SC OLt65ty.9
APPENDIX 1
OSCR
Pencmj start date
Y•w
Penod end date
Fr
To
ottth ￿UL￿Or
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 1￿C
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&4￿L
.LJe con&it7L4e ts s
help So a LL Lu
o b
lh6 opp.,&un iby.
h￿br
.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•chlrr￿SP0licY n, Ck Ly LoO￿S 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• gO￿rnance 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
LfftprV￿e
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 (scotla￿1) 2[m￿ Acl Bnd the
Chwitss hL¥wits Iscodandl RegLAakn ?[￿ {8s amerMl&ll. The (tharityrtru51ees
c￿nsthr that the audil requwemenl of R￿jU1*1￿ 10(1) (dl of the h£c(xJnts Regul8tths
does rhjt apwy. 11 is my r8spMst4rty to examine Ihe a(XI￿Mts as wuwwj ￿der sedM)n
44{1 } (cl d the Act ar¥J to slate ￿ett￿ part￿ar matlws have LX)me to my attentK>n.
Regul8t¥Th. kn examinatKm a review of tr* aux￿n￿"ng recrxds kopl by the
ch8nty and a of the ￿cXwnts FYe5ented wilh those re￿rds. It 4s0
C￿s*jorat￿n of any unwl rt8ms or dBc*tsures in the ac£ryJnts and seeks
do [￿O¥th all the that *Y)J￿j in an 8￿Irt and. c¢)ns•quenty. I do
tho
uirements."
to keep accounbro f￿£*￿ in wKdance wilh s￿￿)n 44(1) {al k￿5 arNI
Regtslat¥)n 4 01 the 2C(6 A￿￿nts R￿j￿?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 pro￿1
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