Charlty nUrn￿r: SC047031
CAMPLE LINE
{A Scottish Charitsblo Incorporated OrgaDlsation)
UNAUDITED
TRUSTEES. REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024
Armstrongwatso
Accountants, Business & Financial Advise

CAMPLE LINE
IA Scotb$h Charitable Incorporated Organisalionl
COPUENTS
Pago
Reference and admlnlstrative detslls of the Charity. its Trusiee5 and 8dvisers
Trustees. report
Trust805' rBsponsitslliUe5 Statement
Independent examin8r's report
statem•nt of fEnandal activlttes
fo
11
Balance sheet
12
Notes to the financial stat•rMnts
13-24

CMIPLE UNE
{A Scottish Ch¥trlt¥blo Inc￿pOrth Org￿atIOn)
REFERENCE AND ADMINISTRATIVE DEfALS OF THE CHARrrY. rrs TRUSTEES AND ADVISERS
FOR THE YEAR ENDED 31 DECEMBER 2024
Charfty regiSt•red
number
SC047031
Prlncipol offic8
C￿pIe MS1
Cample
Thomhill
Dumfriesshir8
DG3 5HD
A¢countants
Armslrong Watson LLP
51 Rae Street
Dumfrie8
Duthes & GaHoway
DG1 1JD
Bankèrs
CumberfaTrJ Bu￿Ing knety
Curnbedaml House
C(X)￿rwaY
Parkhothse
Carfisle
Cumbria
CA3 OJF
Page I

CAMPLE LINE
IA Scottish Charitable Incorporated Organisalionl
TRUSTEES. REPORT
FOR THE YEAR ENDED 31 DECEMBER 2024
The Trustee5 present their 8nnual report tcoether wth the finanual ststemenls of the Chari£y lor the period 1
January 2024 10 31 December 2024.
CANPLE LINE was 85taDltsh8d In 2016 as an sndepwthnl contemporary arts organi5ation and public gallery.
We are based in and se￿e (x)mmunilks that meet the definlion of acc8￿ble and ianh)ts rur81 Iscottis
Government Srx4old Urba¥￿1uT8l ClassificatKM 20201. We ar8 16 rrsiles norlh of Dumfries in a large.
predomiranly rural region wth low pCpU￿￿On dertsty- where 1 In 3 p&)ple Ilve In ¢))mmunths of less than g)0.
In the last 8 ￿ParS, we have eslabli8hed a (aye team at CAMPLE LINE we ai Icxaly based, w& have
developed an ambthous publie prDgr8mrne wih Ihe fdlowing wms..
Supporting artists a￿ practis¢ng intemat¥)nally todèyto rnake [￿1 vrt)rk arml bringi￿ K Snto the publi
realm In a rural settTrw'.
Inu8awry th8 oppO￿ni￿e8 fry IlThe in Objr ruTal ￿￿rtext t+ attass. engage and partkipate
SU81 èrts of int8mats.onal scop8 th8Trr kmxlity.
Arnpltyn9 and reftectillg a dNersltyof￿￿. Oaces and cOrThThm￿S In ways tt7at can intersect and
re50nate oui rural context and gNe wsiblty to lo￿T or wxIer-reF￿8ent￿d perst*clTries and
experienc8S-
Being a ￿SOUr￿ for our local communtss and residBnts of the region and suppo￿n9 Ihe ￿dest poSY￿e
access to creative OFwthJnities and eno)vnters'.
Contributing to the rarye ofwj quality prOfe￿on￿ Arml wid8r LVPOrtun1t￿ in our kx81
communities. parbcularfyfor wur*J people;
Offering new skil* developments (4)portunities ￿ è settirKJ for people, induding young people.
15ving in our ktal comm4Jnibes',
Developing as a local employer within a njral selbr4J and rc*)t*)g Ihè prc*Juction of the prrymmtn8 in loral
pewe, and serwos..
Bringing fijrther inveslrnent through the wgjal into thJmfr(esshire, vthich can In tum brfng beneffts to
our local communities:
ontrtbub.ry to lh8 high-qualtyvisual arLs and (¥lhwal programmiro thal can be ￿ssed aeross cwJr
region, which ¢an help attract people to live orwsit Ihe regton.,
Working as envIron¥￿talLY 9jsla￿abIY as can. worknng iowards carbon r&luctrffi.
ObJective8 and acti¥Stle$
a. Pollcles and objectives
Tha obi8ctN8S of CAMPLE LINE a5 a tharilab18 arts organBaltr)n are to."
promote the advar¥xment ofthe arts and ¢*lbJrE by enat4ing and furlhering access to the ￿SU81 arts, film.
liteT8tur8 and 0th8r art fo￿8 to the general public..
proo￿te the a￿ar¢ement of edLThkn"cM by 5VPPOFting and advanciNJ thè genèral wblic's aw8r8ness of
the visual arts and Ixjllure a￿1 bywork1ng wrth educational lr6titut1￿ cornmunity grwps to
e￿OUrage engagement of and parttcirjalion in Ihe arts.
bl
b. Strategles for achievirq objecti
CAMPLE LINE operaies with tre putlic ¥rn5".
Supporbng artists who are wxtising internatr"onaty today lo make newwork and bdnging it Into the put￿lC
realm in a rural 5eth"ng'
Incxaasing the opportunities for those living in our rurJ context to ￿$. er4Jage wth and participate in
visual arts ol Intemation￿ scope in their localty.
Amplity"TYJ and reflecting a dw5ty of voi(XS. tlaces and communities in bydys that can intersect and
resonate with our rural £￿text Vk$i￿l1ty lo lesser OT under4epresent&J perspectives and
Page 2

CAhlPLE UNE
{A Scottish Charttsble llxorpornted Organls3tlon}
TRUSTEES REPORT (CONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2024
ObigctiVe8 and actlvttles (continued}
Being a resouTC& forLxFr local communities and residents of the regk)n and supporing the wrJ8st ptsssl￿e
8CC8SS to cmtive opportunitia8 and e￿￿UnterS".
Contributing to the range ￿£￿ quality [￿e$S￿￿OI and wider adievai)ent Opportun￿e$ in our local
communities, paTbcuIa￿Yf0rjY)Urtg people:
Offeriny n8w sknlls developments oppY￿n[baS in a *thptace setttng fc* people. induding yjung people,
living in our local coMmun￿es.
Developing as a kxxl e￿￿0y¢r￿lhln a rural setting WKI r¢rfAing the produthn Oftt￿ programme In Ictal
people, and senrices..
Bringing fvrthèr investment through the ￿￿81￿rts snto Dumfriesshire, whith ￿ in brtng baneffts to
I￿r local comrnunities.,
Contributitw to the high4Jualty ￿Su81 arts arKI ryjltural prt*Jramming that can b8 8(xAssed acTOSS our
regicr, which can hÈip attract people fo live In ￿ ￿sIttrE region..
Workirtg as ènvironmentslty suSta￿a￿Y as we G4n. wothng tDwards cart*)n thuthon.
c. AdlvStle5 undertaken tr• ach1￿ obJecll¥es
The mair* actiwbes und8rtak8n by CAMPLE LINE to fvrther its tharilable obj￿* Indtyje:
commissionsny of new contemporaryvisual art and slagirvJ Off￿ put4K exhibibon5
CTèation and sharing of 8udienc8 d8velopTY*nt and attessibilty reswrrys
Film screenings 8nd progr8mmes
Participatory workshops
Public talks. Q&A% and readings
Public walks and W￿l￿l￿g activibgs
Creativ8 outr8ach actiwlies wrth local srkn)fs and wmmunty organisabons
Wider achievemenl OFV)rtunikn"85 8￿j ¥nentoth"p of peop18
AChlWe￿ntS and p•rforn?anc•
a. R•vt•w of actjvltks
Ir¢ 2024. CAMPLE LINE was atrA8 to
u￿lertake a 10-day writerlmaker residewy wrth K WJryJan"
supp)rt four artists- Gabriella Bo￿, aaire Barday, Asti Cavus(YJlEJ. Chiara Camoni- to devèlop solo
exhibrtions, whKh were open to the pubk wth free enby for periThYs of 11>12 weeks ￿spectiVe1Y0v?r
spring, surnrn8r and autumn-
(yJmmis510n new wriling and projuce arKI omtsj high quality aLKlienL¥ and 3¢￿s￿￿1ty materials within
and 8lowside all ftyJT exhibitions,.
support a fifth arbst- Aji[￿ Myers- to present a se￿Tr ofwork dfawn frL¥n her pfoiect vAth thos8
serving tim8 at HMP Dumfn"es on the outSKle of our buming:
continuing lo develop and knieve high star¥Jaf¢s to access a￿$S]￿lItY.
deliver ¥ ranoe of workshops and evenlsthat supp)rted and exFonded the exhibthon5. and that which
eroage with our I(￿alIty.
d81Trver furth8r screèning ￿eTrts Ihrough Ixjr Film al Cample tlaiform",
linue evcAwng our Y(¥Jng A5SiStants programme. 8rKI indude oui Young Assistsnts diredy in
aitess and accessibilitywork:
continu8 d8vek)ping our outreath work wih Olf I(￿[ sChC￿S and share (￿tive resources w*lh our local
CDmmunities and explore ways that can engage Tr￿1h or p8rtiopate in our programme from their
own horres or F￿￿e5.
Page 3

