## **BRIDGE OF ALLAN COMMUNITY ACTIVITIES GROUP** 

## **Annual Report & Financial Statements** 

**For the Year ended** 

## **31 August 2024** 

**Scottish Charity No SC048808** 



FOR THE YEAR ENDED 31 AUGUST 2024 

## **ANNUAL REPORT & FINANCIAL STATEMENTS** 

## **CONTENTS** 

|Trustees’ Annual Report .............................................................................................................................. 3 - 5|
|---|
|Independent Examiner’s Report ..........................................................................................................<br>6|
|Statement of Receipts & Payments .....................................................................................................<br>7|
|Statement of Balances.........................................................................................................................<br>8|
|Notes to the Financial Statements ............................................................................................................. 9 - 10|





**TRUSTEES’ ANNUAL REPORT** FOR THE YEAR ENDED 31 AUGUST 2024 

The trustees are pleased to present their report and financial statements together with the independent examiner’s report for the year ended 31 August 2024. 

## **REFERENCE AND ADMINISTRATIVE DETAILS** 

**Charity Name** Bridge of Allan Community Activities Group **Charity Number** SC048808 **Principal Address** Allan Community Centre Fountain Road Bridge of Allan FK9 4AT 

## **Current Trustees** 


## **Trustees Resigned during the year** 


## **Bankers** 

Bank of Scotland PLC 7/13 Port Street Stirling FK8 2EJ 

## **Independent Examiner** 

Cameron Accounting 12 Woodlands Road Lundin Links KY8 6HG 

3 



FOR THE YEAR ENDED 31 AUGUST 2024 

## **TRUSTEES’ ANNUAL REPORT** 

## **STRUCTURE GOVERNANCE AND MANAGEMENT** 

## **Governing Document** 

The charity is a Scottish Charitable Incorporated Organisation (SCIO) and was incorporated on the 2[nd][of ] November 2018. It is governed by its constitution. 

## **Appointment of Trustees** 

Trustees are elected at the Annual General Meeting which will be held in October. Under the terms of the constitution there must be a minimum of three and no more than eight trustees. Out of these there shall be trustees who were elected or appointed and no more than two shall be trustees who have been co-opted and may not be members of the organisation. 

## **Organisational Structure** 

The structure of the organisation consists of: - 

- the MEMBERS - who have the right to attend members' meetings (including any annual general meeting) and have important powers under the constitution; in particular, the members appoint people to serve on the board and take decisions on changes to the constitution itself. 

- the BOARD - who hold regular meetings and control the activities of the organisation; for example, the board is responsible for monitoring and controlling the financial position of the organisation. 

## **OBJECTS & ACTIVITIES** 

## **Charitable purposes** 

The Charity was established to provide facilities and resources to provide opportunities for participation in recreational and leisure pursuits that promote social welfare and the improvement of health and wellbeing for the local community. 

## **Activities** 

Activities during the year included: 

- Pickleball, badminton, volleyball, netball, fitness, and football in the main hall 

- Boccia, judo, karate, tai chi, carpet bowls and childminding groups in the lounge 

- Current affairs, music groups, lacemaking, needlework, machine knitting, French lunch club, parents/toddlers, Mah jong, bridge and canasta in the two small rooms 

- Fitness class and general fitness work in our small gym 

## **ACHIEVEMENTS & PERFORMANCE** 

The Activities Group continued to provide the facilities and equipment to allow our many member groups to offer a wide variety of activities and sports covering all ages and abilities to the local community and beyond. From Parent & Toddlers and Childminders through to lacemaking and Tai Chi. From physical activity like judo and football through to more sedentary pastimes such as jazz appreciation and Bridge. This year we welcomed 4 new groups. 

- **Boccia** , 

- a welcome return of **Carpet Bowls** , 

- the currently incredibly popular **Pickleball** and 

- **Mah Jong** (which is offered as an activity to members of the University of the Third Age (U3A) who also use the Centre for Tai Chi, Bridge and Current Affairs discussion groups). 

2024 saw the Centre host what proved to be an enormously successful Repair Café event in conjunction with Transition Stirling and there are plans to hold further events in the coming year. 

As an additional benefit to our Members, the Group organized and funded 2 First Aid Courses. These were very well 

attended and received by those who attended. 

This year also saw the distribution of our brochure for to all households in the FK9 postcode area to increase use of the Centre by the local Bridge of Allan community. The brochure gave details of the many sports and activities that are on offer, as well as the facilities available for any new group that might want to start up. 

