EBENEZER EVANGELICAL CHURCH TRUSTEE REPORT AND ANNUAL ACCOUNTS FOR THE YEAR TO 31 MARCH 2026 CHARITY NUMBER: SC016143
Trustees, Annual Report for the period I Period start dale Period end dale From Reference and administration details Charlty name EBENEZER EVANGELICAL CHURCH MOTHERWELL Other names Gharlty Is known by Registered charity number (If any) SC016143 Charity's princlpal address Mabel Street Motherwell Postcode ML1 1TY Names of the charlty tru$tees who manage the charlty Trustee name Office Ilf anyl Trustee Trustee Trustee Trustee Trustee Dates a¢ted If not for whole ear Name of person lor body) entiued toa olnt trustee ifan Robert Lawrie Jim Wilson Alan Russell Geoff Tucker Ken Gray Evangelical Church at the AGM 10 12 13 14 15 16 17 18 19 20 Names of the trustpes for the charity, if any, (for example, any eustodlan trustees) Name Dates acted 11 not for whole ear TAR December 2005
Names and addresses of advlsers Ioptlonal Information) e of advisor Name Address Name of chief executive or names of senior staff mgmbers (Optional Information) Structure, governance and management Descrlption of the charity's trusts Type of governing document How the charity is constituted Trust Trustee selection methods Appointed by Members al the Annual General Meeting Addltional governance issues (Optional informatlonl You may choose lo include additional information, where relevant, about.. Policies and protsdures adopted for the induction and training of Irusle8$. The charity's organisalional structure and any wider network with which the charity works. Relationship with any related parties. Trustees, consid8ralion of major risks and the system and procedures to manage them. Ob ectives and activities To lea¢h the 8ible and thus encourage people to worship God To provide fellowship and pastoral support to both members and people of the local community. Summary of the objects of the charity set out in its governing document TAR December 2005
Weekly worship seNice. Family orientated community family service. Bible teaching meetings. Times of prayer together as members. Clubs and activities for children and young people. Food distribution program. For part of the year many of these activities were Gurtailed due lo Covid- 19 but as the year ended many were now back up and running again. Summary of the main activities in relation to these objects Addltlonal detai15 of objectives and activities (Optional Informatlon) You may choose lo include further stalemenls, where relevant, about.. Policy on granlmaking Poli¢y programme related investment Contribution made by Volunteers Achievements and performance Summary of the main achievements of the charlty during the year The charity achieved all Ils man a¢livities and objectives. All activities mentioned above were organised and ran successfully throughout the year. TAR Decgmber 2005
Financial review Brlef stgt•ment of the charity's pollcy on reserve8 3 month8 oper8ting costs aro mainl8inod al all times. Detalls of any funds materlally In deficit None Further financlal revlew detalls Ioptlonal Informatlonl You may choose lo indude additional informallon. where relevant 8bout-. Th8 charity's prtneipal source8 of funds linduding any fundrai$ing1. How 6xp8ndilure has supported the key obj*clive$ of the charity. Investment policy and objeelives includlng any ethical Inve8lmènl pollcy adopted. Other optional information Declaration The trustees declar¢ that they have approved the trustees, report above. signod on b&half of the ¢harit$ trustees Signature($l Full namEI81 Positlon leg s6¢retary. chalr, etcl Chalr Dat& TAR Decembor 2005 Oq 19 A 9 2i.ti. ai 12".X.. K"i Tail <-.....,..
".1 N?.-è-EBEIYEZER EVAi•uELICAL GHLIRCH SC016143 Annual accounts for the eriod Pefjod end dale CC17a Period start d8le 0110412025 To 3110312026 Section A Statement of financial activities Re51ricted inGom¢ fund# Detslls of own analys1$ Unrestrl¢ttd fund# End0•t Total thi funds year Total laBt y•ar Recommended ¢ategorfe$ by a¢tl¥lty Incomlng rasourees (Not• 31 Incomlng ro$ource8 from 98n•rated funds F01 F02 F03 F04 F05 81,165 81.165 68,356 Vduntèrylncomè S01 AcvIll9810[ w9roling fund$ S02 4,880 512 4,804 1,046 Invèsiment Inme so3 512 Incemlng rèsourcès from charitablo adlvities Olher In¢omlng r•&ourG• S04 S05 Total incoming resources s06 Resources expended (Notes 4.81 Costs of Gentrratlrtg Funds ts Olger8n volunlary inwrn9 86,357 74,206 S07 FuTrdf8iSin0 trddin¢ costs soa Inv•stmertt managementCOBts Sog harltsble actlvStle8 S10 26,423 47,414 Governance costs S11 74,588 44.179 Other re8ourc88 8xpondod S12 Total rosour¢es oxpended s13 101,011 101,011 91.593 Net Incomin(Ovt90lngJ re50urres before transfers s14 Gross transfars botw••n fund$ S15 -14.654 14.654 -17,387 Net Incomlng/{outyoingJ resources before other recognis8dgains/flosses) s16 -14.854 14,654 17,387 Othgr r•cognlsad gainslllossasl Gains and 105se5 on revaluation of fL%ed a55ets for the ¢harity's own use Gains and Ios5e5 on investrnent assets $17 $10 Net movement In funds s19 -14,654 1,368.723 14,654 1,368,723 Totsl funds brought fornard Total funds carried forward s21 S20 1,386,110 1 354 069 1,354.069 1.368,723 CC17a (Excell 2610812026
