. Our
sumnicr proeramrnt arca always a ereat SUCCC55 With of mad¢ for our and CaTUS as w¢ll a$ our
volunteers.
A lot of hard work has 8one in ¢0 ensure ihat all a8e 8row)sandabilities are catered for IA all the activi¢beswe do.
Financial ￿VIeW
Funding
Thc ￿aill sourcLs of inconK arc subRYiptiODS tuck shop sales aTMI £knatiOn5 from both buBillC55CS and
priva1¢ individuals. W¢ also do some fvndr4isin8 events during ih¢ yeaT.
R¢striu¢d in¢om¢
Th¢ NAlional Lottery donal¢d £8(XKI tgWXTds w5t of TUr￿1n80￿￿$u￿￿ff
Reserves
Our inteniion is to have re%rv¢¥ in place ￿ cover 3 nw)nth8 runninscow&

Plons for futur¢ pcriods
The Trnstees and Committee Members are eomrnitt&J lo deYeJopin8 tharity. Our uliimaie aim 15 10 have our own
premistsso that our mert*Jers can and ￿]*ll$C with their friends in a safe and secute environment. We are l(M)kinB
at Wllys lo supwrt ptents. aTMI ore[5 navi8atc a slressfvl lim¢ with fU￿￿laY burdens ￿e io Goyernmeni budgd cuts.
W¢ will look iv d(p thr wmmunity 10 5UPPTrTI our mrmb¢T5 with Ino￿ club days. Wc coniynuc ￿ ILM)k at Wdys to
Jort our members menthlly and physiolly. We vill look al 4X)rt to help with ih
Statement of trustecs. re8p)n5ibilities
The Irusiees are responsi￿1¢ for pwarin¥ the Tn￿￿et$, Alln￿1 Rqwrt aTLd the fllwKial stalernenls in a￿Ordance wilh
applicable law and Uniied Kingdom AcciMmiin8 Standards (Uni￿1 KingdomOenu211y Acceptrd A¢¢owiiirtB PraLliccl.
tAW applicable to chariiies in Scotland requ•res the tn]ste¢5 W prtpwe fina￿1￿1 S¢al¢m￿ts foT tach financial peTiod
which givc a and fair Yi¢w of chariry aThJ of irtcoming Tcsourcrs aTr] zppliration of rt50urces of the charity for
thal pcri(wJ. In prcparin¥ t)1￿¢ financial ￿ltInentsthe tru8tees8fE T¢qUiTcd to..
st1￿1 suitable xcowjttng policiesartd then applythefft coDsist¢ndy,'
observe the Dythods and FrfirKiples in the ￿8[•$I¢5s0RP.
make jwjgments and c￿lmets that Tras￿￿1¢
state whether applicable UK Acc4JuDiing StsThJarth have betn followed. gjbject ￿ any W￿la1 deparfwes dL5closed
and explained in the fJnan¢ial sla*￿￿ts. and
prepare the financial 5tstcJncnts on the 80in8 con£crn ba515 unless it is inapprowiaie to We￿rne that the chariiy will
Trtinu¢ in op¢ration.
The truste¢s are respo￿]￿1¢ for kwing prw rniingrecords vttKich disclose with Yeason8ble accurncy ai any tift
the finattcial ￿$￿10n of the ch9rity and enable them to ertgjre ihat thc fi￿ar￿le1 Sraien￿ts conwly with ihc Chariiics 4nd
Tnjsiee InvestmEnt (Scotland) Act 2(x)S and rE8ul*ion 8 of the CThaTirie5 A¢counls (Scoilandl R¢gulalbons 2006. They
are also rtsponsible for saCegLwding ihe ass¢￿ of the charity and hence fw taking reaym4ble steps for the
prevehiion and deiecison offrd￿l and othet irreylariiies.
On bchaifofthe board

