REGISTERED COMPANY NUMBER: SC321018 (Scotland)
REGJSTERED CHARITY NUMBER,. SC002536
ort of the Tru5tee5 And
Unaudite
ancial Stattm¢nt5
theye
ed3lD
025
for
The BSMDH
TBDunn&Co
Ground Floot Ipartl
8000 Academy Business Park
51 Gower Street
GLASGOW
G5I IPR

SMDH
ScotlAn
ntetbts of the Financial StAternents
l December 2025
Page
Report of the Trustees
Independent Examlner's Report
Statement of Flnaner21 Activities
BAIAnce Sheet
Notes to the FinanciAI StRtements
6 to 10
Detsiled Statement of Financial Activities

BSMDH
Re ort of the Tru5tee5
ror the Y
er 2025
The trust¢es who are also diTectOT5 of the chartty for the purposes of the Companies A¢t 2006, present their report with
the financial 5tatement3 of the charity for the year ¢nded 31 DecetnbEr 2025. The trustees have adopted the provisions
of Accounting and Reporting by Charitie5'. Statement of Recommended Practice applicable to chaTjti¢S PTtparing their
accounts in accordance wth the Financial Reporting Standard applicable tn the trK and Republic of Ireland IFRS 102)
(effective l January 20191.
OBJECTIVES AND ACTJvrrILs
Objectives and ￿1￿5
The BSMDFI Iswtland) operaie&' under the Memorandum, Articles of Association and Byelaw5 of ourconstitution.
The obj¢¢ts of th¢ Company are..
l) The advancernent of public education amongst Tnedical and dental students and duly qualified practitioner5 of
Medicin¢ or Dentistry. and such other 8roups pr2Cticing a relevant dis¢ipline as the Company shall think fit, in the
principles and practice of clini¢al hypnosis and hypnotherapy by the promotion of trainin8 and teachin8 of appropriate
5ki11s and leaming required for those profes5ion5 and the mounting of courses, lectures, seminars, classes, workshops,
demonstrations, exhibitions and such other likc events as will fvrth¢r the object of the Company,.
2) The conduct of research and audit of PTaCtice5 of the subject of Clinical hypnosis Rnd the publi¢ation of the useful
results of th&t research.
The society provide5 and 5UPPOrts locally or8anised free meetings for do¢tOTS and dentists who a￿ members of the
society and who wish to further their experience and be supported by more experienced members of the society. The
so¢iety has a web site which give5 infomiation about the society and promot¢s ¢du¢ational m¢¢tings. Our members
continue to promote the use of hypnosis by doctors and denllSIS.
FINANCIAL REVIEW
Reserves policy
Resetves are held at at level which will enable the Charity to continue to promote its objective5.
Fund5 in Te5erve
The net incoming resou￿¢$ for the year wa5 a deficit of £3,50712024 £1,395 deficit). At 31 DecembEr 2025 reserves
were £17,208 (2024- £20,715).
STRucfuRE, GOVERNANCE AND MANAGEMENT
Governing document
The charity i5 controlled by its governing document, a deed of trusL and constitutes a limited company. limited by
guarantee, as defined by the Companies Act 2006.
A member may stand for ele¢tion to the Council at the Annual General Meetin8.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Company number
SC321018 (Scotland)
Registered Charity number
SC002536
Registered office
Va@Va
14 Polsons Crescent
Paisley
PA2 6AX
Page I

TheB
MDH
ort f the TrustQ¢S
December
025
Tru$tees
DrMAGow
Dr K Long
Dr A Dewar
Dr F Ayatollahy
Dr P Mccarthy
Mrs A McGovern
Dr D Toncheva
Mrs J Nelson {appointed 20.1.25) {r#ign¢d 16.2.26)
Ms P Kalsi (appointed 16.1.251 Iresign¢(J 14.9.25}
Compgny Setretary
Dr A Dew8r
Independent Examlner
M W Blair FCCA
TBDunn&Co
Gro￿nd Floor (part)
8000 Academy Business Park
51 Gower Street
GLASGOW
G51 IPR
Thts repKIrt has been prepared in accordance with the special provisions of Part 15 of the Companies Act 2006 relating
to small companies.
AppToved by order of the board of trustees on 17 March 2026 and signed on its behalf by..
Dr M A Gow- Trustee
Page 2