CAMPLE LINE
{A Scottish Charitable Incorporated Organisaltonl
TRUSTEES. REPORT(CONTINUEDI
FOR THE YEAR ENDED 31 DECEMBER 2024
ACh￿vernents and p•rfom)an¢• l¢onttnutsdl
Supported )Jndiry Erorr, ¢￿?￿ve ScolK8nO autJmn 2023. &asoow-based WT".ter K Morgan
underlook a S￿rt at CAMPLE LINE in February 2024, staw'ng in nearby village Gatd&Nbridge arnd
alkin9 to camp￿ eath day. Durin9 Iheir re$￿entry, K prcxyuced a ThumbEr of drawings and worts on paper,
which responded to their daly w￿ks. and PfLyJuced a new limftAI tillèd a a gts￿e.
W fvndin
and
from Cwdve Scx)UanEi ￿Ere at4• tv SUFWrt
to develop sc40 wesentalpJns for CANIPLE LINE. Addlth)na'. fvnding to supporl
XYIS1:IOi Was a￿drded by The Henry Foufidation Three ol the artists were a￿e to produce
new work lor our spaces, vhML* they sho￿1 at Cample ts the firsl time Bolh
substantial new ty)dies ot work and tL*)k frJrwafd dw050pm￿t5 that they hal b¢•n con8idenr,g for som& lime.
ade a new grcw> of %*Nk at Carnp￿. wFMch she in5ts11ed 8longsNJ8 ￿[k
presoited ? tody ol w￿k thal sho made in 2020 <>)nmliS9&y*d by￿,1 Paris
of the exhib tiJns frory four ivr ters, ndudin
Vg produced four exhibtb"oTr bott<lcLS caih feaiuring new
f I￿8 Sh￿ 8dited byix)ortk'naior
p.lrts (IL'fAplI i l.
Our team was also very p'.eased to sUpC¢)rt￿nd The Jesslefe1d cdlec1T￿e to present a select1￿ ol
work on thè JJtsidè olour building. wcrk M'as dr2wn from a pwiect led by
which shè COpcre*d wth a
group of peo￿8 imprisoned al HMP Oumfr*s.
Wllh support from Dumfws 8rKI Gak>way c￿ncIS Regi￿al Art Fur￿. we wora able to dellver a prD9ramm8 of
parudpatory crea1ive wo*sys Ih8t SUPFx)rt￿$ cur exhijitions 8rKJ wwe led by a range of arbsts.
Wilh ftjndiry re￿fved from Ihe Fdm Exhibfa"on FLsrNJ in aulumn 20ZJ. we able to take fryward ffve film
screen1￿￿ between January May. These were SiJn .
lrfs with lh8 filrnrnthers them8thes and by
Specialists such as curator, vJrit8r and art his1￿lan
Wilh fvJrKling rec￿￿￿ from Book Week s￿?￿11and we wet able to I￿$t writer
conversat&(fft wth GaUcway-b*4d wnter
ho wa¥ in
With support from The Hol￿(Xxj Tr[￿1. we ww• to work Trmih iwo gw5 of Y(wJng ￿sista￿rts acros5
di118refTrl sEar groups, who were Invaw in 811 asp8r*s of our work al CAMPLE LINE ar￿ recgivod mentorship in
areas such as access aThJ ac￿SSi11￿1ty and ￿g*￿eMent respectivety. (hter th8 i*ar, the YOL1￿ Assi5tanls
&x￿nen￿d a rang• of wnpad5".
They Insight into diffe￿rnt pr8dv8 arKt drfferEnt 8ppfDaths to film pr(yJrammiThJ.
g8ined greateru)nMerth in att8Trding 8¢yeenir¥ and ethibitM$'.
They developed new s￿i￿S antj types of awareness in r8181iL¥i to and thè L*rrièrs that b
experienced by th958 lfving sen80ry k)ss ordi5abilty kn in accos8ing pub￿¢ spaces, as wdl as
Jltural and creabve opportunikn"es-.
They gain￿1 9reat8r I￿n[1den¢￿ irn speak￿g with rn8mbers of the Tthkc. with Ihe prol85sional freeLanw8
and rrEnlors who coTrlribute to our prograrrr*. awl wsth ar11515 and pfycti1￿ner$ about Iheir work.,
Thgy gained greater Gonfthnce In t*ng rxeativa resFX)nylylity lor a¢b¥ibes and propcts. and in
contribLrting their Ideas and thoughts In a wge of tear.. SI￿ati(￿S.
Page 4