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TRUSTEES, ANNUAL REPORT
FOR THE YEAR ENDED 31 AUGUST 2024
FINANCIAL REVIEW
Overview
Our main source of funding is frun momb¢tship fees th a small •Jdrtional incomo fr￿fi visitor f¢es paid by non-
members attending activities al the Cenlre. Al fvnds for the accounlirrfJ year are unrestricted. Total receipts for the
y8ar ￿re £12,02712023'. £10,184). Total payments for th8 yoar were £6.34712023.' £1.2521. The charity ther•fore
had a surplus of £5,68012023= £8,932).
Reser¥es Policy
Trustees maintain that they require £35.000 for the normal day-to-day running of the Centre and for the general
upkeep of the fabric ofthe centre each year. As of 1 September 2024. ther8 is £65.294 in th8 general furMI.
FUTURE PLANS
Increase usage ofthe Centre by tr)cal reshdents aryj organisations by investwating regular weekend opening
and becoming a base for k)cal charitable GYganisatK)ns.
Replace the Sp￿ts Hall fioor (Budget £10.IMI.
Refresh and upgrade the Gym by replacing dd and broken machinery and equipment and
installing apparatus not usually found in-mainstream" gyms to provide a more inclusive
community facilty.
Install wi-fi throughout the Centre.
APPROVAL
This rewrt was approved by the Iruslees ￿ May 29 on their behaw by..

INDEPENDENT EXAMINER'S REPORT
FOR THE YEAR ENDED 31 AUGUST 2024
Independent Examinerfs Report to the Trustees of Bridge of Allan Communty Activities Group
I report on the accounts of the charity for the year ended 31 AUg￿t 2024 ts the Bridge of Allan Communty
Activlties Group, which are set pages 7 to 10.
Respective responsibilities of Trustees and Examiner
The charity's Iruslees are responsible for the preparation of the accounts in accordance V￿th the te￿nS of the
Chari(ies and Trustee Investment IScoUand} Act 2005 llhe 2005 Acri and the Charities Accounts (Scollandl
Regulations 2006 las amended) llhe 2006 RegulatK)ns'}. The trustees consider that the audit requirement of
Regulation {101{11{d} of the 2006 Regulations does not apply.11 is my responsibility to examine the accounts
under SeCtic￿ {441{1Mcl of the 2005 Act and to state whether particular matters have come to my attention.
Basi5 of Independent Examinerfs Statemenl
My examination is carried out in accordance Regulats"on 11 of the 2006 Regulats"ons. An examination
includes a review of the accounting records kept by the chanty and a ￿)mparisOn of the accounts presented
with those records. It also includes consMJerats"on of any unusual rtems or disclosures in the accounts, and seeks
explanations from the trustees conceming any such matters. The procedures undertaken do not provide all the
evidence that would be required in an audrt. and cOnsequen￿Y I do not express an audit opinion on the view
given by the accounts.
Independent Exarninerfs Staternent
In Connection wth my examination. no matter came to my attention'.-
which gNe$ me ￿aSOnable cause to beI￿ve that in any material respect, the requrements
to keep accounts'ng reccffds in accordance with seclion 4411Xal of the 2005 Act and Regulation 4 of
the 2006 Regulations. and
• lo prepa￿ accounts whKh accord with the acCo￿trng reca)rds and t>)mply with Regulation 9 of the
2006 Regulations
have not been met.
2. to which, in my opinion, attenti£￿ should be drawn in order to enable a kyoper underslanding of the
a¢￿Unts to be reached
Cameron Accounting
12 Woodlands Road
Lundin Links
KY8 6HG
Date..
May 29, 2025

FOR THE YEAR ENDED 31 AUGUST 2024 

## **STATEMENT OF RECEIPTS & PAYMENTS** 

|**Receipts**<br>Membership Fees<br>Trading Income<br>**Payments**<br>Charitable Activities<br>Governance Costs<br>Donations Made<br>Purchase of Fixed Assets<br>**Net movement in funds**<br>Transfers between funds<br>**Surplus/(Deficit) for year**|Note|**Total**<br>**2024**<br>Total<br>2023|
|---|---|---|
||4<br>5<br>6<br>7|**£**<br>**12,027**<br>£<br>10,184<br>**-**<br>-|
|||**12,027**<br>10,184<br>**4,078**<br>752<br>**150**<br>150<br>**400**<br>200|
|||**4,628**<br>1,102<br>**1,719**<br>150|
|||**6,347**<br>1,252|
|||**5,680**<br>**-**<br>**8,932**<br>-|
|||**5,680**<br>**8,932**|



All funds are unrestricted 

The Notes on pages 9 to 10 form an integral part of these accounts. 

