Charliv regtstyothn number: SC006883
TRIRATNA GLASGOW
TRusfEES' REPORT AND
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
A&A Accountlng Urnlted
1037 5auchlehall Street
Glasgow
G3 Trz

Triratna Glasgow
Contents
P•ga
Tru5tees' Report
Independent Examlnevs Report
Ststement of nrsanclal Athvl
Starement of Finandal P05iilon
Notes to the Financial Statements
The following pages do not form part of the stsbjtory accounts..
Detaikd Statement of ￿nancIal ActNities

Triratna Glasgow
Trustees, Report For The Year Ended 31 March 2025
The trustees present thelr ￿port and the fiThanoal ststements for the year ended 31 March 2025.
Objecthies and Artlvltles
Alms arbd ObJe¢tlves
The oblett of the A5soclatlon Is the advancement of the Buddhlst prnctlce, in particular bv..
1.1 Encouraglng member5 and others to Ilve In accordan￿ wlth the teachlngs of the 8udt1ha,'
1.2 Supporting ordained members of the Triratnè Buddhist Order, at the dlscretlon of the Coundl of the AssoclatloTh;
1.3 Maintaining c105e cornmunlcèt¢on with and worklng under the gUIda￿e of the Trfr4tn• Buddhlst Order arsd Sn aJ-
operdtlon with other groups wlth the same objects,.
1.4 Uslng applicaUons or the Buddha's teachlng to promote the h￿1th and well-belng cf all.
Publlc BeTr￿lt
To follow the prjnciples and practices of Buddhlsrn. teachin9 mindfulness, medltaUon and Buddh15rn ¢L75ses, weekly Dhami
rtlght classes. run weekend day fe5tivèls. and w0￿shopS by vlsltlng teacher5.
The irustee5 eonfim) that they have complled wlth the requlremerbts of Secilon 17 of the Charltyes Act 2011 to have due
regard to the Charlty Commlsslons guSdance on public benefit.
Ref•rnnc• •nd Admlnl#tratlv• D•t•ll$
Trustees
mr44a14#￿ L)Onxl d All
Ms Hilary Barclay
Ms Anne Mcmillon
Mr Ross MacKay
Ms Sarah Nixon (appointed 1310712024)
Ms Margaret Graeber
Ms Wendy Cl6rk lappolnted 13107120241
Ms Jennlfer Jones
Ch•rtty Numb•r
SC006B83
Prlnclpal Addrw
Glasgow Buddhlst Centre
2 Wood51de Crescent
Gl3¥0
G3 7UL
Independent Exarnlner
A&A AccountSng Umlted
Page I

Trlratna Glasgow
Trustees. Report (continued)
For The Year Ended 31 March 2025
The trustees. report was a
roved b the board of trustees and slgned on Its behall by:
Ms Hilary Bartlay
Trusttt
2910312026
Page 2

Trlratna Glasgow
Independent Examlner's Report to the Trustees of Trlratna Glasgow
For The Year Ended 31 March 2025
I report to the trustees on my examlnation of the ac£ounts of Trlratna Glasgow {the Trust) for the year ended 31 March 2025.
Responslbllltles 4nd Basls of Report
As the thority irustees of the Trust you are responsible for the preparauon of the accounts In accordantt with the
requirements of the Charities Act 2011 fthe Att'l.
I ¥eport In rESPECt of my examlnation of the Trust's accounts carrled out under sertlon 145 of the 2011 Act and In carylng
out rny exominallon, I have followed the appll¢able Dlrectlons glveft by the Charity CommSssion under 5e¢tlon 145(5llbl of
the Art.
Independent ExamIne￿a Statement
I have completed my examlnatlon. I conflrm that no material matters have come to my attenvon In connertton wlth the
examination givlng me cause to believe that In any rnaterial respect..
l. accounting records were net kept in respect of the Trust as ￿qUIred by section 130 of the Act. or
2. the accounts do not accord wlth those records,. or
3. the accounts do not comply with the applicable requirements contrrning the fomi and con￿nts of accounts set out In
the Charities (Accounts and Reports) Regulatlon$ 2008 other than any requirement that the accounts give a 'true and
falr vlew, whlch Is not a matter considered as part of an Independent exominatloTr.
I have no concerns and have corne across no other rnattefs In connection with the exarnSnaJon to whSch attentlon Should be
drawn In thls report In order to enable o proper understandlng of the accounts to be reached.
A&A Accountlng Umited
2910312026
Paqe 3