CAMPLE LINE
{A Seottlsh CharltAbh In¢OrPoTa￿ (kgani8ationl
TRusfEES' REPORT ICOtrnNUEDI
FOR THE YEAR ENDED 31 DECEMBER 2024
Achi8v•nents and performanc• le4)ntlnu•d)
t￿8r 2024. we bwJan two new areas of work as part of an enhanc8merrt of our a(tess and act￿bilty
prO￿S1On, with the alm of raathiThJ ar￿ engaglng those lknng in Dumfn'•$ and Galloway and those V￿Si￿n9 wr
region who are deaf or h8rd of tr*ariry. or WIK) have )gdliJnal sensory needs. This tmjitds upon work we havè
n tsndertthng in relation to audio deSr￿pt￿n and si￿￿)rt for V￿ltOrS 8dditiond neets. induding making
inforrn￿￿n abc*jtOurf￿trtTr￿s available.
With funds from thè Ragional Cullural Fund. we l)egan developing resour{￿ for BSL-users. which induded IDur
V￿0$ ifvat provK18 a wdcxyne to r.Ap.4PI
and what to expect when visiting
Iwr and Intornatlon ab￿rt how to Teach us, to join our avents
d deafart guide frudi Colli8r to devebp Ihe resour￿$.
and to ddiw our first 8SL4ed exniurrion t￿r.
The primary aim of this wcrt was to reach and eTrJ8ge deaF BSL users whD live in or are visitiNJ DUMfr￿ and
G81k)%Yay and fjnabse th8m to aLws our prtyFarnFne in theirfirst ￿ preferrgd lavguage. 8nd SUPPDrt peoFAe who
ewence sensory p￿rt￿ssIng diffiodlies - devdopiny ￿SOurCeS for Ihose wtth additkThl sen￿ry support
needs Jr anyone dse who may prefer a I￿re relaxed ewEeJKe of our 9allery spaces.
Our pr￿ramme tocAc place in buikling, in our adiacenf uv88n spacs. in $utrc￿nd1n9 l&ndseare and wa
our online p￿tFOrrnS. We aLryo placed exhibthon resour￿. sucn as our exhibilion b￿￿ets, descriptions
and short exhitrAtion fllms on wr websrt8 lor pw18 to watch or read. We w8rg also atAe lo M)rk wth our Icxxl
primary sch(yJs, Underta￿n9 classroom-based tyitrnath thties wrth all cJasse$ at a05?burn and P•nFKMtt
Prirnary Sthols and 5el8cled primary dasses al W81kn H811. INe w8re able to devdop further ac￿SS
rèsourc8s, induding recc*dings of *1 cw exhitthn litefStur8 (ganery lgxl. exhibilTon èssay) that are *0
C8Ptl0FEd, 85 wdl 85 tsi*le or handlir4J res￿r¢0$
Where acti￿ty tts)k &4ace in our ￿lkjIn0, gro￿)d5 or l(MxI area Cincl. oui exhib￿Orn5, and wih partiCiP3tory
drop-in5 and w(￿kshOps1, visllor5 and p8rti¢ipants reathwj us ItDm a ￿￿e range of places. Whllst the majwty of
our In-person arKI participants Iwe I¢x8lly auos5 Nrthsdde IDG1. DG2, DG3. DG41 or are resKJents of
the wider reg￿n IDS5. OG6, DG7. DG9. DG10. DG12, DG141. we -
-Iso had VISItr￿ from acr0$5 the south of
Scotland Ind¢Jdirtg AYT, Arran, ￿nart¢. B"'gg3r. and Galashiels. as well as dsewher8 in Scotland induding
Edinburgh, Glasg(vN, Dvrmlee, Frfe. and A￿￿1[8,. and from across the UK. indLkling Curnb￿, Northumber4and,
Lancasbire. Yorkshi￿, Essex. London and Wal*s.
txked ￿1￿
once agakn PR br our ethibitK)ns pr(NJramme. Arx05s Ihe
year we had 55 ptgTrs of rx)v•rage. with an estimated 693.lJ)O unwwè onlkne V*4%S.
Coverage included reglonJ press: O&G Stsndard and DGWGO. DNG24 and others as wdl as national press
trhe Her81d. The Scotsmai), arnd thrtyJgh natio￿1 outlets (Visii s￿>tIand. The Skinny). lifè stye prinl and more
specialkst art pr885 Isrrtistt M News. Studio IntWb8tK)nal. ApuADI
I￿eT the course of 2024. 134,338 uniquo w$it￿5 accessed our websrte a totJ of 634.106 tirnos. This is an
Incr8as8 2023, when 87,241 un￿ue bFsitors wev*d wrwebsAte a totJ of 294.359 b"mes.
In Janu8ry 2024. we r&￿Ve￿ rb*rfi¢a*ion that we had l)6en gJccessfftA with Stsge One of Creative Scotland's
MuttTrTrYeaF Funding proc&ss an invitakn to make a wbmissw lo Stage T￿￿ This entai
rew Sl"ale
Ic Dewe,'9Jm￿ri'. Pl.
'or 2025-2028: vthich Tina Fjske und?rtook with support from
OLJr SI￿1egIC Plan. finan(￿ proforynas and applicatlon form were S￿b￿.1[￿d ir.
April, and January 2025 we weft r￿ll[led that our appficolion wa5 Su￿58￿1. CAMPLE LINE has joined
Creative S¢odand's Mulkn-Y8ar F¥ndiro Portfdio 2025-2028. with a three-yearfunth'ng setuement for thal period.
b. In¥estm•nt policy and porforrn¥tce
The chai¢ty US￿ normal (ommwcid bants to hojd it5 reseNoS.
Page 5

CAMPLE LINE
IASctittish Charitable Incorporated Organisationl
TRU5TEES' REPORT (CONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2024
Financlal revlew
. GoÉn9 conc•m
After Ma￿r￿j approprfate enou￿185. Twslw 8 reas¢rAble expeclatwJn that Ihe Charity has ad•)uats
resou[￿$ to corsbnue in op8rat on81 ￿$tenCe forlhe fore5ee*Ae futfft. For this Tèason. Ihey cx)nlinue to adopt
the going corKern ba&s in pr8p8rir¥J the financial Stat￿ne￿IS. Further detalls regarding the adopts.on of Ibe going
COn￿M basis can be loufKI in the accOL￿*r9 FrfJlirJ¢s.
b. Ru•r￿S policy
The restjfts for the show a surpkts tsf 6Xpe￿i￿re over Income of £41217. This was ca￿1¢0 foN￿rd into
the nexi peri¢<l as restr￿￿1 £11.459 being PFoJect grants and 8 grant T￿1￿] towar¢5 stsffing fjosts
￿280 01 unrestriU8d
SlJuctur•, go¥•Tnance and manag•m8n*
. ConsYtLrtIo
Cample 8 wlstered charfty. rrtunber SC047031. arwj a ScA)ttth Charitable Incorpor&1￿ ￿8￿139tiO
tiwng incorFx)raled on 7 December 2016.
b. M•thods gf appointment or el•¢tton of Tn
The managemerrt of the Chanty Is the resp￿￿￿[￿ rf Ihe TrUst￿S who are elerAgd ar¥J c(K)p￿1 under ltte
lerrns of the Trust dethl.
¢. Organlsatlonal 8truciurB and d•clslon•maklng polkles
The clTarity ￿ a Scoffish Charrrablg Ir(Lry*Tated Chganisabc•.
tha dIre￿*￿S for Ihe wrwse of Gornpany law, T*tho served durfng ts year were..
The s:WGture
tn! oiganis3t ￿lS.$1S ol 11-
and coryjrise th8 organi8ath'orf8 Bggrd.
-, 31 1% l Lstees who ￿80 thè organisabon'5 only members
F(K the DecemL¢r 2016 unlil Marth 2024.
Irrfisd ihe rol8 of Tnjsteo and uftpald Olrector
Ipart-lknel. as peThiLtsd in C4MPLE LINE'S constjiu
ri 23AI. The Direct￿ reports dire¢tty to the Board.
A Sub-committee considars mat.ers to Ihe Directorfs tX>81tion and o¥we5 any issues re￿ting to
n￿£1 tn rJ)sL as tt)¥ered by Clause 54 of the consbknb'on:
54A For the avLidance of dwbl. Ihe Dweclor shall not ￿ entitled lo fft r*lion to ayry matter ceffin8ctsd
ith hislw remun8fdtion or other tern5 and cotvjsb.ons of gmployn8nt.
At thè AGM in March 2024. Tina FL4k8 5tePFEd from the Board. rtim8inir￿ as Chi .
Pn)grarTrrDe Dioctor (unpaid L￿ts1 April 2025 ènd in a pak3 cawity frijn May 2025 opmrdsl.
appoint8d as Iha 08w Chair of GWPLE UNE.
Page 6

