REGISTERED CHARITY NUMBER: SC005899
Fin
rEn
Accountants Plu6
Chartered Certffied Accountants
Unit 1 Cadzow Park
82 Mulr Street
Hamilton
ML3 6BJ

t Kllbrfd8 Communlt T
Fin
Page
Report of the Trustees
1 to 2
Independent Examin8rf8 Report
Statement of Fin8n¢ial AGttvibe8
Balanca Sheel
Notes to the Flnan¢Sal Statements
6 to 10
D•tailed Statement of Financial Activits8s
11 to 12

mm
rEn
mber 2024
The Iruslees pr8senl report with the finanoal statements of the charity for the y8ar ended
31 December 2024. The trustees have adopted the proléisions of Aw)unting and Reporting by
Charities: Statement of Re￿rnMended Practice applicable to Charit￿$ preparing their a¢¢ounts in
accordance with the Financial Rep(Kting Standard appllcable in the UK and R8publlc of Ireland
(FRS 102) {effa¢tvie 1 January 2019).
OBJECTIVES AND AcTrvmES
ObJectlv8s and alms
Our purF¥￿ Is to promote th8 b8n8frt of Inhabitants of East Kilbride ty providing. in the Int8rests of
raocial welfaTe and 8ducation, transport facilrties for use by the handicapped. the older￿ and
Ildren with the objed of imwobing the condltlons of lrfe for $8id inhatstsnts.
Slgnlfl¢anl actlvltle8
East Kilbride Community TransFQrt is a non-profit making charity with two 17-seat8r minibus8s,
We supply transport to people who are disabled or unable lo travel on wb15c transport. We do not
ch8rge individuals but invoice the groups that US8 US.
We have three pak1 drlvers and one secretaryladministrator. a chairperson, vice chairperson, a
tr8asurer and now we have slx other committee rnembers.
We supply transport for various groups. W￿lon Impalred group. Stroke Club. Arthrrtis Care, British
Legion, and varfous pensioners clubs.
We collect people from Indivldual homes and tske them to Church and th8n retum them.
Prlm8ry schools use us to take children to various sports centres. or other sCh￿IS and return.
We collect children from different primary schools and tak8 them to After School Care every week
day.
We supply transport for varlous care homes ￿￿thIn East Kllbrkle and walking groups normally
connected lo churches.
FINANCIAL REVIEW
R•s•rves pollcy
At the year end that charity had unrestrictwj re8er¥e8 of £46,071 (2023 £51.896)
The Truslees consklar th8 g8neral fund to be suffklent to enablo US to continua to provldo
transport fa¢illtles for the forthcoming y88r.
STRUCTURE, GOVERNANCE AND MANAGEIAIENT
Govemlng document
The tharily is controlled by its goveming document. a deod of tntst and constltutes an
unincorwated charity.
REFERENCE AND ADMINISTrATIVE DETAILS
R•glst•red Charlty numbor
SC005899
Principal addre55
The Murray Owen Centre
Liddell Grove
East Kilbrid8
Pag8 1

rt of the Trustees
e Year Ended 31 D
24
Trustees
Indopondanl EXamI￿r
Accountants Plus
Chartered Certified Accwntants
Unlt 1 Cadzow Park
82 Muir Street
Hamilton
ML3 6BJ
Approved by order of the board of trustees on
behalf by..
161 bJ25
and slgned on Its
Page 2

