Charlty regl$tration number SC0519251S¢otlandl
UNION PARK COMMUNITY SPORTS HUB
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025

UNION PARK COMMUNITY SPORTS HUB
LEGAL AND ADMINISTRATIVE INFORMATION
Trustees
O Paterson
CAdam
L Sturroek
P Flnd18y
Chaflty reglstratknn
Scotland
SC051925
Pilnclpal addrn•8
Unlon Park
Whlnfield Road
Muntrose
Angug
DD10 8PS
Ind•p•nd•nt examlner
Murr8y Taylor (Scollandl Llmlted
10 Murray Lano
Montrose
Angus
D010 8LF
Bank•rs
Royal Bank of Scotland
3- S Clerk Street
8T8chin
D09 6AD

UNION PARK COMMUNITY SPORTS HUB
CONTENTS
Paqo
Trustees, T8POrt
Indop&ndent gxamlnofs r•port
statement ol ff nanc￿1 actlvltles
statamont of ff nanckgl poBltSon
statemènt of cash flows
Nots5 to the flnancSal stalgmènts
7-14

UNION PARK COMMUNITY SPORTS HUB
TRUSTEES. REPORT
FOR THE YEAR ENDED 31 AUGUST 2025
The trusto09 present thèir annual report and flnancial statemants for the y•Br endod 31 Au9USt 2025.
The financial slatemonts have been prepared in accordance with the occounling policies Set out in nol8 1 lo the
financial statements and comply wth the '$ governing documonl, the Chanties and Trustet Investment (s￿tIon￿l
Act 2005, the Charil85 Accounts (Scotlandl Regulation5 2006, FRS 102 "The Fin8ncial Reporting Standard
applicable in th8 UK and Republic of Ireland" and the Charrties SORP ' Accounb'ng ènd Reporting by Charits'es..
Stalemenl ol Recommended Practice applicable to charttles preparing their ac¢ounls in accordance wrth the
Flnancial Reporting Standard applicable in th8 UK and R8publi¢ of Irèland IFRS 102y'.
ObJectlv•* and actlvltles
Th8 object of the Charity is to promotè the adv8nc8menl of publlc particlpation in sport and lo improve th8 health
nd well-b8ing DI partlcipants and promote lrfe-long enjoymanl ol sport. The purpose of Unbon Pork Communmy
Sports Hub is lo promot8 h8aMh and w811*8lng activities Including organised 5POrt In and for the loeal and wlder
communities.
Thè Charity will provlde and promote accommodation and plgylng flelds for rocreational and communlty u58 to
improve the he8llh and w811-b•lng of th8 community through various activK(l•s,
Puèlltt b&n8fi1
Th8 trustees hav8 paid due reg8rd to guidance Issued by Itt8 Offlee of the Scott15h Charity Regulator and the
Charrty Commission in deciding what 8Ctivilles the should undèrtake.
Achl•vem8nts and porformAnc•
&gnific&nl eclivi118S and &chi8v8menls agalnst objgctivos
We have been fundraislng and havo had sorné succ855 and have more lundlng applications submmed. Durlng the
year the charlty w89 SUCC•5sful In ralsing $ignilicanl funds which allowed th• charity to begin lo build a new
clubhouse.
Flnanclal review
The chanty achieved a surplu$ of £232.8H whl¢h WAS made up of 8 unrest￿¢t•d funds of £12,299 and r6strlel8d
nds of £220,545. The restrlcted fijnds have been used 19 financ8 the Construction of a new club house. So all of
this money has be&n %￿nI on this project. The detailed incoming and outgoing re$ourc8s ar8 delalled on pagè 8.
The charf(y therefore has unrgstricted roserves of £31,283 and reslrlcted reserves 01£288.718.
Reserrfes poli¢y
11 is the pollcy of the that unr8slricled fvnds whl¢h have not been deslgn8ted for a specifie use should be maintsined
at a level equw8lent to betrleen thr88 and srx month's expenditure. Th8 trusl8è5 consider that reserve5 8t this level
will ensure that. In the event of 3 slgnificanl drop In funding. they will bè able to continue the 's current actlvrtl8s
whil8 consideration is given to ways in which addrtional lund$ may b8 raised. This level of r8s8Nes has b08n
maintsined throughout the year.
structure, gov•rnan¢e and manag•ment
The eharily is rogist8r8d as a SCIO Iscottish Charrtabl8 Incorporated Organisalionl. Its govèrning document th8 16
the eharity's Con5tibJtion.
The trustees who served durlng the y8ar and up to the date of signature ol the financlal statements were..
O Paterson
CAdam
L Sturrock
P Findlay