CIMPLE UNE
IA S¢oltish Ch•rllabl• Incorpornted Chyn18ation}
TRUSTEES. REPORT ICONTINUEDI
FOR THE YEAR ENDED 310ECEAIBER 21124
Structuro. gov•rn•nu and rnanay•m8nt (contIn￿d)
tiC.Ll ?L.4
LE I IYF. -.a= fc
Ic'Jée
Dedson-rnaki.Ig by tne tharify L'uslees ,s sel cul ir, CAA'.PLE LINkn S CGi*%l.;tulion=
Any charity trustso may calj a meeting of the boar(l.
Al least 7 days. rw)tke tW8t be given orf eath bowd rneetir¥J. Un￿SS Ihe opiruoTr of Ihe FeY9Jn rAltng
the meelingl thèfè 1$ 8 ¢J¢gree ol urgency that makes thal Inappropriate.
No valid decisiors can be token at 8 twd rn8etThJ urdess a quorum is ptP50nt'. lh6 qL￿rn For board
Ftleelings is 3 tharity Iruslees.
8t anythme th8 nurnb8r of charity trusts06 M7 olfice falJ5 Ihe nurrtjer ststed as the (worurn. the
remwning cbarity trUs￿{SI will *ave pM>wgr kn ri the Vaca￿leS ￿ call a mBrnbars' m*iins - but will rK)t
be able to take 8ny other Val￿ (leusk)ns
The chalr of tho organ1satlon shouk1 ad as thairpwson of eaGh LK)8rd meeting.
If the chair of lh8 ￿￿nisation w not P￿sentw1￿￿ 15 miniites afterthe 11rn8 atmthlth them88ting was due
start lor is rM)t willir¥J to ad as thwrpwsonl, the charty trustees present at the meetirwJ musl elect lfrorn
8mon9 th8Tnsdv881 th8 Pgrsop, who will act as chairFerson (rfthat mÈeJng.
Every charity IrLtstee has one vote. whKth given Perso￿..
I decis￿NS at t*)aTd meetiros %Aryll be mède by maiurity vote.
If there is an equJ numtsr ofvotes kn and against any resc4ultt)￿ the thairpgrson of the m88tng will b8
titled to a seLY)rKI ((25*ng) vote.
The board may.. at its disc￿￿)￿. auow any pewn lo attend and speak at a txwd ff*eting rw)ti¥ithstanding
Ihal he1str￿ ￿ rK)t a r*artty*rustge- bul on ts I￿siS that Wsha rnst Thjt parUcip8le in derAsion.rnaking.
d. R•l4t•d party r#latlonshlps
The butldin
oLrLJ
b CAAAPLE LINE i
ol
Sub-c0￿Mittee
".JUl'"..￿aI lease a.Tr- ￿ rr.ai ers relatsng Lo th
-ex%a.s 2-. a
cupat￿Tr (4 the ￿lIdIng to engjro trartsparey.
Related paty rElatthships In of Tnkste88 are Tr74ered ￿ CAMPLE LINE'S a)N8tilukn (Clause 531.
*. Flnancial risk fflanagem•nt
Th8 Trustees have assessed the major risks to whK* the Charlty L8 exrx)sed. in partiw181 Ih)se rElated to the
Operat￿n$ arKI finances ol Ihe Charity. ar￿ ar8 satisfied thal systems ar¥J Procedures arB in place io milvJalg
exp08ure to Ihe mejor risk8.
Plans for fulure perfL)ds
In January 2025 CAMPLE LINE was successftjl In S￿rir& a 1*ge-w fUrKI1￿ SÈiYement from Creabve
ottand. ansy as of April 2025, the owksth.on ts 98rt of Cr8aive &x)Ilantt'8 K4uth-Year FuThJing Portfollo.
Wth this rwi fur￿lr￿j in ￿ac￿. in 202&26 we to begin to ddrver on our Strategic Developmgnl Plan 2025-
2028. whlch sets out the Msion anrj ￿rateg￿ (firertwJfj lor CAMPLE LINE over the next th￿e years 2028-2028. It
summarises our vison. FAIr￿e, and rXj￿ values. as as wr cufe actiwtiBs and pri>Jrdmme M￿le1. It also
ouuines f￿r Strategic Aims, thlch Urthrk¥nn￿ by rAJr integr81 cornmitments to. Equalities, Oiversity and
IncFusKJn, Environmwtai Susialrtablty and Fair W￿. and ofvnk ov8r thrgè S￿r8.
Pag8 7

CAJIPLE LINE
IA Scoltish Charitable Incorporated Oryanl$ationl
TRUSTEES. REPORT ICONTINUEDI
FOR THE YEAR ENOED 31 DECEMBER 2024
Plans lor future periods Iconlinued)
Obr Siraleg'ic Airrs a* to..
achieve Ihe hithgst sfandarts ofamtmliw ￿ d811verfrw an gxhibikn progrdmmo. fr69 to the public, thal i8
c4 its place aTvJ at tye time kxates tss in the wider
achieve rew st8ndards uf practice in édNeiiry irxausK)n: acc668 and a¢ts&shtxlity in a rural selllng.,
mat8naly COntritr￿1e io pmmote E1iYerslty and wlty IA oppJtt&nty, fair and k￿S¢b'Ve Impacts I
our most ktsl communities, partiC￿3￿Y for youry peo￿e.
and slrerylhen ¢JJT orJr anisation so that to growarkl to a p¢)5iti* fijture
Dumfries arn1 Gaknway.
Approv￿ by C*derd￿ mgmber¥ ot tKpard ol Tru6*95 and ygn*J on their ￿h￿l1 by.
IChaTr of TrLLs*ees1
Sg 20 z(
Page 8

CAMPLE LINE
(Ascotttsh Chartt* Incorporated Oryanlsatlon)
STATEMENT OF TRUSTEES, RESPONSIBILrriES
FOR THE YE*R ENDED 31 DECEMBER 2024
The Twstee$ 8Te respNsible for preparing the Tr￿1885, and the financial 5tatemeTts in OGGL¥danGe with
applirabl8 law and Unit&J Kiwjom Ac£xxJrnb"ng Standards {Unrted Kmgthn Gen¢rally pL￿pted Accountsng
Practi￿l-
The law applicabSe to charrbes in Scotland reqi¥res the Trustèès to 5Thparè flnancial ￿at￿M￿nIS for each
financial which givo a twe arKI fair vie* of tr￿ state of afTraits of the Charity ar•J of its resOU￿9S and
application of resources, incFudirFg its in￿y￿e e￿ndItUrè. for 1h81 perKNJ. In tyeparfng Ihese financial
8taiem6nK th8 Trust8es arè requlred to:
selert $uitable a￿Ou￿￿"r0 p¢4iries and Ihen aFFfy tsmsistenty.
obswve the rnethcxls aFKI PrinClFles rfthe Chanties SORP IFRS 1021:
rn8ke judgrll8nts and acwunting estimates that a￿ rea￿8￿0 and pruderrt.,
8t* whether apFdlcat￿B UK AcLYK'nting Standards IFRS 1021 have been followed. SLtrJject to any m318rf81
d8parluro8 d15clo8ed and expLoir*d In the finarx%al Stskments:
yepare the fin8ll(xal state￿￿nts (Jn th8 9¢￿1￿j (x)n(%m basi5 unless It Ss inapproprlate ￿ yesume ihat the
Charltywl continue kn Iwsiness.
Thè Tr￿16•$ sra r￿￿￿ble f(¥ k88pwng a1¢quate att￿r11r£ re¢))rts Ihal are lo sknw and explain
the Charilrfs Ir8n$8¢fk)ns and disdose wth reasonatsfe acujracy at any time thE financol position ol the Charty
8nd 8r8bl8 tham to ensu￿ that the financial statements comrty Wilh tho Charri￿$ and TnJst88 Inv86tment
IScD112ndl Act 2005, Ihe Charities Accounts Iscouandl Regutations 20￿(35 arnendwll ar￿ the provisions gf ihe
Trust deed. They are also responstrjle lor 8afwJuardirg the 8S8ets of the Charity atwj hènce for tsking
fgawnable st8ps forthe prèvtrikn aryj ¢Jet8(*on utfrwd and otr*r irregularttw.
orowud bv orts ofthe members of of TnLSte8s and on bBhaff ty.
(Chair of Trust8851
Da'.e'.
24 z
Page 9