Ind
xaminer's Re
ort to the TTU5tees of
The BSMDH
Scotland
I report on the acwunts for the year ended 31 Decemb¢r 2025 set out on pag¢5 fourto ¢¢n.
Respective responsibilities oftrustees and examiner
The ¢harity'S trusteE5 are responsible for the preparation of the ac¢ounis in accordance with th¢ temis of the Charities
and Trustee Investment (Scotlandl Act 2005 and the Charities Accounts (Scotland) Regulations 2Q06 (a5 atn¢nded). The
charity's trustees consider that the audit requir¢tllent of Regulation 1011)la) to Ic) of the Accounts Re8ulation$ does not
apply. It Is rny Tesponsibility to examine the accounts as required under Section 4411ll¢l of the Act and to state whether
pajticular matteTS hov¢ ¢om¢ to my attention.
Basis of the independent examiner's report
My examination was carried out in accordance with Regulation I l of the Charities A¢wunts (Scotland) Regulations
2006. An exatnination include5 & Teview of the accounting records kept by th¢ charity and a comparison of the a¢counts
pr¢sented with those rewrds. Jt also includes consideration of any unusual item5 OT disclosures in the accounts, and
seeking explanations frotn you &$ truste¢s wn¢eming any su¢h matters, The procedures und¢rtaken do nol provide all
the evidence that would be TequiTed in an audit. and consequently I do not expre55 an audit opinion on the view given by
the accounts.
Independent exaTniner'$ Statement
In ¢onn¢ction with my examination. no matter has corne to rny attention '.
(l) which give5 me r¢psonable Cause to believe that. in any material respect. the requirements
to keep accounting records in accordance with Section 4411)la) of the 2005 A¢t and Regulation 4 of the 2006
A¢¢ounts Regulations: and
to prepare accounts which accord with the a￿Ounting rewrds and to comply with Regulation 8 of the 2006
Accounts R¢gulaiions
have not been met. or
(2) to which, in my opinion. attention should be drawn in OTd¢r to enable a proper understanding of the accounts to be
reached.
M W BlairFCCA
The Association of Chartered Certified Accountants
TBDunn&Co
Ground Floor (part)
8000 Academy Business Park
51 Gower Streei
GLASGOW
GSI IPR
17 March 2026
Pag¢ 3

MD
Statement Of FinAnoial AetlVLties
orAtin
Income And Ex
en
ure Aec
for the YeAr Ended 31 December 202
2025
Total
funds
2024
Tota]
funds
Unrestri¢ted
fund
Restricted
fund
Not¢s
JNCOME AND ENDOWMENTS FROM
Donations and legacies
2,531
2,531
3,018
Charitxble Activities
Training
1,515
1.515
5.150
Inve5tmertt ineome
171
171
302
Totsl
4.217
4,217
8,470
EXPENDITURE ON
CharitHble activitkes
TTaining
General costs
1,808
5.916
1,808
5.916
2.164
7,701
Total
7,724
7,724
9,865
NET INCOMEI(EXPENDITURE)
(3,507)
(3,507)
{1.3951
RECONCILIATION OF FUNDS
Total funds brought forward
20,715
20,715
22,110
TOTAL FUNDS CARRJED FORWARD
17,208
17,208
20,715
The notes form part of these financial 5tat¢ments
Page 4

MDH
Ba141nce Sh
Dec
2025
Total
nds
2024
Total
funds
Unrestricted
fund
Restricted
fund
Note5
CURRENT ASSETS
Debtors
Cash at bank
14
21,759
18,682
18,682
18,691
18.691
21.773
CREDITORS
Amounts falling due within oneyear
10
11,4831
11,483)
11,058)
NET CURRENf ASSETS
17,208
17,208
20,715
TOTAL ASSETS LESS CURRENT
LIABILITIES
17,208
17,208
20,715
NET ASSETS
17,208
17,208
20,715
FUNDS
Unrestricted fund5
17,208
20.715
TOTAL FUNDS
17,208
20,715
The charitable company is entitled to exemption from audit under Section 477 of the Companies Act 2006 for the year
ended 31 December 2025.
The members have not required the cornpany to obtsin an a￿111 of its financial statements for the year ended
31 December 2025 in accordance wth S￿tIOn 476 of the Companies Act 2006.
The trustees acknowledge their rEsponsibiliti¢s for
(a}
ensuring that the charitabl¢ ¢ompAny keep5 aw)unting ￿ordS that comply with Sections 386 and 387 of the
Companies Act 2006 and
pr¢paring financTal statemetjts which give a tNe 2nd fair vi¢w of the slate of affairs of the charitabl¢ ¢ompany as
at the end of each financial year and of its 5UTpIu5 or deficit for each finan¢ial year in accordance with the
requirernent5 of Sections 394 and 395 and which otherwise cornply with the requirements of the Companies Act
21)06 relating to financial statements, so faras applicable to the charitabl¢ ¢ompany.
Ibl
These financial slatemenis have been prepared in accordance with the provisions applicable to charitable companies
subje¢t to th¢ small cornpanies regime.
The financial staternent5 were approved by tht Board of T￿$1¢¢5 and authorised for issue on 17 March 2026 And were
signed on its behalf by..
Dr M A Gow- Trustee
The notes fom) part of these financial Statements
Page 5