UNION PARK COMMUNITY SPORTS HUB
TRUSTEES. REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
Re¢ruilm•nl and &ppoinlm&nl oflms19es
Should a parson demon5tialing r8lèvant skills or expethence present themsglves to the board they may be
considered for appointment os a Iruslee.
Trustees are assum8d as nec¥ssary and appointed at the Annu81 Gèner81 Meeting.
There were M new appolnlments this year.
None of the trustees h•$ any benèfl¢lal Interest In the ¢ompany. All of th8 Iruslees ar• members of the company and
guarante8 to cgntritsut• £1 in the ev8nl of 8 windlng up.
Th• tru5tees' report wa$ approved by the Board of Tw6lee8.
D Palgrson
Tru•tee
28 May 2028

UNION PARK COMMUNITY SPORTS HUB
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF UNION PARK COMMUNITY SPORTS HUB
I report on the financial statèments ol tho for the yèar ended 31 August 2025. which arè sot out on page5 4 to 14.
Respective responslbllltles of trustses and examiner
The 's trustees are responsible for the preparation of the flnancrdl slat$ments in accordance w￿h the ltrms of
Ch8rrti8s and Trustee Invèstment (Scotlandl Act 2005 and the Charities Accounts (Scotlandl Regulations 2006. The
trustees consider that the audit requirement ol Regulatlon 1011llaFlcl of the Charrtles Accounts Iscollandl
Regulations 2006 does not apply.
It 15 my r8sponsibilty lo examine thè financl81 stalem8nts as Tequlred under section 4411llcl ol the Charifjes and
Tru51ee Inv8slmènl IS¢ollandlAct 2005 and 10 State wh8ther particular matters have come lo my ottenlion.
Basls of Ind•pendent examln•ls itatement
My examlnalion is carrfed out in accordance with Regulation 11 of the Charf(les Accounts IS¢otlandl Regulatlons
2008. An txaminalion Sncludes a review ol the accounting records kept by thg ch8rrty and 8 comp8rlson of the
financial statemènts present*d with those r6cord$ It also in¢ludes conslderallon ol any unusual item5 or di5¢1osures
in thé financial stslemeTrts, and seeking explanallons from the Iruslees concerning any such matters. The
procedures undertakgn do not provlde all th8 evidence that would be required In an audrt, and consequanlly I do not
8xpre5s An audft opinion on tt)e vl8w glven by th8 financial 51alèm8nts.
Indepgndènt oxamln•r'• •tat•ment
In the cours8 ol my examinaknon, no mattèr hos come to my attentlon
1. which glves rrn reasonable ¢ause to bg1i•ve that in any mat8rial Tespget the requirements..
to ketrp aecounling r8cord6 in accordance with Sectlon 44111181 ol th& Charities and Trusteg Invt8lm•nt
IScotl8ndl Act 2005 and Regulation 4 of the Charitles Ac¢ounls Iscollandl R8gu181ions 2008, and
to prepare finan¢i81 statements which accord wrth the 8c¢ounling ro¢ords and ¢omply wnh Regulation 8 01
th• Charities A0￿unt5 (Scollandl Regulations 2008
have not b88n m81, or
2, to whlch, In my opinlon, att6nllon should bg drawn in order to ènable a proper und•rstsnding ol the financlal
818tements to b8 r8a¢h¥d.
R J Sim F.C.C.A
Murray Taylor IScotl8ndl Lim((ed
CharteTed C9rtified Acc¢untsnts
10 Murray Lane
Montrose
Angus
DD10 8LF
28 May 2026