CAMPLE LINE
IA Scottgsh Ch8ritsbl& Incorpoiatad OTyanisattonl
INDEPENDENT EXAMINER'S REPORT
FOR THE YEAR ENDeo 31 DECEMBER 2024
Independent examin•rfs report to the Trustees of Camp1$ Unè
I r8por on Lie acrxsui2ts rf, Ihè chanty for ;he '/ew enthd 31 December 2024 which are set on
pageg 11 to 24.
R•spoetfv• Mspornsibiliti•s of Trust•8s and •x•nin•r
The chantys trustees aTr ¥e5f*JllSit* for the preparatK)n ol the finaTKial slatements in accordance wth the
tem￿ of th8 charit￿$ arKI Trustse In¥estment ISLX)I8ndl Act 2005 1.the Acr} and th8 Charities knounts
Iscnllandl Regulation 2008 Ilhe Attounts Regulat￿ns.) The tnJ$tses oingder that the a￿lit requirement of
regu181ion 1011Xal to (Gl ol the A￿OUnts Regul8tiths ¢kn5 not ￿p￿y. It is my rosponsibilty to exa¥n"ne the
fin?nelal statements as required under section 441Xtl of Ihg Act and to stats ￿ther p8rlacular matt?rs have
come lo my attenlkjn.
Basls of Independent axaminer's slatement
My 8x8minalion was out in 8crx)rda￿ wlh iegulalth 11 of ts Ac[￿nIS RegUlat￿n8. An eyamination
indudes a ￿eW C*1 the accaunb.ng re¢>)rds kept by the thorty and a tx)mparisun of the finaneAI statements
presented ￿se TecAJrds. It also inrjudes r£J￿IdWat￿n of any unusual tems or disck)stres in Ihe financNql
slatements. and seeklry expl4natrr￿ from as tnJste85 CL￿.cern7ng any such matt9￿.
undartakon do not wovtd8 811 lh8 ewd8nce that would be tèquIr￿l in an ￿￿11( arml ￿)￿sSquen￿Y I do TM)t expr8ss
an audlt opink)n Dn the view gNen by Ihe arX￿Trts.
SDdependent •xamlneVs sLthent
In the coursè of rny 8x3mwwtin, no matter has %J)me ￿ my attenlk>n".
4hith gives me reasonable ¢￿se to beI￿ve Ihat in ￿yMater.[a. respet? the requiremerts".
to keep attEuntiThg rec(rts in actordants wilh 44(1Ka) of Ihe aThJ wulatk)n 4 of the
A¢oxJnts ReguLxtiorns,' and
to Pre￿r& fl￿ncial gtst8rnents whith ￿[x)rd ￿th the a(x(￿￿ting r8(x)rds, Ac￿unting and
Repo￿ng by Chariti8s FXePa￿g t￿1r in acCord￿ce with th8 Financial Raporbng
Slandard in the UK ar￿ Republi¢ of IretaTrl {FRS 1021 and in other ￿PectS corn￿y with regul8￿.On
8 01 the Accounts Requkglijns
h8V8 rnt been met.. OT
to which. in my opinK)n. 8t1&nt￿n be drawn in orderto enatrlg Fcjper vrvJ8rsfanding of the finanoal
slalemenis to te re8Gh&J.
This r8Ptrt i8 solety to th8 th8ri1Ys TFusto8s. as a tmyty, in ac(x)rdant* with r￿ulation 11 of th8 Charities
Accounts {Scol￿nd) Regulat￿n$ 2006. My w)tk has ￿en undetlaken so Ihat I muht stste to the charws
Trustees th￿e matters 1am required to stale to them in an lTrlepwdent examinerfs rerM)rt and for no cither
purrose. To tha fullest extelll perrp.rtied by Law. I do Thjt actspt ￿ a55EEme resF¥)nsibilty to any(Th ¢th8r than the
charity avKI the tharitys Truslees as 8 brKly. for mywork or for thi5 reporL
d"
msirorvJ Waison LLP. 51 Ra& Strogt. DUmfr￿. OG1 1JD
P￿)9 10

CAMPLE LINE
(A S¢ottlsh Charit¥ble Incorpordted Oryanl¥atlon)
BALAMCE SHE
AS AT 31 DECEMBER 2024
2024
2023
Current ass•ts
Cash 8t bank 8rKI in haThJ
21,038
64,314
21.038
64,314
C￿ll0￿ anxyjrts f￿11[￿j due *tthln
10
(1.3191
(3,578J
Net cwrent asuts
19.719
60,936
Total ngt assets
19,719
,936
Charlty funds
R9s1r￿ funds
UTrregtricted funds
11
11,459
8,260
53.6J5
7,331
11
Tot81 funds
19,719
60.936
Thg financial stst8ment$ werts apwoved a￿1 authorised foy ISS￿ by the Twstees and on ￿1r behalfby..
(Chair of Trustees)
8& ZOZ
Tha notes on pagè$ 13 to 24 fofm Oft￿ fIn￿¢1￿ statements.
Page 12

CAMPLE LINE
IA Scottl$h Charitable Inrorporated Organi5ationl
STATEME￿[ OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 DECEMBER 2024
ResirittÈd Unrestri¢t¢d
fund5
funds
2024
2024
Total
funds
2024
Tol£tl
funds
2023
In¢ome from:
Donations and legaries
Chantable adivttl8S
46.889
5,001
96,987
2,561
5.lJ)1
Total Income
39,940
11.950
51.890
99,548
Eyndlture on:
Charitsble activib86
82,086
11.021
93,107
90,802
Total expenditure
82.086
11,021
93,107
90,502
Net movemgnt in funds
1411461
929
141.217)
8,746
Reconciliation of funds:
Total funds brought for￿rd
Net movement in fvnds
53,605
{41146)
7.331
929
60,936
141.217)
52,19Q
8.746
Total funds carrbgd ft>rward
11.
19,719
60,936
The Statement of ￿nandal aCtiv￿e$ indudes all galns and k)sses r8(wniged in the year..
The notes on pages 13 10 24 form part of these finanual statements.
Page11

CAMPLE LINE
(A S¢ottlsh Charttsbl• Ineorporated OTBanlsatlonl
NOTES TO ThE FINA14CIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024
Gen•ral informatlon
The Charty a ScoU&%h Charit8bk Organlsation regist¥&J wth th8 Office of the Scottish
Charfty R8gulator. Th8 prinapd &klr85s of the Charity is noted in the refe￿n￿ ar￿ administralve
informab.on pago.
These fftHndal stBtements aTB IKesen￿￿ in GBP aThY arty￿nIS are rcKJnded to th8 nearest pour￿ unless
slated otherwise.
Accounting policies
2.1 Basis of preparallon of financlal statements
The fir7ancd statemants ha￿ be8n prepared in a(XX)rdan￿ wrth the Charibes SORP IFRS 1021-
Accounting arKI Rewbng ty Ch8rities'. Slatem8nl of Reo)mmended practi￿ applic8ble to charlt46S
preparfng their accouTrts in accordance Ihe FInan￿81 ReKM)itng Standard applicable in the UK
ènd Republic ol Ir818nd IFRS 1021 {effectNe 1 J8nuary 20191, the Financial Reporting Standèrd
8pplicabEe in the UK and Republic of Ireland {FRS 1021 and the Charities and Trustee Inveslment
(scouar￿l Act 2005 arKI the Chèritle8 A¢oxnts {Scollarnll Regulations 2006 las arn8n¢Sedl.
Cample Llne meets th8 definrtw of 8 putAi¢ be￿ffl entty und¥ FRS 102. Assets and liabilities are
initwlly recc4nised al histori￿1 cost or tran*￿.(￿ value untess othewse stated in the ￿levant
acuNJntiry pc4icy.
2.2 Inc<*n•
I rn(yJmè is recognT58d ortrce the Charrty has entillemÈnt to the incorn8, rt is proba￿* that the
income wll t* and amtyjnt of irtome r￿elva￿e can be measured reliabty.
Grants are iTrdud8d in the Statement of finanL7al activities on 8 receivable ba%s. The balance ol
(xjme ￿￿￿ed for specffjc purposes but not expendeo durFng the peri¢>J ts Sh￿￿n in the ￿levant
nds on Balants sheeL whe￿ inryjme is re￿￿1 in advance of entuement of ￿ceIpt, its
recognitson Is deferred and ilduded in Cr￿itOrS as deferred irKx)nE. Where 8ntitlem$nt oceufs
beforB income ss reL*Ned. th& incx)me acayugj.
Ir￿oMe tax recAweraUe in relabon to (k)natI￿ under Gift Aid or deeds of (x)venant
rewJnised at the time of the donation.
Incorre tsx recovératle in reL*"on to rnvestmerrt inrJ)n* is rec(¥3ni8ed at the bm8 the inVestm￿t
income is r8C2Nable
13 Expendlture
Expenditure is recognlsert once lhe￿ Is a legal or cx)nstructive obl&aatbn to tr8rthr economic benefit
to & third paty. it is wcknab￿ Ihal a transler of economic ben8ffts wdl be reqUI￿j in 5etUemenl and
the amotsnt oflhe owètion Ixn be meawred rdkibty. Exp8TMliture is classffied by adivity. The costs
of each activty a￿ made up of the total of (11rect Wsts and shared costs, indudiTrg support costs
in undertaking each 8cbvity. Direct cx)sts attri¥￿tablE to 8 single activity are allocated direcuy
to that 8Ctiwty. Shared costs whlch con¢ribuie to MO￿ than one actiwty and suprN)rt costs which are
not attributab18 to a gngle acTh"vity are apWrtio￿ed betsveen Ihtsse a￿(v￿.e$ on È basis wnsislent with
the us8 of resources. Cenltal staff costs are alk)cat8(J on the basis of time Spent. and depreciation
chaiges allocated on the of the assefs tjse.
EKFenditure on charitaNe activities Is Èncurred on directy undwkking the athbes which further the
Ch8riWs obJ"ectives. as weN a5 anyassociated sjprxyt costs.
Page 13

