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2025-04-05-accounts

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PORTREE YOUTH CLUB SCIO — ACCOUNTS 2024-25

Opening Balance £22,395.84

Income Donations £2,650.00 Trip £5,060.00 Grants Unrestricted £500.00 Grants Restricted £12,303.10 Fees £0.00 Interest £0.00 Misc. £4,547.15 Total £25.060.25 Expenditure Equipment £194.95 Venue Hire £2,505.00 Travel £846.58 Trip £12,648.25 Insurance £300.00 Activities £3,913.70 Misc. £4,011.26 Staff Invoicing £11.735.54 Total £36.155.28

Closing Balance £11,300.81

Net Profit (Loss) (£11,095.03)

Balance Carried Forward to Next Year £11,300.81

These accounts have been verified in accordance with information and explanations supplied by Portree Youth Club SCIO — " reasurer

Portree Youth Club

| have examined the underlying books and records of Portree Youth Club for the period 1 April 2024 to 31 March 2025 and hereby certify that the above Income and Expenditure Account reflects the transactions contained therein. Verified by:

Robert Brown

Accounts Technician

05/09/2025