UNION PARK COMMUNITY SPORTS HUB
STATEMENT OF FINANCIAL ACTIVITIES
(INCLUDING INCOME AND EXPENDITURE ACCOUNTI
FOR THE YEAR ENDED 31 AUGUST 2025
Unfestrlcted ReBtrlcted
funds
lunds
2025
2025
Total Unrestrlcled Restrlct•d
lund8
funds
2024
2024
Total
2025
2024
Notes
Income Ir¢m'.
Donations andl8gaC￿9
Charitab18 activitie6
Other trading actwrti?6
Inv851ments
8,467
14,273
3,700
624
235,675
244,342
14,273
3,700
624
22,944
77,276
100,220
1,985
311
1,985
311
Total Income
27.064
235,875
262,939
25,240
77,276
102,518
Expendbtur• on:
Raising funds
Charilablo activf(i&s
1,650
12,157
1,650
28,445
785
14,786
785
30,493
18.288
15,707
Totsl •xp•ndtture
13,807
18,288
30,095
15.571
15.707
31,278
Income
13,257
219,587
232,844
9,e89
81,5e9
71,238
Transfers be￿een
funds
19581
958
Net movement In
fund•
12,299
220,545
232,844
9,e89
81,509
71,238
Reconclllatlon of fund•.'
Fund balancos al 18eplemts8r
2024
18,984
88,173
87,157
9,315
8.e04
15,919
Fund bilan¢•$ at 31 Augu•t
2025
31,283
288,718
320.001
18,984
68,173
87,157
The statement of financial *ctfvili8s includes all gains and lossès recognised in the yè8r. All income and expandilure
derive from continulng activitl•s.

UNION PARK COMMUNITY SPORTS HUB
STATEMENT OF FINANCIAL POSITION
ASAT31 AUGusf2025
2025
2024
Flxed assets
Property, plant and equlpment
13
290.341
55.587
Current a88etS
C86h 81 bank and In hand
29,e60
31,570
N•t curr•nt aoBgt$
29,860
31,570
Total A•fjet8 le88 current liJbilltle8
320,001
87,157
The fund8 ofthe
R8slrict8d Incorne fundts
Unrgstricl&d fundg
14
15
288,718
31,263
68.173
18,964
320,001
87,157
The financlal $18lèments were approved by tho tru8te88 on 28 May 2028
D Paterson
Tru8tse

UNION PARK COMMUNITY SPORTS HUB
STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 31 AUGUST 2025
20215
2024
Notes
Ca•h flows from operatlng actlvftl
Cash gen8rat8d from op8rations
18
233,033
71.740
Investlng aGtlvltt•s
Purchase of property, plant and equipment
Investment incom8 received
1235,5671
824
156,4001
311
N•t ca•h u•ed In Inv••tlng i¢tlvltl••
1234.9431
156,0891
Not ca•h gen•rat•d from finanGlng actlvStl••
Net Idecreai•ifincrna¥e In cash ond CAJh
equlval•nt$
11,9101
1 S,851
Cash and ¢ash eqU￿lInts at beglnning of year
31,570
15,919
Ca•h and ca•h •qU￿alontI at •nd of y•ar
29,680
31,570

UNION PARK COMMUNITY SPORTS HUB
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Accountino pollcle•
ChAr￿Y inlormation
Union Park Communrty Sports Hub 1$ a SCIO (Scottish Charttsble IncorpoT8ted OTganSnsatv)nl. Th8 principal
olfice Is.. Union Park, Whinfield Road. Montrose, DDI0 8PS
1.1 B4418 of prepar&tlon
The financial statements hav8 b8en prepared in accordance wrth the's gov6rning do¢umgnt. th6 Char￿.e$ and
Trust68 Investment (Scollandl Act 2005, the Gh8rrti85 Accounts IScot18ndl Regulallons 2006, FRS 102 "The
Fln8ncl&l Reporb'ng Standard applicable Sn the UK and R8public of Ireland" and the Charities SORP
"Accountlng and R8POrtlng by Charf(ies.' Ststemonl ol Rocommgnded Practice applicable lo charilias
pr8P8ring their aecounls In accordance wrth the Financlal Reporting Standard applicable In the UK and
Republlc of Ireland IFRS 1021" The 1$ 8 Publlc Benefit Enlty as d8fin8d by FRS 102.
The financial statements ar• prèpared In Sto￿1ng, which is the fvnclional currèncy of th• . Monetary amounts
In these flnanclal statements arfr round8d lo th• nèarest £.
Th• linancial slaltrmeTrts have been prepared under the hlstorlcal cost conv8ntlon. The prlncipal accountSng
polbclès adopted are sel out below.
1.2 Golng conc•rn
Al the time of approving the financial slatèmenls. th8 Iruslees have 8 reasonable expectstlon that the has
adequate resources to continu8 In operatlonal èxlstence for the fore6eeable future, Thus the trustees continue
lo adopt th• gcing concern basis of a¢¢¢unting In preparing the financial stolements.
1.3 Charltabl• fund•
Unr85tricted fvnds ar• available lof use al the discretlon of the Iruslees In furthgrano9 01 their eharflable
objectNes.
Restricted funds aro subject lo specifi'c conditions by donors or grantors as to how they may be used. The
purposes and uses of the restrlcted funds arg sel out in the nol¢$ lo the financial statements.
Endowment lund$ are subject to speciffic condition5 by donors that the capllel must be mainl8lnèd by the
1.4 Income
Income Is recognlsed whèn the Is legally entitled to il after any pèrformance conditions have been met. th8
amounts can bo m8asur8d reliably, and rt Is probable that income will be received.
Cash donatlons are recognised on recelpt. Qlhèr donatlon8 are recognise¢J once the has b8en notified of the
donation, unless pérformance conditions require deferral of tho amount. Income lax recoverable in relation to
donations rec8ived undar GIftAid or deed5 of covenant 18 r•¢ogni$ed al the tirne of the donation.
Légacies are recogni58d on r￿elpt or ¢th*rwlse rf the has been notified of an Impending dislribulion, the
amount is known, and receipt 15 expected. If the amount 1$ not known, the legacy is Irealod as a contingent
asset