CAMPLE LINE
IA Scotlish Charilable Incorporaled Organlsationl
140TES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024
Aceountin9 policiès Icontinuedl
13 Expendilure Icontinutd}
l expeTKIthJTe i8 irth1￿ of iTh8coverabte VAT.
2A Interèst r•c•ivabl8
Interest on fvnd3 held ￿ de{K￿l is induded ￿&￿ r￿1￿4b￿ and Ihe amount can be measured
r￿￿2￿Y by Ihe Charity, this is rKJmwlly UFM)n ￿tth¢abOn of the interest pald or payat4e by the
institLrt¥)n wth wlM)m the fvrbJs ￿ dep)*￿.
2.5 Cash èt bank and in hand
Cash at bank 8nd in hand ￿dud&S (xh and short-teryn hwJhty IKiuid investm8nts with a short maturity
of three nK*nths or less from datg of acquisib.ort or opening of the deFw)s"rt or similar a¢¢ount.
16 Liabilitle5 and provlslons
Liabilrfies are recI)g￿lSed when Iher8 is an ob¢iqation at the Balanc￿ theet date as a result of 8 Pftst
event, rt is probaiAe that a transfer of e¢omrnic benefit %*ill b8 required in settlement, 8rKJ the amount
ofthe selUern8nt ran bo estimatwl rdiatty.
Liabilth"es ar8 recognised at ts amount that the Charty antirypates it will pay to setue th8 debt or the
arnovnt It h85 tecewed as advanctd payrnents forthe goLyJ5 Dr Servi￿ rt must provide.
Provisions are ff￿aSu￿d at the tr*st 8stimate of th8 alm￿nts required to sewe lh8 obligation. Where
the effed of Ihe time value of rnoney B mat8ri&, the promsion is i)ased on the present value of those
amouAts. (5iscwnted at the pre-tax discount ral8 Ihat reflects Ihe risks swific to tha liability. The
unwnding of the dtscount recognk8ed in the Statement of fina￿81 activib.es as a finance cost.
2.7 Flnanclal i￿truments
The Charity onty has assets financ4al Ikqbililles of a kind that q￿lIfy as basic financial
instruments. 8asicfinancial instruments are initially oojgniwl at transacllon value and subsequently
me8sured at their s8tUement valu8 with the exception of bank loans which are subsequently
measured al anK)r￿.￿l ￿>51 using Ihe eff8ciNè interest methLMJ.
2.8 P•nslon
The Charity operales 8 defined contrib￿10￿ Pens*￿ sch8rne and th? pansion ¢hargg represents the
amtyjrts pa￿e bytr* Charty to the lund in resped of the Jwr.
2.9 Fund accouFrtlng
General funds ar8 Un￿Strided funds whith 8re a¥ailatrAg for use at the discrètion of the Trustees in
furtheranee of the general objethves of the Charity an¢J whith hav8 rh)t been dèsignated for other
Restricted ILmds are funds which are lo Ltsed in a￿xX￿8n￿ with 5peofic restrictions imposed by
doThys OT which have been by the Charity for partieJJlar purp0585. The costs of raising and
8dministering suth are charged against the spec4fic knnd. The aim and use of eath r8Stricted
lund is set eArt in the rKJtes to Ihè finwrial ststtmenb.
Page 14

CAMPLE UNE
IA Scottlsh Charitable Incorporat•d Organtsatlonl
NOTES TO THE FINANCIAL STATEME
FOR THE YUR ENDED 31 DECEMBER 2024
Income from donations and Iwies
R8Stricled Unr•stricted
nd5
funds
2024
2024
Total
funds
2024
Grants
Creal've ScotlaSKI Open Fund
D&G thnol Regionaf Cvlturol FurwJ
Hanry Moore Foundath"on
D&G Council Reg*)nal Art Fu￿1
The H&ywo￿l Trvst
Film Hub S¢xJlland
Book W88k Scouand
15.0
5.000
3,￿0
2.164
15,000
5,000
3,000
2.164
11,300
2,776
7110
2.776
7rx]
Grants
39.940
Oon8t40n¥
6.949
39,940
6,949
46,889
RastrFcted unms1￿cÉed
luncts
funds
2Q23
2023
Total
funds
2023
Grants
Cr8ative ScoUaThJ Fund
D&G Counol Regional AJt Fund
The HtAwJood Trust
Film Exhibition Fund
Fllm Hub S￿lIanc1 Pitch Pots
Book Week Scouand
70.408
2,256
70,408
2,256
9.994
3.600
902
730
730
Grants
87.890
87,890
Don8tK>ns
9.097
9.097
87,890
9,097
96.987
Page 15

CAMPLE LINE
IA Scottish Charitsble Incorporat•d Organisatronl
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024
Income from chaiitsble activitips
Unrestricted
funds
2024
Total
funds
2024
ox office receipts
Hlre of facil￿e5
2.465
2.536
2,465
2,536
5,001
5,001
TotGI
funds
2023
2023
Box office rer£ipts
Hire of faoliti8S
1,868
693
1,868
693
2,561
2,561
AnaSysls of exp8ndlture on tharitable activitles
Summary by lund type
R•strlcted Unrestrleted
funds
fund
2024
2024
Total
2024
Actiwty'ès
82,086
11.021
93,107
funds
2023
Totsl
2023
2023
81,077
9,725
90,8C12
Page 16

CAMPLE UNE
IA Seottlsh Charitable InGorptyat•d Organlsatlonl
NOTES TO THE FINANCIAL STATEMEI
FOR THE YEAR ENDED 31 DECEMBER 2024
Analy¥iJ of expendlture by actfvltles
Activltigs
undertaken
dlr
Support
Costs
Total
ftsnd$
2024
2024
2024
Activities
90,662
93,107
Activrf*s
Support
Total
funds
2023
Glirecty
2023
2023
ActNrttes
88.634
2.168
90.802
Anatysls of d1￿ce costs
T¢tsl
funds
2024
A¢tSvitles
2024
26.882
1.100
5,032
25,081
3,130
7,871
397
11.468
1.735
4.834
132
3.0
26,882
1.100
S.032
25,081
3,130
7,871
397
11.468
1,735
4.834
132
3,000
LKen(x$
Trdn$pvt and shippiro CA
Fees and exper￿5
Prfnting and signage
PR costs
Equipment purchases
Produdion
Events o)sts
Exttibition and transp)rt wisuTarJce
ghl and
Rent
90.6V2
90,662
Page 17

