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2025-07-31-accounts

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Trustees’ Annual Report and Accounts: Friends of Canongate Parent Council

This is the Annual Report and Accounts for Friends of Canongate Parent Council, the Parent Council for Canongate Primary School, Fife.

The Charity has income below £250,000 and as such is eligible to prepare its accounts on a Receipts and Payments Basis. The governing document does not require the Charity to prepare fully accrued accounts and neither does or require an audit.

Friends of Canongate Parent Council Scottish Charity Number: SC050739 Annual Report and Financial Statements for the year ended 31[st] July 2025

Trustees’ Annual Report

For the Year Ended 31[st] July 2025

The Trustees have the pleasure of presenting their report together with the financial statements for the year ended 31[st] July 2025.

Reference and Administrative Information

Charity Name

Friends of Canongate Parent Council

Charity Number

SC0509739

Address

Canongate Primary School, Maynard Road, St. Andrews, Fife, KY16 8RX

Current Trustees

Hollie Sutherland Trustee (Chair) Goodwin Ogbuehi Trustee (Secretary) Sian Williamson Trustee (Treasurer)

Governing Document

Friends of Canongate Parent Council Constitution.

Trustee Recruitment and Appointment

Trustee are recruited from the parent body and are appointed at the Parent council AGM and Meeting as appropriate.

Charitable Purposes

The advancement of education, which will achieved by the following method: to promotes close co-operation and communication between parents and school staff; to study and discuss matters of mutual interest relating to the education and welfare of pupils; to develop and engage in activities which support and advance the education of pupils attending the school

Activities and Achievements

The charity organises fundraising events throughout the school year to raise funds for items needed by the school or school community. Our fundraising has focused on raising funds to purchase a shed in the coming year to accommodate our second-hand uniform stock.

Financial Review

Fundraising efforts across events this year have totalled £4,459. Adding to our opening bank account balance of £2046.80.

The charity has purchased the school items for playground development purposes, covered the cost of the school ‘seasaw licence’, and has contributed to the school pantomime trip. Further expenses have related to our fundraising events. Total expenditure was £2315.91.

Statement of Receipts and Payments for Year Ended 31 July 2025

Income:

Income:
Halloween Disco 456.46
EasyFundraising 281.92
Uniform Sales 334.81
St Andrew Ball FundingAward 575.00
Christmas Raffle 789.70
Christmas Cards 226.00
Sports Day 605.30
Colour Run 1,120.66
P7 Disco 69.15
£4,459.00

Expenses:

Expenses:
Seasaw Invoice 379.45
Nursery Garden Plants 59.99
Playground Painting 92.98
Bookery 38.43
Halloween Disco 358.17
Uniform Badges 210.00
Raffle Tickets 80.34
Staff Treats 103.32
Santa’s Grotto Chocolates 47.14
Pantomime Trip 400.00
_Postage _ 1.55
Sports Day ‘25 225.90
Leavers Disco 318.64
£2315.91

Resulting profit for year: £2143.09

Statement of Balances

Opening account balance at 31 July 2024 Profit Closing account balance at 31 July 2025

£2046.80 £2143.09 £4189.89

Declaration

The Trustees declare that they have approved the trustees report above. Signed on behalf of the charity’s trustees

Signature:

Full Name: Hollie Sutherland

Position: Trustee

Date: 11/03/2026