Trlratna Glasgow
statement of Financial Activities
For The Year Ended 31 March 2025
2025
Unrestrlcted Unrestrlrted
funds
funds
2024
Not•s
INCOME AND ENDOWMENTS FROM:
Donations and legacies
other tTrding athvityes
ITrvestrnents
44,399
5,505
61,686
41,407
44.655
111,590
86,062
EXPENDrnIRE ON:
Raislng funds
{105,723)
(66,455)
NET INCOME
5,867
19,607
NET MOVEMENT IN FUNDS
5,867
19,607
RECOMCfUATION OF FUNDS:
Totsl funds brought forward
900,503
880,896
TOTAL FUNDS CARRIED FORWARD
15
906,370
900.503
The notes on pages 6 to 9 fom part of these finandal statements.
Pag¢ 4

Trlratna Glasgow
statement of Financial Posltlon
As At 31 March 2025
2025
2024
Unrestrlrted
funds
Total
funds
Notes
FIXED ASSETS
Tangible Assets
12
680.000 425.000
680,000
425,000
CURRENT ASSErs
Investments
Cash at bank and In hand
13
16,000
211,450
400,000
75.503
227,450 475,503
Credltots: Amounts F•lllng Due Wlthln One Ye•r
14
(1.0801
NET CURRENT A5sEfs (LXABILrriES)
226,370
475.503
TOTAL A55Efs LES5 CURRENT UABILMES
906,370 900.503
NET A55Ers
906.370
900,503
FUNDS OF THE CHARir
Unrestrirted Fund5
906.370
900,503
TOTAL FUNDS
906,370
900,503
On behalf of the board
Ms Hilory Barday
Trustee
2910312026
The note5 on pJges 6 to 9 fom) part ot these flnandal ststements.
Page 5

Trlratna Glasgow
Notes to the Financial Statements
For The Year Ended 31 March 2025
l. General Infonnat]on
Triratna Glasgow is an unincorporated charity registered with the Charity Commlssion, reg1ste￿d charity number SC006883.
The prlnclpal address Is G1è5gow Buddhlst Centre, 2 Woodslde c￿stent, Glasgow, G3 7UL.
2. Accountlng Pollcles
2.1. B&#ls Of Preparatlon of Flnanclal Ststém¢nts
The financlal staternents have been prepared in accordantt wlth the Charfties SORP IFRS 1021 'Attountyng and
Reportin9 by Chanties: Staternent of Recornrnended Practice appllcable to chanties preparing their accounts In
ccordance with the Financial Reporting Standard applicable In the UK and Republlc of Ireland IFRS 1021 leffertlve I
January 20191" Finanoal Reporting Stsndard 102 'The Financial Reporting stsndard applicable in the UK and Republic
of Ireland" and the Charitie5 Act 2011.
The thadty Is a Publlc Benefit Entlty as deflned by FRS 102.
2.2. T•nglble Flxed Assets and DepretlalloTh
Tangible fixed assets are measured at cost less accumulated depretiation and any accumulated lrnpalrment 10$5es.
Depreciation Is provided at rates calculated to ¥Yrite eff the cost of the fixed a$set5, le55 their estimated residual value,
over their expected useful lives on the followlng base5'.
FreÈhold
0%
2.3. Cash and Cash Equlvalents
Cash and cash equlvalents are baslc flnandal assets and Indude cash In hand and deposlts held èt rall wlth banks,
other short-terrn highly liquid investrnents that mature in no rnore than three months from the date of acquisition and
are readily Convertib￿ to a knosyn arnount of cash with Inslgnlficant risk of change in value. and bank overdrafts.
3. Income from Donatlons and Leg•des
2025
2024
Unr¢strlct¢d Unrestrlcted
funds
funds
Donauons and glfts
Gift ald
38,968
5.431
35,752
5.655
44.399
41,407
4. Incom* from Other Tr•dlng Artlvltl
2025
2024
Unrestrlcted Unrertrlrtod
fund8
funds
Fundralslw events
5,505
5. Invo•tm•nt Incom•
2025
2024
Unrestrlct•d Unr•strl¢ted
fun
Inter¥t frgm Investments
Aents received from Investment propertles
34,998
26,688
19.049
25.606
61,686
44.65S
Page 6