In
end8nt
ingrfs Re
ast Kil
ride Communit T
rt to the Trus
Independent •xamIn￿$ raport to the trustogs of East Kllbride Communlty Transport
Scheme
I report to the charlty trustees on my examinatlon of the actwnts of East Kilbride Community
Transport Scheme (the Twst} for the year end8d 31 December 2024.
Rasponslbllltfes and basts of rnport
As th8 chanty tru8tee8 of the Trust you are responsible for the pmparation of the accounts In
accordance with the requlrements of the Charlties Act 2011 Cthe A(*).
I report in res￿ of my examinatlon of the Trusfs accounts Gqrried out under S8Ction 145 of tho
Act and In ¢arrying out my exarnination I have follow*d all applicablo Diroctk)ns glven by th8
Charity Commkssion under Seclion 145(5Xb) of the Act.
Indopendenl examln•rfs stat•rn•nt
I have completgd my examination. I confim) that no material matters have Come to my attentFon In
connection with the examination giving me cause to believe that in any mat8rlal respect..
8¢countlng record5 were not kept in resped of the Tnjst as requlred by Soction 130 of tho
Act; or
the accounts do r￿t accord with those record6: or
the aCC￿ntS do not comply *lth the applicable requlr8ments ￿nCernIng the form and
content of accounts set out in the Charitres (A¢¢ounts and Reports) Regulations 2008 other
than any requlrement that the accounts give a true and fair which 15 not a m8tt8r
consid8red a8 part of an Independent examination.
I have no concems and have come a(xoss rKJ other matters In ￿nneCtIOn wth the examination to
wthlch 8tt8ntlon should be dravffl In this report In order to enable a prDp8r understanding of the
accounts to be reached.
Accountsnts Plus
Chartered Certified A¢¢ountants
Unlt 1 Cadzow Park
82 Muir Street
Hamilton
ML3 6BJ
Date..
i* goz5
P8g8 3

Statement of Financlal Activt
31.12.24
Total
funds
31.12.23
Total
funds
Unrestricted R8$trirted
fund
fund
Notas
INCOME AND ENDOWMENTS FROM
Donations and legacies
28.511
28,511
26,303
Other tr8ding 8CtNitses
Othor Incomg
42,710
42.710
28,646
13,000
Total
71.221
71,221
67,949
EXPENDITURE ON
Charltablo a¢tlvltle8
Charitable Actsvilias
62,168
62,168
43,397
Other
14.878
14.878
15.683
Total
ri.046
77,046
59,080
NET INCOMEIIEXPENDITUREI
(5.825)
(5,825)
8,869
RECONCILIATION OF FUNDS
Total funds brought forward
51,896
51,896
43.027
TOTAL FUNDS CARRIED FORWARD
46,071
46,071
51,896
The notes fom part of thgse financial statomgnts
Page 4

31.12.24
Total
funds
31.12.23
Total
funds
Unrestrtcted R8stricted
fund
fund
Notes
FIXED ASSETS
Tangible assets
909
909
210
CURRENT ASSErs
Debtors
Cash al bank and in hand
25,461
20,697
25,461
20,697
39,166
13,432
46.158
46,158
52.598
CREDITORS
Amounts falling due within (ne year
(996)
(996)
(912)
NET CURRENT ASSETS
45,162
45,162
51,686
TOTAL ASSETS LESS CURRENT
LIABILITIES
46.071
46.071
51,896
NET ASSETS
46,071
46,071
51,896
FUNDS
Unrestrfcted funds
46,071
51,896
TOTAL FUNDS
46.071
51,896
ncl I $18tements wer8 apw)véd by the Board of Twste8s and authorfsed for i88ue on
. and were signed on its behalf by..
The notes form part of these financial ststements
Page 5