UNION PARK COMMUNITY SPORTS HUB
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
A¢¢ountlng pollcl
Icontlnued)
1.5 Exponditur•
Expenditure is recognlsed once there is a legal or conslru¢tNe obligation to transfer economic benefft to a
third party, tt is probabl& that a transl8r ol èconomic benefits will be required in Settlement, and the amount of
the obligation can b8 me8surèd rellably.
Expèndilur8 is classified by actwily Th8 costs of èach aclivrty are made up of the total of dlrecl costs and
shar8d c0515, Including support cos15 Invofv8d in undertaking each aclwity. Direct costs attributable lo a singl8
actlvlty are allocated dlrectly to that actlvlly. Shar8d costs which contribute lo more than one activbty and
support cos15 which are not attribulabl$ to a single activity are apportioned be￿88n those 8CtNrties on a basis
consistent with the us8 01 resources. Centr81 steff costs are allocat8d on the basis ol time spent, and
deprgclalion charges aro 8llocaled on th• portlon of the as$•t5 Use.
1.6 Property, plant and ￿u1pm•Tht
Property, plant and equipment arè Inrtially measur•d 8t cost ond subsequently measured at cost or valuation.
net of depreclalion and any impeirment losses.
Depreciats'on is recognisèd so as lo write off the cost or valuation of 85Séts k9ss th8lr r8sldu81 values over th91
useful Iwes on the followlng b8SeS'.
Plant and equlpmonl
25% Stralght lino b•sls
The galn or loss grising on th¢ disposal of an asset is detèrmlned as the diff6rèn¢t b8￿efjn the sale proceeds
and th& carrylng v8lu8 of thè asset, and is recogni58d in th¥ 8ts18mont ol financi81 activitie¥.
1.7 Impalrm¢nt ol non<urrent a$$•t8
Al 8ach rèporting end date, th• reviews the carrylng amounts of ts 18nglble assets to detsrmlno whethar there
Is any Indlcalion that thos8 95sels have suffered an impairment loss. If any such indic8tion exlsls, the
r•cov•rablo amount of the asset is eslimaled in ord•r to do18rmine tho extent ol thè Impairment lo¥s111 gnyl.
1.8 Cash and CA•h equlvalents
Cash and c8sh equivalents include cash in hand, dèposlts held al c811 w￿h banks, olhor 5hort-lerm Ilquid
investm8n15 w￿h origlnal maturilles of thr&e months or less. and bank tsverdrafts. Bank ovordrafts are shown
wlthin borrowings In current liabilf(185.
Basic financial •88ets
Basic Inanclal assets, which In¢lude trade and othef receivables and cash and bank balan¢o$, are Initially
measured al transaelion prlce Including tmn5actlon costs and are 5ub5equantly carri8d al amortised ¢ost
Using the ¥ffective interest method unless the arrangemgnt constitutes a ff n8ncing transaction, whara the
transactlon is measured at th¢ present value of the luture recelpls discounted at a market rate of interest.
Financial assets classlfi8d as receivable wllhin ong y8ar not amortised.
B•sl¢ fln8n¢lal Ilabllltl•s
Basic financial liabiif(ies, includlng trade and olh8r payables and bank loans are inf(ially recogni$¥d al
transaction price unless the arrangement ¢onstilutes a financing transaction, wherè tho debt in5trumonl Is
measured al the pr85enl value of the future payments discounted at a mark81 ralè of int8resL Financial
liabilrtles classified 8$ payable wthin onè year are not amortisgd.
Debt instrurnenls are subs8qu•nlly carried al amortlsed cost, using thè èffèctlve Interest rale method.
Trade payables are obligations lo pay lor goods or services that have b8en acquired In th8 ordinary course of
operations from suppliers. Amounts payable are classrfied 8s current liabilities rf payment is due within one
year or less. 11 not, they ore presented as non-¢urrent liabilities. Tradg payables are recognised Inltially at
transaction Price and subsequently measured at amortised cost using the eff6CtNe interest method.