CAMPLE LINE
IA Scottish Charitable Incorporated Organisationl
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMEER 2024
Analy$5s of expendilure by activities Iconiinuedl
Anèlysrs of direct G05ts lcontlnuèdl
Tot
fvnds
Restèterl
2023
ActlvlNes
Restated
2023
Wages and sala
Litsnces
Transport And shir4)iNJ costs
Fees and expenses
p￿nIl￿g and signage
PR costs
Equipment psjrchasos
Production
ExhibitK)n and transwl irwran
Rent
23,420
1,606
6,023
30,501
3.151
8.568
1,135
9.755
1.475
23.420
6,023
30,501
3. 151
8,568
l. 135
9.755
q.475
88,634
88,634
Analysis of support eosts
Total
funds
2024
ActNitie8
2024
Fees for accourrtancy
Insuran
1,512
1.512
933
2.445
1445
Total
funds
Restsled
2023
Restated
2023
Fee5 for ac￿￿tsr
In8urance
1,235
933
1.235
933
2,168
2,168
Page 18

CAMPLE LINE
(Ascotllsh Charltable Incorporated Organisationl
NOTES TO THE FINANc￿L STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024
Anatysls of 8XPBndilure by aetmlies IcontlnuBdl
Analysts of support costs l¢ontinu•d)
EXhI￿¢￿Tr and trartssxirl InsWan￿ 01 £1.475 has been r85tat8d to direct costs from support costs as
these are LX)sts dirgdy iroirwj in the activityclexhibrfxTrrrBknng.
Independent •xamlneVs remun•rati4)n
2Q24
2023
Fee5 payab18 to Chariiys endependent enminar for the indepetylent
examination ol the Chariws arffiual accwnts
1.512
1,235
2024
2023
Wag8S 8nd salaries
SociaI security custs
Con￿b￿li0n to defi￿ Ly)ntn"l)Uti(￿ pe￿IOn schemas
25.532
712
638
23.420
26,882
23.420
The average numberof persons bythe Charitydurir¥ Ihe ￿ar vra5 as followE:
2024
2023
minlstration
No em ￿0Yee receNed remunerabon amounling to more than ££4),(￿ in eithef ￿ar.
Trustees. remun•ratlon and exponses
During the par, no Trustees receNed any remunerab.on orothw ber*fft5 (2023- £NIL).
During U)8 y&ar ended 31 D￿ernber W24. no Tr￿ee 8xpenses have been irK¥rred (2023- £NIL).
Page 19

CAMPLE LINE
IA Scottish Chafltatr)Le Incorporated Organisationl
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024
10. Cre(litors- Amounts falling due within one year
2024
2023
Other creditors
Accnjals and deferred incTh
2,143
1,235
1,319
1,319
3.378
11. Stat•ment of funds
Stat•mert of funds. current year
Balance at
31
D¢cembgr
2024
Balance at f
January
2024
Income Expendliure
Unrnstrfcted ￿ndS
General Funds
7J31
11.950
8.260
Restrtctsd funds
Creative Scottand Open Fijnd
D&G Council Reg￿nal CUl￿rat FuThJ
The Holyw￿d Tntst
D&G Council Regwal Art Fund
Film Hub Scouand
Henry M￿e FwndalK)n
Universty of St kndr8WS
asgow Artist lknving
Book Week ScolSand
45.959
15.000
5.000
11,%VJ
2,164
1776
3.0011
162,4291
(2,1201
110,143?
12.5281
13A361
11,470)
2180
5083
112
4226
476
1A58
B98
3,lJOO
106
106
700
11,430}
53,605
39,940
{￿086)
11,459
Total of fftJnd$
60.936
51.890
193.107)
19.719
Page 20

CAMPLE LINE
IA Scottlsh Charttable Incorporated Orga￿satIoN)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024
11. Statement offunds Icont5nued)
Cr•atlve Scotland Open Fund: Over rèportiry p8fiLxJ. CAMPLE LINE'S exhibitK)n and engagement
prcgramme was supported by Open Fund fvnding awarded in S8Ptamber 2023. whith doséd in January
2025. This fvfmling supported a wribrg r&sKlency with K Morgar and exhibibons by Jumana Emil Abboud.
Gabrlella Boyd. QairE 8arday, Cavus(KJlu and Chiara Carnorm.
A c￿at￿8 Scouand Open Fund grant. awarded in November 2024, 5UPPYted wogramrn8
activity related to a writirwJ residency Imaria Howard, Fetwry 2025} and an exhibition by art￿t Sayan
Chanda {March-June 20251. Bolh awards sUPPOrted the coMmk￿£0ni￿g of llew wort and covered the
ortisl'8 f8cs antl exp8ns8S, the costs of materia15. SPèCl81ist fees relating to the pmdvdion and installation
of the works, the promotion 8fKI d￿M9ntatK)n of the exhibitio1￿. assoGiated costs le.9. transportation.
exhibition insurance) in the staging of the exhibith.L￿5. and partiupatory and QLrtreach engagement
8cbvlties. The outslanding b31ance oflhe wd125%1 w85 r￿1Ved in April 2025.
Holywood Trust: FundiNJ was awdrd8d lo CAMPLE LINE in S¢piember ￿23 to support tha
ongosng devek)pment of its Young Assislants prL¥Jramrne over the academic year 23124. The 22123
lard Vfds closed in 2023. Additional fiJnding to supwrt a further group of Young A5s1stsnts over the
academic year 24125 was awarded to CAMPLE LINE in September 2024. Both grants enabled a group of
)ur¥J people in each academic year lo support Ihe d8vebpment and delivery of the put￿￿ programme 81
CAMPLE LINE arKI to receive n%ntcrfship and
Dumfrles & Gallowdy Council Regional Art Fund 24-25: This fvjnding was awarded in Marth 2024 to
$upw)rt a series of participatory ￿￿)rkShopS to te offeth by CAMPLE LINE a5 part of ts wntinuing
devdopment of its e¥yJag8ment programrn¢. Rep)rDng was cy)mpleted in 2025.
Fllm Hub Scotland l BFI Film Audlence NOtrMr￿- The lutKling was awartled from the F￿M ExhibI￿On
FurKI in Aijgusl 2￿23 for a prr4ramm of scre￿i￿JS O(*ober 202&June 2024.
The H•nry Moore Foundat￿n. This funrfing was awarded in April 2024 to 5upwI (x)sts towards Chi8ra
Camoni's exhibitson C¢lobeT- Decemtr*f 2024. The ft5nds SUPFKJrt8d the produrAK)n of new work for the
exhibit*)n.
Book Week Scotland.. fjh￿ fvndiThJ was aWarth￿ in Juty 2024 to suprAxt a publlc reading and new wrI￿￿j
as part of Bcd( Week ScoUaTrJ in 2024.
Pagè 21

CAMPLE LINE
IA Scottish CharitablÈ IncoTporategl Organi5ationl
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024
11.
Stateinent of fund$ (Gontinuedl
8818n￿ at
51
D6c8mb&r
2023
8818nce al
1 January
2023
lffwme &per￿lI￿re
Unre$trlct•d funds
Genwal Funds
11.658
f9.725)
7,337
Rèstricted fun
CrèatNe Scoland Open Fund
Th¢ Ho(yMrod Tfust
D&G Council Regk)n81 Art FuThJ
Film Hub &xJdand
Henry ￿Te Fwn¢Yaiion
Cowd Recovery Fund
Universityof St Andrews
The Hygh Fr&er Foundauon
Glasaow Arbst Moving I￿ge
Filffl Hub Swtland Fltch Pots
Book Week SLY)Uand
24707
5.743
495
70.408
9.994
2,256
{53.156)
111.4ql)
(2,275)
(2.042)
(3.(X17)
f4.078)
45,959
4.326
476
1.558
4.078
106
4.213
(4.213)
450
902
730
{902)
730
87,890
(81.QTT)
53.605
Total of fund5
52,190
(90.802)
60,936
Pag8 22