The PtsMDH
tts to the Fin8ncisl Statements
d 31 Decem
er2
ACCOUNTING POLICIES
Basi$ of preparing the financial Statements
The financial statcmEnts of the charitable company, which is a public benefit entity under FRS 102, have been
prepa￿ in accordance with th¢ CharitlC5 SORP IFRS 102) 'A¢¢ounting and Reporting by Charities.. Statement
of Recommended Pra¢tice applicable to charities preparing their accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) {¢ffe¢tive I January 20191,,
Financial Reporting Standard 102 'The Financial Reporting Standard applicable in the UK and Republic of
Irel&nd' and the Cotnpanie5 A¢t 2006. The fsnancial statements hav¢ been prepared under the historical Cost
convention.
FinAnciAI retmrting stsndard 102- reduced dlsclosure exemptioN5
The charitable company has taken advantage of the following disclosuTe exemption in preparing these financial
statements, as permitted by FRS 102 'The Fitlancial Reporting Standard appli￿ble in the UK and Republi¢ of
IrelaThd':
the requirem¢nts of Section 7 Statetnent of Cash Plows.
Ineome
All in¢ome is reeognised in the Statement of Financial Activities on¢e th¢ charity has entitlement to the funds, it
is probable that th¢ iDwme will be receiv¢d and the amount can be me&sured reliably.
Expenditure
Liabilities ar¢ Tecognised as expenditure as soon as iheTe is a legal or eonstructive obligation committing the
chariry io that expenditure, it is probable that a transfer of ewnomic benefits will be required in settlement and
the amount of the obligation can be rneasured reliably. Expenditure is accounted for on an accrua15 basis and has
been classified under headings ihat aggregate all c05t related to the category. Where costs cannot be directly
attributed to particular headings they have been allocated to a¢tivities on a basis consistent with the use of
r¢sour¢es.
TAngible fixed assets
Depreciation is provided at th¢ following atjnual Tate5 in order to write off each asset over ils estimated useful
lif¢.
Fixtur¢s and fittings
250/0 on cost
Tsxation
The ¢harity is exempt from ¢OTporation tax on its charitable actiwties.
Fund atcounting
Unrestri¢ted futlds can be used in accordance with the charitable objectives at the dis¢retion of the trustee5.
Restricted funds Can ottly be Used for pariicular re5trict¢d purposes within the Ob]￿lS of the Charity. Restrictions
arise when specified by th¢ donor or when funds are raised for particular restricted purtM)SCS.
Further explanation ofthe nature and puwse of each fund 15 iThcluded in the note5 to the financig15tatements.
Company inforniAtion
The BSMDH IS¢oilandl is a Private conipany limited by guarantee Inco￿orated in Scotland. The registered
offire is 14 Polsons Cresc¢nt, Paisley, PA2 6AX
The accounts ar¢ prepared in sterling. which is the functional cU￿ncY of the charity. Mon¢tary amounts in these
financial statements are rounded to the neare51 £.
Page 6
continued...

MDH
S otlAn
Notes to the Financial StRtements- continue
Year Ended 31 December 2025
DONATIONS AND LEGACIES
2025
2024
Subscriptions
2,531
3.018
INVEsfMENT INCOME
2025
2024
DeTK)51t account interest
171
302
INCOME FROM CHARITABL8 ACTIVITIES
2025
2024
A¢tivity
TTaining
Training
Workshop income
Training COUTse
30
5,120
1.515
1,515
5,150
CHARITABLE AcfiviTIES cosrs
Support
costs (see
note 6)
DI￿¢t
Costs
Tota15
Trdining
General costs
1.808
1.808
5,916
5,916
1,808
5.916
7.724
SUPPORT COSTS
Governance
¢osts
General Costs
5,916
TRUSTEES, REMUNERATION AND BENEFITS
There were no trustees, Temuneration or other benefits for the year ended 31 December 2025 noT for the year
ended 31 De¢ember 2024.
Trustees, expense5
Two coiincil mernber5 Teceived reimbursed expenses in the period lotalling £1.417 {2024.. £1 J931. These
expenses relate to travel expense5 and workshop expen5e5.
Page 7
¢ontinued...