Trlratna Glasgow
Notes to the Financlal Statements (continued)
For The Year Ended 31 March 2025
6. Net Incomel{Expendlturn)
The nel Incorne Is ststed after charyingllcreditlngl:
2025
2024
Research and developments costs
1.296
1.188
7. Analys1* ol Expendltur•
2025
Actlvlti
ndertaken
dlrectly
Support
15ee note 81
Totsl
Raising fvnds
18,797
86,926
105.723
2024
ActJvltle5
undertake
dlredly
Support
(see note 8)
Total
Raising fvnd$
16,059
50.396
66.455
8. Support Colts
2025
Ralslng
fvnds
Employee cosrs
General admirkistradon
34,596
52,330
86,926
2024
Ralsln9
funds
Employee
General admlnistravon
43.189
7.207
50,396
9. Indep•ndent Ex*tnln•r'J R¢muneratl•n
2025
2024
Independent ex)rnlnaUon of the flnanclal statements
1,080
Page 7

Trlratna Glasgow
Notes to the Flnanclal Statements (contlnued)
For The Year Ended 31 March 2025
ID. Staff Costs
Staff costs were as follows:
2025
2024
Wage5 and sahdes
Social se￿rity costs
31.872
969
24.963
3,780
32,841
28.743
No employees recelved employee beneflts lexduding employer penslon costs) for the reportyng perlod of more than £60,000.
11. Avernge Number ot Employees
Average number of ernployees durfng the year wa5.. 112024.. 11
12. T•nglble Assets
Land &
Property
Freehold
Colt
As at l Aprfl 2024
Add¢bons
425,000
255,000
As at 31 March 2025
6BO.OOD
Net Book Vatue
As at 31 March 202S
680.000
As at l Aprll 2024
425,000
13. Curr•nt As*•t Xn¥¢stments
2025
2024
Unllsted Invesbrents
16,000
400.000
14. Cvedltors: Am?unts F•lllng Due W1th5n One Year
2025
2024
Trnde ¢rtdltors
1,080
P)ge 8

Triratna Glasgow
Notes to the Financial Statements (contlnued)
For The Year Ended 31 March 2025
15. Movement In Fund*
As at l AprFI
2024
As•t31
Expendlture March 2025
Income
Unrtstrlrted fund
General:
General unrestrfcted fvnd
900.503
111,590
1105,7231
906,370
Total funds
900,503
111.590
1105.723)
906.370
As at l Aprll
2023
Asat31
Exp•ndltyr¢ March 1024
Unrestrlcted fund*
GÈneral.'
General unrestrtcted fuThd
880.896
86.062
166,4551
900,503
Total fund¥
880.896
86,062
166,4551
900,503
16. Tr•nMrtlons wlth Trurtees
Durfjng the year the expenses relrnbursed to the trustees or pald dlredly to thlrd porties were as follows:
2025
2024
17. Related Party DIKIosu
Page 9

Trlratna Glasgow
Detalled Statement of Financial Activitles
For The Year Ended 31 March 2025
2025
2024
Totsl
fund•
Total
funds
INCOME AND ENDOWMENTS FROM:
Donatlon* and legacle5
Donatlons and 911ts
Donations from indlviduals
Gifts in kind
Admissions
32,4Ql
5.218
2B.913
5,068
418
1,349
5,431
1,353
5,655
Glft ald
44,399
41,407
Other tr*dln9 actlvltlÈ¥
Fundrnislng events
5,505
5,505
Investments
RenrÈl Income from Investrnent property
Interest from other current asset investments- unlisted
26.68B
34,998
25,606
19,049
61,686
44,655
111,590
86.062
EXPENDITURE ON:
Ralslng fund#
Prerni5es costs
Support and admlnSstratlon costs
Research and development cost5
Wages and salarie5
trnployers NI
Stsff trainlng
Trdvel and subsistettce expenses
Repair5, renewals and malntenan
IThsurance
Prfntlng, I￿s￿ge and ststlonery
Advertising and marketing costs
Training semlnar5 and workshops
Telecornmunicatlons ènd data costs
IndepenLlent examlnerfs fees
Legal fees
Bank charges
Charitable donatlons
Sundry expenses
Sundry type A
116.019}
11.482}
11.296)
131,8721
19691
11,7551
114,8711
11,1881
124.9631
13.780)
114,4461
11.3491
16861
15391
18151
11.163)
17011
127.3Q21
11,5161
(1.576}
{1,8371
11,2291
11,080)
116.2611
{1861
19351
13)
140SI
1270)
{Isoi
11,S341
1105.7231
{66.455)
1105,7231
166,4551
Nrf INCOME
5.867
19,607
Page lo

Trlratna Glasgow
Detalled Statement of Finonclal Actlvltles (contlnued)
For The Year Ended 31 March 2025
Page 11