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AS AT 31 AUGUST 2024 

## **STATEMENT OF BALANCES** 

|||**Total**|Total|
|---|---|---|---|
||Note|**2024**|2023|
|**Funds Reconciliation**||**£**|£|
|Balance brought forward||**59,614**|**50,682**|
|Surplus/(Deficit) for year||**5,680**|**8,932**|
|Balance carried forward||**65,294**|59,614|
|**Bank & Cash Balances**||||
|Cash at Bank||**65,255**|59,561|
|Cash in Hand||**39**|53|
|||**65,294**|59,614|



|**Other Assets**|**Original**|**Estimated**|Estimated|
|---|---|---|---|
||**Cost (£)**|**value**<br>**(2024)**|value<br>(2023)|
|Pickleball Equipment|598|**500**|**-**|
|Hand dryers|430|**360**|**-**|
|Gym Equipment|411|**339**|**108**|
|Crash Mat|372|**301**|**335**|
|Indoor Footballs|355|**298**|**48**|
|Fridge|230|**186**|**207**|
|Plyo Jump Box|150|**135**|**150**|
|Badminton & Volleyball Nets|139|**125**|**125**|
|Badminton Rackets|98|**69**|**-**|
|Card Payment Terminal|95|**-**|**-**|
||2,878|2,313|973|



## **Liabilities** 

Prep & IE of Accounts **150** 150 

All funds are unrestricted. 

The charity has no contingent liabilities. 

The Notes on pages 9 to 10 form an integral part of these accounts. 

These accounts were approved by the trustees on and signed on their behalf by: May 29, 2025 

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**NOTES TO THE ACCOUNTS** 

FOR THE YEAR ENDED 31 AUGUST 2024 

## **1. Basis of Preparation** 

These accounts have been prepared on the receipts & payments basis in accordance with: 

- (a) The Charities and Trustee Investment (Scotland) Act 2005 

- (b) The Charities Accounts (Scotland) Regulations 2006 (as amended) 

There have been no changes to the basis of preparation or to the previous year’s accounts. 

## **2.** 

## **Fund Accounting** 

- (a) Unrestricted funds are those that can be expended at the discretion of the trustees in the furtherance of the objects of the charity. 

- (b) Designated funds are unrestricted funds that the trustees have set aside for particular purposes. The designation is administrative only and does not restrict the trustees’ ability to apply the funds. 

- (c) Restricted funds are those that may only be used for specific purposes. Restrictions arise when specified by the donor, or when funds are raised for specific purposes. The charity had no restricted funds during the accounting year. 

- (d) The purposes of the funds are shown in Note 8. 

## **3. Transactions with trustees and related parties** 

- (a) No remuneration was paid to trustees or any persons connected with them during the accounting year. (2023: Nil) 

- (b) No expenses were reimbursed to the trustees during the accounting year. (2023: Nil) 

## **4. Membership Fees** 

|**embership Fees**||
|---|---|
|Visitor Fees<br>Membership Fees<br>Group Membership Fees|**2024**<br>2023|
||**£**<br>£<br>**58**<br>53<br>**10,563**<br>8,720<br>**1,406**<br>1,411|
||**12,027**<br>10,184|



## **5. Charitable Activities** 

|**haritable Activities**||
|---|---|
|Admin<br>Insurance<br>Licenses & Fees<br>Consumables<br>Gym Inspection<br>Equipment<br>Sundries<br>Fabric<br>Marketing & Publicity<br>Training|**2024**<br>2023|
||**£**<br>£<br>**111**<br>82<br>**226**<br>226<br>**1,015**<br>328<br>**76**<br>49<br>**-**<br>-<br>**18**<br>-<br>**60**<br>-<br>**-**<br>67<br>**1,772**<br>-<br>**800**<br>-|
||**4,078**<br>752|



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**NOTES TO THE ACCOUNTS** FOR THE YEAR ENDED 31 AUGUST 2024 

## **6. Governance Costs** 

|**overnance Costs**||
|---|---|
|**2024**<br>**£**<br>Independent Examination<br>**150**|2023|
||£<br>150|



## **7. Donations Made** 

|**onations Made**|||
|---|---|---|
|Friends of Bridge of Allan<br>Christmas Lights|**2024**|2023|
||**£**<br>**200**<br>**200**|£<br>200|
||**400**|200|



## **8. Purpose of Funds** 

**General Fund** An unrestricted fund that can be expended at the discretion of the trustees in furtherance of the objects of the charity 

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