Camglen Buddies Leisure and Social Club.
I report on the aCC￿nts for the 31 August 2024 s¢t Ni on page52 ty 13.
Respective res￿nSibIlitIeS of trustees and independent examiner
The charity's misiee5 are responsible for the w¢par*iorn of the accounts in x¢ordan¢e with the tenns of the Chariti¢5 and
Tll￿tee Invemment (Sc(rflw)d) Aci 2005 {Ihe Act) and th¢ Charitie5 Acc(x￿ts l&otland) Regulations 2006. The charitys
trustees Consider that the audit requirrment ol Regulation I￿1) (J) to (c) of the Accounts Regulats¢xs d￿S not apply. It
is my responsibility to state. on the basis of my &WIT￿tiOn as required uth section 44(1) {c) of the Act, whether
particular matters have corne to my attenlion.
Basis of Independent examIne￿S statement
My examination is carried oui in ￿t0rd￿ce wilh Re8￿]￿tI1)n I l of the CthaTiiies Accounts {Scotland) ReBulaiion$ 2006.
An examination includes a review of the actlmjnting re¢ords kept by the charity and a comporison of ihe accounts
presented with those records. 11 also irteludes cortsidertiiion of any unusual items or disclosures in ihe accounts, s¢¢k5
explanations from the trU￿ceS concerning any such mattett The pr(Redurts undertaken th) ￿1 provide all the evidence
Ihai would be required in ￿ wdiL and Consequenily I do express an audTI opinion on Ml￿herthe present a
Irue and fair vi¢w'.
Independent examiner's statement
In the course of my examinati(*), no m*terhas c¢hne ￿ my atkntTOJI:
whith giv¢ [r￿)nabl¢ Cau￿ lo iK11￿ that in ￿Y material respecl the requirements..
proper a¢coun¢ing reojfds are kepl in accoTdaTrce with Sethion 44{1) {a) of th¢ 2005 A¢t and Regulation 4 of
th¢ 2006 Accounts Regu]aiions. and
to Prepa￿ accounts which aco)rd wilh ihe WE￿￿5 and wmpty with R¢gwkniion 8 of ihe 2006
A¢￿uniS Reguiaiions
have not been me( or
to which, in my Opini(1￿ attention should bc drnwn in Mkr to ¢tbJbl¢ a propu Un{k￿￿nding vf th¢ accoun(s
to ￿ reached.

Si&temcnt of financial activities
For ihe period ended 31 August 2024
Pcriod
ended
Urtrtrict￿ Re$irieted J1108124
fvnds
fund5
Total
At31A
31181?023
22
Incomin8 f¢souTces
Incoming resources from g￿￿•ting fimd&'
Volunlary inci)mc
Aciivili¢x g¢n¢ratin8 funds
Inve51meni In¢￿￿e
16241
8.740
355
24,241
8.740
355
Total incoming resources
R￿u￿¢S ¢xp¢nded
Costs of g¢n¢Tating fvrKIs".
Cost ofg¢neraiing volunlaryincome
Total resources expended
2221M
1.499
23.70J
Total funds broughtforward
Total fund% Carri￿ forward
22J19
8.816
31.635
The stateTh￿l of financial auiviiies inclth 811 gains and loÉses in the wiod ￿ therefore stsiement of iothl
reco8nis¢d 8ains and losses has been prepared.
All of above amounts relate to cotKInuing￿l¥lflc$.

Balance sheet
&$ at 31 August 2024
31108124
Current asse13
Cash al bank and in haTkd
31.635
Nd current aswsl(liabilities)
31.635
N¢1 as$¢ig(liabililics)
31fi35
Funds
Restricted inconK
Unresiricted inconK fuTrJs
8,816
22.819
Toial funds
ThL fiTldllLldl sldlLITILrilK I4L-. L dlJPIUVLJ the tTWtttson I l May 21Y25 and sI￿d on its E¢halfby

