SC OLt65ty.9 APPENDIX 1 OSCR Pencmj start date Y•w Penod end date Fr To ottth ULOr 01 01 2Q2¥ 3r 12 202 Reference and administration details FYRigH GYM NASTICS CLU sc 04G509 CULCRa6GIS HQUS&, 4 DAIL NRMRLIGS -TwNivickl lNDusr(IIAL L-srrf itr 4LN&SS ffoss-SH IfiL- PO•1¢• r ui 7 OPH lor body) •rrtia•d to , .3&-1-73111 10 11 12 13 14 15 16 17 18 19
bc o4&503 APPENDIX 1 Achievements and performance Summary of tho main achlevfjm•nts ol th• Charity during th• financial p•riod fflnosbit5 C con Linu¢S to b FqrL- of &he High Lan sp¢rb¢fjg c&mmuii L ty LJe h(LUC 4> tr 700 uJ¢rS per kwcek Lo ts otsr A¢itstry.anJ 1C riucn ts Supfort QS peeple è-o s tr4 octrius bLe &hrOu9A our VQ¢&ed gymnaj and SLbn ess pro rLtmrfjes. ,bLe b? alL Ide have many 9yrnna5ts are rfjpteLn no&4L .LJe con&it7L4e ts s help So a LL Lu o b lh6 opp.,&un iby. hbr .wJho troveL Frorn CICL Qre(43 Acros* H4klo.d rescon. U£ LUArttr bo g¢U& ¢1 S sp¢ .Ehos6 LJhG wish ¢Lltdnd Qn kAroosk tAecr Lov6 of sporb. pr03 Financial review BrIefsL•Mont0fth•chlrrSP0licY n, Ck Ly LoOS tr. hAvc 3 Lonthg ¢xrL rLes Ln éke bc4nk anJ 3 mkoEh¢ R.-b keiJ Ln reserT/e. Donated lacllltl•s and w¥kos Ilf any)
SC OJ4GS09 PENDIX 1 Reference and administratlon details Namos of all othgr Charity trustoo¥ durfng th• p•rlod, tt anyi (for •x•mple, thos• who reslgnèd part w•y through the fln¥nclal riodI lknmè 111124 "/ 1174 -7 30]9 +Y 711 2+ Structure• gOrnance and managem•nt Type of governlng document The Cknriby i3 9okfefn¢d by CL Cons triE-LA & i on. NeLJ Tru£Lses (e oFFoin&a4 by qi orL Èy voL-e o( &ZcsbLn3 k-e£s Objeclives and actlvities The DrgonkSQ bion s purpoSCS 6. "C(7n hystca Cqns JporbwhL exer&i>n.) proulo J hDrn trh4 (LEGELSS Of AC i4S Dr riMarL rè rce re¢L Summary of tho maln adivlties In rnlatlon to thM• objects es&ns hav txrd9hLP atrsodvJnL'a5e Or yai LobL< tro mer*71J<rs gf &Ae ?( MaLe or fftem bels o F bA c Lr Cit) LJ¢irkin9 e&(&nier s A. rou L ranfj go6É LfftprVe r&v
APPENDIX I Other optional Information Declaration Th• truIto d•clar• that th•y hav• appfov•d tho Irusteej. r•port •bov•. Slgn8d on b•half of tho ¢barlty'• trust¢•• Slgnature(sl OSCR wlll accept dlglt•l or typ•d $1gnatures Full nam•lsl Posltlon {•.g. Ch•irl iÉJ£Jis 2EI-.I?5
SC Olt6 508 APPENDIX 3 OSCR Independent examinerfs report on the accounts Fyrish Gymnastics Club number charity for lh• p•rtod 01 01 2024 31 12 2024 Set out on pa9¥ 1 . 2 rKponsibllit5es of trustees and •xamln•r the tem15 01 thE chanb.es afMI Trustee Investment (scotla1) 2[m Acl Bnd the Chwitss hL¥wits Iscodandl RegLAakn ?[ {8s amerMl&ll. The (tharityrtru51ees cnsthr that the audil requwemenl of RjU11 10(1) (dl of the h£c(xJnts Regul8tths does rhjt apwy. 11 is my r8spMst4rty to examine Ihe a(XIMts as wuwwj der sedM)n 44{1 } (cl d the Act ar¥J to slate ett partar matlws have LX)me to my attentK>n. Regul8t¥Th. kn examinatKm a review of tr auxn"ng recrxds kopl by the ch8nty and a of the cXwnts FYe5ented wilh those rerds. It 4s0 Csjoratn of any unwl rt8ms or dBctsures in the ac£ryJnts and seeks do [O¥th all the that Y)Jj in an 8Irt and. c¢)ns•quenty. I do tho uirements." to keep accounbro f£ in wKdance wilh s)n 44(1) {al k5 arNI Regtslat¥)n 4 01 the 2C(6 Ants Rj?1*n$. and RegulatK)n 9 of Ihe 20( Accwnts Regulatx)ns have n(rt been mgc (Y lo which. In my opinion attention shtyJld be drawn In or¢er lo enable a pro1 R•l•varf wof•sslonal quallficationlsl or body Irf any1=