UNION PARK COMMUNITY SPORTS HUB
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
Accountlng pollcle8
Icontlnuedl
Derecognitlon of fin•ncl81 li•bilities
Financial liabl1ftl￿ arè derecognlsèd when thè's contractual obligations explra or are dLg¢harged or cancelled.
1.9 Employee beneflts
Th8 Cost of any unus8tl holiday entlclemenl is recogni5ed In the p8rloE1 In whlch the emplDy80'S seNic85 arè
re¢eNèd.
T8rrritnalion benefits aré r•cognised Imrnediately as an expense when the 1$ demonstrably committed to
términate the omploymgnt of an èmployee orto provide lormination benefits.
Crltlcal •cGountlng e•tIMat￿ and Judg•ments
In the appllcallon of the 's accounting pollcies, thè trust888 ore requlred to make judgements, estlm8tas and
as$umplion6 about the carrying amount ol ass¢ls and liabil(ties that are not readily apparent from other
sources. Tho estlm8tes and 8$sOC181ed a$sumplions ar8 bosed on hislorlc81 exp¥rience gnd other factors th81
are eonsldor•d to bg r81evant. Actual r•sults may difl8r from th&$8 estimate$.
Th8 ostimates 8nd undèrlylng assumptions are revie￿￿ on an ongoing basi¥. Revlslons lo aecounllng
•sllm818s are recognlsed in the pèriod in which the estimate ￿ r8vis8d whère the revislon affects only that
period. or in lh8 Period of th& revision and future pèrlods where the revlsion aff8¢ts both current and future
periods.
Incom• Irom dOn￿On0 and leq•¢l••
Unrestrlcted Restrlcted
fund$
fund8
2025
202S
Tot#1 Unre$trl¢ted Restrlctsd
fund6
funds
2024
2024
Total
2025
2024
Donations and gifts
Grants
3,500
4,967
3,500
240,842
11,110
11,834
30, 160
47,118
41,270
58.950
235,875
8,467
235,875
244.342
22,944
77.278
100.220
Income from charitRbh •ctlvlti
Unrejtrlcted
ndg
2025
Unre8trlct•d
furhds
2024
A¢¢ommodatlon provlslon
Charrtable rental income
14,273

UNION PARK COMMUNITY SPORTS HUB
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
Incom• from oth•r tradlng xtfivltl•8
UnYe8trieted Unrestrithd
funds
fund8
2025
2024
Fundraising events
3,700
1,985
Income from Inv•stmento
Unmtrlcted UnreBtrlcted
ffiJnd8
fundjs
2025
2024
Interest rgcelvabl&
624
311
Exp•Trdltur• on ral•ing fund•
Unmtrlcted Unr••trlct•d
Jnd•
lund•
2025
2024
Fundraljjlng and publlclty
Othar fundraising costs
1.850
785

UNION PARK COMMUNITY SPORTS HUB
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED
FOR THE YEAR ENDED 31 AUGUST 2025
Expenditure on eharltable 4CtlvltJe8
AccommcrflA AC￿MModa
tion
tk*n
provl8ion
provlslon
2025
2024
Dlroct cost8
Depreclatign and Impeirment
Rent
Wa18r rates
General ratss
TV licence
Heat 8nd Ilght
Printing costs
Insurance
R•p8lrs and r•n8wals
Cléaning expenses
Computer gxpenses
Subscripllons
stallonery
Coaching sfrrvices
613
2,161
973
426
170
1,377
42
1,3e5
2,813
2,143
813
1,589
398
402
159
2,158
1.282
3,552
2,798
1,558
64
65
16,288
15.707
28,445
30,493
Analy•l• by tund
Unrestricted funds
R•slricted lunds
12,157
16,288
14.788
15,707
28,445
30,493
N•t movoment In funds
2025
2024
Th• nel movement In funds 15 slated aftar chargingl1cTed￿ngl'.
Fees p8yable for the independent oxamlnation of the charKy's financial
statements
Oepreclalion of ownèd prop¢ty. planl and equipm•nl
813
813
10 Trustees
None of the trustees loi any persons connected with th•ml received any rernuneratlon or ben8ffts from th8
durlng the y8ar.