N tes to the Financial State
forthey rEn
31 December 2024
ACCOUNTING POLICIES
Basls of preparfng the flnanclal sL*ments
The financial statements of the Charity. ¥yhich is a public benefit entity under FRS 102. have
b88n pr8pared in aC￿rdance with the chari￿s SORP (FRS 102) 'Accounting and R8POrtlng
by Charities.. Ststement of Recommended practi(￿ appllcable lo charltles pr8parlng thelr
ac¢ounts in accordance with the Financwl Reporting Standard applicable in the UK and
Republic of IreLarKI IFRS 102) (effective 1 January 2019),. Financtal ReportFng Standard 102
The Financial Reporting Standard appli￿1￿8 in the UK and Republic of Ireland, and the
Charities Act 2011. The financial statements have been prepared under the historical cost
convention.
Inconie
All incorne Is recognls8d In th8 Statement of Flnanctal Actlvlt18s once the charty has
entitlement to ihe funds. It is probable that the in¢ome wll be received and Ihe amount can
be measured reliably.
Expenditurn
Llabilities are recognised as oxpenditure as s(M)n as there is a legal or constructrve obllgalion
committlng the charfty to that expendlture. ft Is probable that a transfer of economic benefits
will be required In settlement and the anNJunt of the obligatK)n can be me8sur8d re118bly.
Exp8ndltur8 Is accounted for on an accruals basls and has begn classified under headings
that aggregate all cost related to the category. Where costs c8nnot b8 directty attributed to
partI￿lar headings they have been allocaled to activities on 8 basis consistent with th8 use
of resources.
Tangibl• fix•d uMt•
DepreCia￿n is prov￿ed at Ihe folkmilng annual rates In ￿ler to ￿te off each asset over its
estlmated useful lrfe.
Computer equipment - 15% on reducing balance
T•x•lion
The charlty is exempt from tax on Its tharilable actMlle8.
Fund accountlng
Unrestricted funds can be used In accudance wlth th8 charttab18 obJ8CtIves at the dlscretlon
of the trustees.
Restricted funds can only bo used for partiojlar re81rided purpo808 Within the objects of the
charity. Restrictions arise then speclfied by th8 donor or when funds are raised for
particular restricted purposa$.
Further explanatron of the nature and purpose of each fund is inclLKled in the notes lo the
flnanclal statements.
Pansion costs and other post4otirernont bonofits
The charity operates a defined (x)ntribution pension scheme. Cont￿but10nS payable to the
charity's pension stheme are tharged to the Statement of Finan¢ial Activilies in the period
to which they relate.
Page 6
contlnued...

Trans
ort Sch
I Statem8n
forth Y
r Ended
OTHER TrADING ACTMTIES
31.12.24
31.12.23
Fundraising events
Bus hire Incorne
2,394
40.316
28,646
42.710
28,646
TRUSTEES. REMUNERATION AND BENEF￿3
Th8r8 were no trustees, remunèratii)n or 0th8r benefits for the year ended
31 De¢8mber 2024 rMN for the year ￿ded 31 December 2023.
Trust•o$' •xp•n$os
Ther8 were no truste8S' 8XP8nses paid for th8 year ended 31 Doc8mber 2024 r#x for the
year ended 31 December 2023.
COMPARATIVES FOR THE STATEMENT OF HNANCIAL ACTMTIES
Unrestricted Restricted
fund
fund
Total
funds
INCOME AND ENDOWMENTS FROM
Donatlons and leg8¢ie$
26,303
26.303
Other trading activitie8
Oth8r Income
28.646
13,000
28,646
13,000
Tolal
67.949
67,949
EXPEP4DITURE ON
Charltablo actlvltl••
Charltable Activliies
43.397
43.397
Other
15.683
15,683
Total
59,080
59.080
NET INCOME
8,869
8,889
RECONCILIATION OF FUNDS
Total funds brought forward
43.027
43,027
TOTAL FUNDS CARRIED
FORWARD
51,896
51.896
Pago 7
cthtinued...