CAMPLE UNE
{A Scottlsh Charitable Ineorporated Oryanlsatlonl
NOTES TO THE FINANCIAL sfATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024
11 Surnmary offvnds
Sumrnary offunds . curr•nt yèar
Balance at
31
Dgcomber
2024
8alanc• at 1
January
2024
Income Expenditur•
General funds
Restricted fijnds
7,331
53,605
(11.0211
182,0861
8,260
11,459
39,940
60.936
51,B90
193.107)
19,719
Sumrnary of funds- prlor yw
8￿18r￿ 8t
S7
D8c&mber
2023
Balance at
l Jan￿ry
2023 Incvmg Exp2nditur8
General fvnds
Restrthd fuTr&8
11,658
87.890
(9.725)
(81.077)
7.331
53.605
46.792
52.190
99.548
(90,802)
60.936
1& Analysi5 of net assets betw¢en fubxls
Anatysls of net assets between ftmds- eurrènt period
Restri¢tsd Unro$trlcted
fund5
funds
2024
2024
Total
funds
2024
Current 8sset$
Creditor5 within year
11.459
9.579
11,319)
21,03B
11,319)
Total
11.459
8,260
19.719
Pagé 23

CAMPLE LINE
IA Scotttsh Charitablè In¢orporatsd Oryanlsationl
NOTES TO THE FINAhECLAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER2024
11 Analysis of net assets between funds {¢onkn"nu8dl
Analy515 of not osets betW88n funds- prior period
RostrMX6(l Un￿Str￿led
f¥￿IS
2025
2C123
2023
Currenl assets
CT8ditors due year
55,748
12143)
8,5S6
(1,235)
64.314
(3.378)
Totsl
51605
7.331
60.938
Penslon cw1￿*￿￿0￿13
The Charity OPBTates a de13rEd contr11￿"0n Fension &*erT¥e. T￿ assets of the scheme 8r8 hdd
P8ratety from t￿e of Ihe group ￿ an Independ8nliy *SminI51ered fu￿. The pensior cost charge
repr2s¢nts contrbutk￿S payable by the to the fund amwnted to £Nil {2023 - £2031. There
were no arnounts pasgble to the f￿d at the balaft￿ sbeet ¢ate.
1& Rel3t•d party transacttons
osè f8mil
memb8r o
A .,S tr.a4a .'cr tr.e .
°nt ar.tt u-_i ti-: pr.i t.pd
p. nl rfAr,
"us
plaGe tri ¢)ver5ee the rFIawem￿tt cAa ￿￿rnerc￿ lease to Onl￿ transpargncywth 1his transaction.
Pag¢ 24

Armstrongwatsorf
Accountants, Business & Financial Advisers
The Trustees
Cample Line
Cample Mlll
Cample
Dumfriesshire
DG3 5HD
CÉtr.. 22 ScrtcwbTr. 2025
Ow Refr. 6711'_7(584351
Y¢yJr W.
T.. Q1387 DJ_￿t￿nn
Dear Sirs
Durlng the course of the preparatlon of your accounts for the perfod endlng 31 December
2024, the followlng representations were made to us by the management and Trustees.
Please read these representations carefijlly and if you agree with our understandlng please
sign and return a copy of this letter to aurselves as confirmation of this.
Flnanclal Statements
You have fulfilled your responslbllity as Trustees, as set out in the terms of our
engagement letter dated 24 April 2024. under the Charities and Trustee
Investment (Scotland) Act 2005 (the Art) for preparing financial statements In
accordance with the Act and the Statement Of Recommended Practice for Charities
which we have drafted on your behalf, which give a true and falr vlew of the
flnanclal posltlon of the charlty as of 31 December 2024 and of the result5 of Its
operatlons for the year then ended and for maklng accurate representatlons to U5.
Significant assumptions used by you in making accounting estimates, including
those measured at falr value, are reasonable.
You have no plans or Intentlons that may materlally alter the carrylng value and
where relevant the falr value measurements or classlficatlon of assets and
Ilabilltles reflected In the financial statements.
You have dlsclosed all known artual or posslble Iltlgatlon and claims whose efferts
should be considered when preparing the financial statements and these have
been disclosed in accordance with the requirements of accounting standard5.
Related party relatlonships and transactions have been appropriately accounted for
and disclosed in accordance with the requirements of accounting standards. You
conflrm that the related party relatlonsh ips and transactions on the attached sheet
are a complete Ilst of such relationships and trdnsactions and that you are not
aware of any further related parties or transactions.
51 Rae Streer
Dumfries
Witr¢Th_LP 15retW￿tyV Iry
r•rfE Ol**rfsaY4rt U**>othtrwiSE I￿1¢¥1￿ trth*
DGL IJD
T.. OL387 955900
F.. 01387 955[￿1
YlIt•LLF LLP
*(M1*￿J4￿￿l*1 Asi IiN*d cam¥nyin Eiglinll
W&1￿ tsflre b Cbrl Jltr.C*l IPN.
¥Vatstsi
www.arm5trongwatson.co.uk
V4ww.arm)trongwatsonfp.co.uk
wrtw542l2t ifflthd
?*npJr¥•We&th 154 •leolA￿s￿
PMO. ¢arVsli.CAI JÈVI.

Armstrongwatsorf
Accountants, Business & Finanaal Acfvisers
All events slnce the balance sheet date whlch requlre dIsclosu￿ or whlch would
materially affect the amounts in the financial statements have been adjusted or
disclosed in the financial statements.
You confirm that the financial statements are free from material misstatements,
including omissions. You believe that those uncorrected misstatements Identified
durlng the preparatlon of the financial statements are immaterial both individually
and in aggregate to the financial statements as a whole.
You conflrm that, havlng considered your expettations and intentlons for the next
twelve months, and the availability of working capital, the charity is a going
concern. You confimi that the disclosu￿5 In the accountlng pollcles are an
accurate reflection of the reasons for your conslderation that the flnanclal
statements should be drawn up on a going concern basi5.
Informatlon provlded
All accountlng ￿CordS and relevant Information have been made available to us for
the purpose of our preparatlon of the flnanclal statements, You have provided to
us all other Informatlon requested and glven unrestrlcted access to persons wlthln
the charity from whom we have deemed It necessary to ￿qUest Infomatlon.
10 All transactlons undertaken by the charity have been properly reflected In the
accountlng records and are reflected In the financlal statements.
11 You conflrm that you are not aware of any possible or actual instance of non-
compllance with those laws and regulations whlch provide a legal framework wlthln
whlch the chartty conducts Its buslness and which could affect the financial
statements. The charity has complied with all aspects of contractual agreements
that could have a material effect on the financial statements in the event of non-
compllance.
12
You confirm that you have dlsclosed to us the identity of the charity's related
parties and all related party relationshlps and transactions relevant to the charlty
that you are aware of.
13 The charity has satisfactory title to all assets, and there are no liens or
encumbrances on the assets except for those dlsclosed in the financlal statements.
14 There are no liabilities, contingent liabilities or guarantees to third parties Other
than those disclosed in the financial statements.
15 The charity has at no time during the year entered into any arrangement,
transaction or agreement to provide credit facilities (including loans, quasi-loans or
credit transactions) for trustees, nor to guarantee or provide security for such
matters, ex￿pt as disclosed in the financial statements.

Armstrongwatson.
Accountants, Business & Flnancial Ath4isers
You confirm to the best of your knowledge and LElief that the above representations are
made on the basis of enquiries of management and stsff wfch relevant knowledge and
experience and, where appropriate, of inspection of gJPPOrting documentstlon sufficient to
satisfy ourselves that you can properly make each of the above representations to us.
We should be grateful If you would kindly acknowledge your agreement with this letter
by sig ning the duplicate where indlcated and retuming It to us.
Yours faithfully
Armstrong Watson LLP
We conflrm that we have reacl and vnderstood the contents of thls letter and ag￿e that
it accurately reflects the representatlons made to you by the Tnjstees durlng the course
of preparing the charity's accounts.
Signed on behalf of the Board of Trustees by:
(Signature)
(Date)

Armstrongwatsorf
Accountants. Business G Finandal Advisers