6C 04650 APPENDIX 3 Disclosure section Glv• hor• dotall* Not Applicable •ny items thal th• •uminer wishu to
FYRISH GYMNASTICS CLUB SCOThISH CHARITY NO. SC046508 CULCRAGGIE HOUSE. 4 DAIL NAN ROCAS, TEANINICH INDUSTRIAL ESTATE, ALNESS Statement of Balances - As at 31 December 2024 Unrestricted Funds Restricted Funds TrAal 2024 otal 2023 Fund5 Reconciliation Cash at Bank and In Hand 31112/2023 Surplus/lDeficitl for year Receipts from Charitable Artivities 33,648 1.514 35.162 7.344 Bank and Cash Balances Bank Current Account Contingency Account Rent Account Building Funds Account Cash in Hand 3,931 3,800 25,000 36.656 3.931 3.800 25.0(Kl 36,656 1,941 5,192 3,000 5,000 29 Other As5ets- Unrestrirted Funds Building l Facility Equipment Opening 26,380 Additions 2.640 97 29,020 6,380 Other Assets- Restdcted Fund5 People's Project Equipment 28.191 983 Liabllities- Unrestricted Funds Repayment of Loan from Alness Partnership Approved by the Trustees on 28 May 2025 and signed on their behalf by.. The above Income and Expenditure Statement and Statement of Balances have been prepared from Records, Information and Explanations provided by the treasurer of Fyrish Gymnastics Club and are in èccordance therewith. 28 May 2025
FYRISH GYMNASTICS CLUB SCOThISH CHARITY NO. SC046508 CULCRAGGIE HOUSE, 4 DAIL NAN ROCAS, TEANINICH INDUSTRIAL ESTATE, ALNESS Statement of Receipts and Payments- For the Year Ended 31 December 2024 Uniestricted Restricted Funds Fund5 Total 2024 otal 2023 Receipt5 Voluntary Receipts.. Donations Grants and Subsidies & Gift Aid Fundraising Receipts from Charitable Activities.. Membership Fees Activity Fees Competition Fees Outreach Training Camp5 Sale of Leotards and Branded Wear Hall Hire Café / Parties Other - North District Fund Interest Received in Year Total Recelpt5 18,567 1,074 29.373 18,567 2,057 29.373 tr,466 11.447 ,193 983 4,879 133.887 3,228 6,238 9,423 3,012 763 7,313 1.083 492 219 332 4.879 133,887 12 3.228 6.238 9,423 3,012 763 7.313 1,083 492 983 220 315 20 ,779 ,046 .450 0,800 ,912 ,672 1,028 715 417 278 203 Payments Coaching Fees Insurance SGAIGB Fees and Registration Fee5 Competition and Entry fee5 Wages. Nl and Pension Merchandise Supplie5 8uildinB and Facility Maintenance H315 Hire, Rent & Rates Heat & Light Training Courses Travel Expenses Sundries, Telephone and Stationery Fundraising Accounts and Independent Examination Café and Party Expenses Total Revenue Payments in Year Revenue Surplus/Deficit Asset Expenditure Assets - Building l Facility Assets - Equipment Purchased Total Payments In Year iio 2,743 1,530 2,823 118.078 2,862 3,987 19,925 15,224 2.873 3.544 2.464 4,024 450 217 180 854 iio 2.743 980 1.530 225 2,823 3,'383 810 118,888 1304327 2.862 8ts41 3,987 3112 19,925 15.224 2,873 3,544 3,168 4.024 450 217 1514 182 368 206 -531 882 144Y44 15 76 56 36 81 1,547 00 17 704 04 2,640 97 41 37 983 983 78 Surplus1lDeficitl for the year including Assets