Accouffling ￿lICIeS
The principal xcoun¢ing policies are sunmwd ￿lOw. The accththtittg pjlieits have beeA appl￿￿ eonsisLenLIy
IhT0￿￿hOU¢ the p¢riiyd and th¢prcccding pryi(xl.
l. l. Basis of accounting
The accounts have be￿ prepar&J on the Rtteipts and PayThLS basig in *COrda￿t with ihe Ch•ri¢ies and
Trusiee ltLvestsw￿ (ScodaThl) kn12￿)5 and the Chariiie5 Acrounts {ScotlaDd) R¢8ulation52016.
1.2. Ca5hflow
The ¢harity has taken advantage orth¢ exefftw in FRSI frc*n the requimneffit ￿ produce a eLth tlow stston¢nl
becau￿ it is a stmll ¢l￿rity.
1.3. Imcoming resources
All incoming resOu￿eS i￿1￿jg3 in the #a¢enKnt of fi]Hncial ￿t[Vill￿ whcn tbc dlarity i8 cntiikd to Ihe
in¢on* and th¢ anK)uni r4n ￿ quantified with r¢wnabk owyracy. lThe followin8 spxifK ￿11¢1¢$ are applied io
particular cate8oriEs orinc0￿c."
v￿lunIary ineome is received by way of grant4 donaiioThs ￿ 8ifL8 and is included in full in the staLement of
financial aclivities when receivable. Grants vA*re entitlenrrf is not Conditional ￿ ihe delivery C*f a specific
￿f0M￿nCe by the chority are rwised wF*) the ch8rity v￿mmI1110￿41IYcnIiiIed to ihe graDi.
Donated services abMI facilities are inchhled 81 the the ehariry where this CAN bt quanl1f￿d. Tht value of
5rrviC￿ provided by volunlrers has not been iwlvtsi.
Gifts donatrd for resale are I￿1￿￿1 as itKr*nin8 r¢sour¢¢s within ￿1VIll¢S for 8eneraiin8 funds when they are
sold.
from t￿ Charity shop 1$ in¢ludcd in thc )vr in which li is receivable.
Incon* from invesimentsi$ I￿1￿&d in the ycaT in which it 15 receivabl
1.4. Resources expended
ExTKndilure 15 recoBniscd on an basis as a liabiliiy is incurrcd. EX￿￿llUre ]￿l￿deS any VAT whith
cannoi be fijlly recovered, and is ye￿rted SS ofthe ex￿d￿mIe t4) which li relates.
C0515 of g¢ncrnling funds ror1yri￿ thc r0515 ISX￿1*cd with allrncting voluntsry incomc ind the costs of tradin8
for fundrai51ngwrpo￿ inCh￿ingth¢ i*uli￿5 shop.
Charit8bl¢ ¢xpcnditur¢ tompris¢s ¢045 inujrwrd by thc cljatity ID ik &liv¢ry of its •¢tiviti¢s 5rrvicr5
for ILS kn¢r￿jarle$. li includes costs th41 c•Th be allocatrd direcfty ￿ su¢h Odivities •TrJ those costs of An
Indire￿ nawre nec¢ssary to SUPFQrt thcrn.

Voluniary incom¢
Period
ended
Unrestricted Restricted 31￿￿/24
Donaiions
Subs¢rip¢ions
9,535
6,71
24
17,535
6,706
Activities for gen￿ating funds
Period
ended
UDrcslricted 3 1108r24
Total
Shop ll)come
F￿drA]SIng events
1.314
7.426
lfftvestsn¢nt in¢ome
Period
end¢d
Unrestri¢ted 31108124
Total
Bank int¢rest r¢c¢ivablc
355
Cost of g￿erating voluntary inc4)me
Per￿d
ended
UDresiricied Restricied 31ffj8124
fithds
Total
Charitable Activities
22
1499 23 71J3
Jo

Employees
Employment c(K8
Period ended
31108124
SE&SiOn workeTS
No saiaries or Vd8es hove been paid io etwJloyeA ilKh￿Ing the truste4 duTin8 the %*ar.
Analysi5 of net ass¢És b¢tsv¢en funds
Unrestricted R&%tricied
fiJnd5
Total
fund5
Fund bala￿S at J l August 2024 as represthted by..
Current awl$
Unrcstricted funds
At
31 Aug kncoming Oulgoing
2023
At
31 Au8USt
2024
CTeneral Fund
19.687
25.336
(22.204)
22,819
Restricled funds
At
At
3 I Au8USI
21J24
3 l Incoming thtgoing
2023
Restsictrd FWMI
2.315
{1,499)
8,816
li

The following page does not forni part of the statutory accounts.