E t Kilbride
omm
f r th Y8ar Ended 31 D8cember 2024
TANGIBLE FIXED ASSETS
Computer
equlpment
C03T
Al 1 January 2024
Additsons
210
859
At 31 D8c8mber 2024
1.069
DEPRECIATION
Charge for year
NET BOOK VALUE
At 31 D8cember 2024
909
At 31 December 2023
210
DEBTORS: AMOUNTS FALUNG DUE wrrHIN ONE YEAR
31.12.24
31.12.23
Trade debtors
Other debtors
Prepayments
5,130
18,779
1,552
4,460
33,473
1,233
25.461
39,186
CREDITORS: AMOUNTS FALUNG DUE WIThIN ONE YEAR
31.12.24
31.12.23
Other creditors
912
MOVEMENT IN FUNDS
Net
movement
in funds
At
31.12.24
At 1.1.24
Unr•strlct•d funds
General fund
51.896
(5.825>
46.071
TOTAL FUNDS
51.896
{5.825)
46.071
Page 8
contin(￿d...

mrn
ole t the Financial
rEn
nts- contin
24
MOVEMENT IN FUNDS - contlnued
Net movement in funds. induded in the above ar8 as folltY4VS:
Incoming Resour￿5 Movem8nt
resources expended In funds
Unrestricted funds
General fund
71,221
177.046)
(5,825)
TOTAL FUNDS
71.221
{77.046)
(5.825)
Comparallves for movem•nt In funds
movement
In funds
At
31.12.23
At 1.1.23
Unreslrfcted fund•
General fuThJ
43,027
8,869
51,896
TOTAL FUNDS
43,027
8,869
51,896
Comparative net movement In funds. Induded in the above are as fdlow3:
Incomlng Resources Movement
resourcas
8xpendad
in funds
Unr•strf¢t•d funds
General fund
67.949
(59,080)
8.869
TOTJL FUNDS
67,949
(59.080)
8.869
A current year 12 rrM)nths and prior year 12 months cwnbined posltlon Is as follows:
Net
movement
In funds
At
31.12.24
At 1.1.23
Unr•stTicled ftinds
General fijnd
43.02T
3,044
46,071
TOTAL FUNDS
43,027
46.071
Page 9
continued...

t Kilbri
ommun
r Ended 31 December 2024
MOVEMENT IN FUNDS - ¢onllnued
A current year 12 months and prk?r year 12 months combined net movement in fund8,
included in the above are as follows:
Incoming Resources Plovemenl
resources
expended
in funds
Unr08trlcted funds
General fund
139.170
{136,126)
3,044
TOTAL FUNDS
139.170
(136.126)
3,044
RELATED PARTY DISCLOSURES
There were no related paty transactions for the yèar ended 31 December 2024.
Page 10

statemenl of Fi
l Activiti
24
31.12.24
31.12.23
INCOME AND ENDOWMENTS
Donallon3 and loqacies
SPT Funding
Scottish Govemment grant
South Lanarkshire Coun
The c￿operatiVe
19,088
2.767
6.656
15,000
4,463
5,552
1.288
28,511
26,303
Other tradlng aGIfvItI•s
Fundraising events
Bu5 hlre Income
2.394
40,318
28,646
42.710
28,646
Other Income
Sundry Sncome
13.000
Total Incomlng resourc••
71.221
67,949
EXPENDrruRE
Charitabl• a¢liviti
Wages
Penslons
In8uran¢e
Telephone
Postage and slationery
Driver c08ts
Sundries
Donation8
Bus lease
Workwear
Computer equipment
34.280
154
20,733
380
2,173
657
414
8,373
644
250
7,705
702
411
12,384
40
100
9,248
89
160
59,912
41.329
Other
Motor exp8ns88
Subscrlplions
Computer ¢08ts
Glfts
14.718
80
80
14.684
171
328
500
14,878
15.683
This page does not f<)rni part of Ihe slalutory financial statements
Page11

Kilbri
ommunli Trans
nt
for the Year Ended
1 December 2024
31.12.24
31.12.23
Support ¢o$ts
Managemgnl
GCVS charges
1.260
1,096
Governancè costs
Accountancy and legal fees
972
Total r880urce8 eXp￿ded
77,046
59.080
Net {oxpendltureylncom8
(5,825)
8.869
This page does not fc*m part of th8 statutory financial ststemgnts
Page 12