UNION PARK COMMUNITY SPORTS HUB
NOTES TO THE FINANCIAL STATEMENTS ICONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
11 Employees
Tho average monthly number of 8mploy8es dumng the yearw85'.
2025
Number
2024
Number
Total
Th8r8 werg no employé•s whose annual remunèration was more than £fjQ,000.
12 Taxation
Th& cherily is exempl trom tsxalon on it8 aclvrties be¢aus¢ all Ils income 1$ applled for charlt&ble purposes.
13 Property. plant and •qulpm8nt
Assots und•r
conslrudknn
Plant and
•qulpment
Total
Cost
At 1 Sepl•mb8r 2024
Additions
53,151
235,567
3,249
58,400
235,567
At 31 August 2025
288,718
3,249
291,987
D•prociation and Impalrm•nt
At 1 September 2024
Dapreclalion charg8d In the yoar
813
813
813
813
At 31 August 2025
1,626
1,626
CArrylng amount
At 31 August 2025
288.718
1,823
290,341
At 31 August 2024
53.151
2,43S
55,5e7
14 Reotrlct•d lund8
The reSt￿Cted funds of the charity comprise th8 unoxpended balances of donabons and granlts held on trust
subjeet to specific conditions by donors a$ to how they may be used.
At1
3eptamber
2024
Incomlng R•source$
re#ources
•xpended
Transfern At 31 August
2025
Rap project
Property construction
1,058
67,115
15,230
220,645
116,2881
958
288,718
08,173
235,875
116,2881
958
288.718
12-

UNION PARK COMMUNITY SPORTS HUB
NOTES TO ThE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
14 Restrloted fund8
Icontlnued)
Previous year:
At1
September
2023
Incomlng Resources
reiourc
expended
Transfers At 31 August
2024
RAP prDj•Ct
Prop•rty constfud.on
6,604
10,161
67,115
115.7071
1,058
67,115
e,604
77,278
115,7071
68,173
15 Unro4trl¢ted fund6
The unrestricted fvnd$ of the cha￿ty eomprbse th8 un•xpended balances of donallons and grants which 8r8
not subjfj¢t lo $p8¢lfic conditions by donors and grantors a$ to how they may be used. These includ
dèsignated funds which havo been sel aslde out of unièstrlcted funds by the trustees for spoclflc purposes.
At1
S•pt•mber
2024
Incomlng
re8our¢o8
R•source$
èxpended
Tr4nsfor• At 31 Augu8t
2025
G6neral funds
16.984
27,064
113.8071
19581
31.283
Pr•vlDu• y•ar',
At1
S•ptemb•r
2023
Incomlnq
resour¢e•
R••ources
•xpended
Tran8f•r• At 31 Augu4t
2024
General funds
9,315
25,240
115,5711
18,984
10 Analy•l8 of n•t a••ets between fund•
Unrestrlcted Restrkled
fund¥
funds
2025
2025
Totsl
2025
At 31 Augu•t2025.'
Property, plant and equipment
Current 8sselsllliabi1((ieg1
1,623
29,660
288,718
290,341
29,680
31,283
288,718
320,001
13-

UNION PARK COMMUNITY SPORTS HUB
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGusf 2025
16 An*ly818 of nel ￿Sets between lund$
Icontlnuedl
Unrestrlcted
fund8
2024
Re8trlcted
fund8
2024
Total
2024
At 31 August 2024..
Property, plent and equipmant
Currehl a660ts11liabilf(1osI
2,436
16.548
53,151
15,022
55,587
31,S70
18,984
88,173
87,157
17 R•lated party transactlon•
There were no dl8¢lo$able rolaled party Iransactlons during the ye8r12024 none).
18 CMh generated from oper*tlon•
2025
2024
Surplu6 for the y•ar
232,844
71,238
Adlu•tment8 for:
Inveslm8nt incorne r8cogn15ed in statement of fin8ncl81 a¢1￿111e5
Dgpr8ciation and impairment of property, p18nt and equipment
18241
813
813
Ci•h g•n8rat4d from opor*tl¢ns
233,033
71.740
19 AD•ly•l8 of change• In n•t fund¥
Th8 h8d no materlal d8bl durlng the year.