tIA
Note5 to the FinAn¢iAI Statements- continued
for the Year En
31 Decetnber 202
TANGIBLE FIXED ASSETS
Fixtures
and
fittings
COST
At l January 2025 and 31 December 2025
294
DEPRECIATION
At l January 2025 and 31 December 2025
NET BOOK VALUE
At 31 D￿ernber 2025
Al 31 December 2024
DEBTORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Prtpayments and accrued income
14
10.
CREDITORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Accru¢d expenses
1,483
1.058
ii.
MOVEMENT IN FUNDS
Net
movement
in funds
At
31.12.25
Ai 1.1.25
Unrestricted funds
General fvnd
20,715
13,507)
17,2Q8
TOTAL FUNDS
20.715
13,507)
17.208
Net movement in fund5. included in the above ar¢ as follows..
In¢orning
resources
Resources
expended
Movemcnt
in funds
Unre5tr5cted fu￿d5
General fund
4.217
17,724)
13,507}
TOTAL FUNDS
4,217
{7.724)
13,5071
Pag¢ 8
Continutd...

TheB
MDH
Notes to the Finaneial Ststements- eontinued
for the YeAr En
ii.
MOVEMETrrf IN FUNDS- ¢ot)tinued
Comparatives for movement in funds
Net
movement
in fvnds
At
31.12.24
At 1.1.24
Unrestri¢ted fu￿d5
General fund
22.110
{1.395)
20,715
TOTAL FUNDS
22,110
{1.395)
20,715
Comparative net rnovemeDt in funds, included in the above are as follows=
Incoming
ResouTce8
exp¢nded
Movement
in ￿ndS
Unrestricted funds
General fund
8,470
{9,865)
11.3951
TOTAL FUNDS
8.470
(9,865)
11.3951
A cu￿ent year 12 month5 and prioryear 12 months wmbined p051tion is a5 follows..
Net
movement
in ￿ndS
At
31.12.25
At 1.1.24
Unrtstrieted funds
General fund
21110
(4,902)
17.208
TOTAL FUNDS
22,110
14.902)
17.208
A ¢urrent year 12 months and prior year 12 rnonths ¢ombined net movement in fund5. included in the abov¢ are
as follows..
Incoming
resources
Resource5
expended
Movement
in funds
Unrestrlcted funds
General fijnd
12.687
(17,589)
{4.9021
TOTAL FVNDS
12,687
(17.589)
{4.902)
Page 9
continued...

MDH
Scotl nd
tes to the Fin
cial Statements- continued
IDec
12.
RELATED PARTY DISCLOSURES
There were no related porty transactions for the year ended 31 December 2025.
13.
MEMBERS LIABILITY
The liability of the members is limited.
Every member of the Company undertakes to contribute to th¢ assets of the Cornpany. In the event of it being
wound up while he or She ib a mernber, or within one year aft￿ he or she ¢ease5 to bc a memb¢r, for payment of
the debt5 and liabilit1¢5 of the CoTnpany, ¢ontra¢ted before he or she ceases to be a TneTnber. and of the costs,
charges and expenses of winding up. and for the adjustment of rhe rights of the cofttribut0ri¢5 amon8
themselve5, such arnount as may be required, not exceeding Ten Pounds (£lOI.
Page 10

MDH
Detailed Statement ofFingncig1 Aetiyities
for the Yegr
ded 31 Decem
2025
2024
INCOME AND ENDONVMENTS
Donation5 and legaeies
Subscriptions
2,531
3.018
Investment incorne
Dewsit account interest
171
302
ChRrÉtAble actlvlties
Workshop incorne
Training course
Jo
5,120
1,515
5,150
Total incorning resources
4.217
8,470
EXPENDITURE
Charitable gctivities
Training wurse costs
1,808
2,164
Support costs
Goverryance costs
Secretarial services
Storage costs
Subscripiions
Telephone, internet & website
Printing and stationery
Sundry expenses
Accountancy f¢¢s
Travelling
3.562
851
63
270
13
35
1,122
3.265
630
73
366
19
1,213
1,071
1,064
5,916
7,701
Total resources expended
7,724
9,865
Net exp¢nditure
{3.507)
(1,3951
This page does not fomi part of the statutory financial statements
Pa8e 11