Period
ended
31108J24
Incoming r&8ource8
Incoming resources frorn geneTating fvnds-
Voluntsry inroll
Donation$
Subscriptions
17,535
6.706
ActLVltie5 for Be￿r￿tIng (unth
SI￿ In￿rne
FuTKlraÈ5in8cvcnts
rnvestrnenl in(xim¢
1.314
7.426
Bank intuest ￿ceIvable
355
Totsl incoming re%￿rr¢S frojn ge￿rating funds
095
Total incorning rcyourccs
Resources expended
Costs of generating funds."
ChBritabl¢ A(*i¥iti¢s
Purchases
Sche￿￿ activities
sew.on workus
Phorte
Illsurat￿e
Posiage Arnj stationery
Hall Hire
Canteen and
15,120
3.393
253
433
215
2.880
761
Totsl c05t of geT￿ratin8 voluntary incom¢
Fundraising trading:
cosi of goods sold and oiher costs
Total cosis of genernting funds
703
Charitable a¢tiviti
Net incomin￿{OUtB0ing) rrsources for thc pcriod
633
13

APPENDIX 3
OSCR
1161) Charity ReguL3Lor
Independent examinef s report on the accounts
Report to th& Ch¥ty na
tru8teeslmembev8 of
Camglen Budd￿ Lgsure and Scoal Club
Registered charity SC 045841
number
On ihe accounts of the
charity for the period
PerhJd start date
Period end date
Year
31
2024
Set out on pages
nurternd•Jditsun•l ghe&tsi
Respective The chanty's trustees are responsible forthe preparation of the accounts in accofdanc8
respon5ibilibes of the tertrKs of the char￿"eS and Trustee Investment {￿ua￿dI 2￿5 Act and the
trustees and examiner
Charities Accounts (Scotland) Regulations 201￿ (as aMeThj￿11. The charity trustees
nsider thal the audit requirernenl of Regulation 10(11 Idl of the Accounts Regulatlons
does not appty. 11 is my respjllsibility to examine the accounts as required under seCt￿n
4411) {c) ofthe Act and to slate whether particular matters have come to my attention.
Basls of Indep•nd•nt Uy examinatH)n 18 carried out in accordance with Regulation 11 of the 2006 Accounts
oxamlnoe8 Statoment RegUlat￿rts. An examination inGludes a review of the accounting reccffds kept by the
arty and a CO￿varIS0￿ of the accx)unls pre5enled with those records. 11 also indudes
Considerat￿n of any unusual items or dts¢bsures in the accounts afvJ seeks
explanat￿n5 from the trustees Can￿ming any such maliers. The prGredufes undertaken
do not provKle all the evidence that would te required in an a￿j11 and. consequently, I do
not expres5 an a￿JIt cpinion on Ihe view gweri by the ac£ounts.
Independent examinees In the course of my examinatTh. no matter has come lo my attenlM)n lother Ihan that
statement disclosed on attached page"]
whth gwes me reasmable Cause to believe that in any material respeci Ihe
requiremnts..
to keep accounting records in accordance with section 44{11 lal of the 2005 Act and
Re9ulalion 4 of the 2006 Accounts ReguLattons. and
lo prepare account5 whth accord with Ihe accounting re￿[￿S and compty VMI
Re9ulalton 9 of the 20￿ ACc￿jnts ReguktK)ns
have not been me( or
to whith. in my oynim. attention Should be drwn in order lo enable a proper
understsndino of the to be reached.
Signad..
Relevanl professional
qualifi¢ation(81 or IXMIY
(il anyl:
Addross..
'P*a88 de*t8 the wwds m the brai*ets do rtot apth. Illhe Ib))rdg do SFfty. set Ihw mkns whth hM¢rrn w y(￿r ati•nlion gn tho
fo1b)￿.ng pag¢.

APPENDIX 3
Disclosure section
complete rf the examiner r*eds to highlight material pro1￿emS.
Glve here brlef detsls cl
any items that the
examiner wishes to
disclose