Section B Balance sheet R93trlc16d In¢ome funils Unr¢$trlcted fund8 Endowm*nt Totsl this funds year Totsl last year Fixed assets Tangible a8s•t¥ F01 1,250.000 F02 Ihlotè 91 F03 F04 1,250,000 F05 1.250,000 Investments (Note 101 Tot•1 fixed8ss•ts Current assets Stock and work In progr•ss Debtors (Note 111 Ishort term) Investm8nts Cash at bank and In hand TotaleurTentas58ts bo9 1.250,000 1,250,000 1,250,000 80¢ 07 O(frO Creditors: amounts falling ijue withln One y8&r (Note 121 B1 Net cutrent as$ets/{liablllfi8$J rotal assets 1g$s currentllabllltlgs 912 Credltors: amounts falllng due after one yèBr INote 121 Bla Provlslons for liabillllts and charge5 Bf4 Net assets Blj Funds of the Charlty 4S Unro$trict8d funds 817 R&8trlrtèd Income fund5 (Noto 131 EndDwmtnt funds INote 131 819 Totel fund$ 520 Slgned by one or th tsusleeg on b6half of all the trustees Slgnalure Pdnt Name Dale uf CC17a IEKcall 1WO8tt028
Section C Notes to the ac¢ouftts Note 1 Basis of preparation This seetion should be eomplètedby all eh8rtties. 1.18asis of accountlng These accounts have been prepared on the basls of hlsloric cost {excepl thai InvÈsimen18 are shown al market value) in accordance wlh.. The Charitie5 and Truste¢ Investment ISc¢Uandl Act 2005 and the Charitles Acc¢unts (Scolland) Regulations 2006 Accounting and Reporting by Chèrille3- Slaternenl of Recommended Practice {SORP 20051., and with" Accounting Standards., -Ticrf a$ ar.r0&t¢' if 811 relevant disclosure5 shown in the pa¢k h8ve b&en given thèn please tick-Accouniing Standards.; f disrJ05ures oomplet•d In the$ accounts have been restrictvd lo those required by tr)e FRSSE, then please tIGk "Financial Rewrtlng Standards for Smaller Entorprises IFRSSEI.. If no departurés from the chosen slsndards have bèèn mats thén delet these word8.' Oth95 glve detai18 of any changes In the bc.yes 1.2 Change in ba3is of aGcounting There ha5 been no changè to thè accounting policies (valuation rules and methods of a¢countingl since last year Ig except lor Ihe followngl. 5 rl no changés have bèen made to accoundno policies then deite these words. 1.3 Changgs to prevlou5 ae¢oLtnts No change5 have been rnade lo accounts for previous year8 SR rf no changes h£ve made lo accounts for pr&Mou5 periojs then dlele these words. CC17a IExcll 25108f4026
Section C Notes to the accounts lcontl Note 2 Accountlng policies rhAs standardllstof 8CCOUlrtin9 policles has been applied by the charlty eYceptforthos& déht•d. Where 8 diif8rnntor addilionelpolkyhas been adoptedth8n fhl$ Is defalledln the btrx b810w. INCOMING RESOURCES R8coanltion of Incomlno resour¢es These are Intltsded in Slalernent of Finèn¢ral ArJi¥llS ISOFAI when.. the charity borneS enlilled lo the resourc4s', the Irv¢iees are virttsallv Certain Iheywill recer#& the resources., and Ihfr moThrlèry value can be me&sured with sufficient reliability. Where incomin9 resources have related e¥penditure las vffjlh lundraEsing or ntract inctrmel the incomiry re50ur¢es and relaied ewendilure are reported gr0$5 in th6 SOFA. Gr8nis afid don81ions are only included in the SoFAwhèn the charfty has uncondition81 oDlillemenl to the r950urces. Incomlny Tesourc¢s with related expenditure Grants and donations T4x r•clalrns on dOnaonS and gifts Contractual Income and pèrformance related grants Incomifjg resources Irom lax reclaims are includtrj in the SOFA at th• same timo 8S the gfft to which they relale. Thi5 18 onFy ind{jed in Ihé SOFA once the rolaled good$ ur seMce$ have been d8livarèd. Gift8 in klnd Gills In kind are accounted for81 a reo$onabk ?$limaie of thairvalu• le the charity or thé amount aclually reali5d. Gills In kind for 5a18 ordlsiribution are nduded in th8 a¢¢ounts as glfts only when sold or disliibuted by the chaAty. Gifts in kine for use by the charity are induded in the SOFA a$ Incoming rè$ourcas when re¢pivib1e. rhè5e are only included in incomlng re50ur¢es Imlh an equ81&1 Bmounl in resources tPnded) whvr6 the benefit lo the charity is lSOatrIY quaDllliabLp. measurable 8nd molerial. The value placed these re50urce$ is the eslinaléd value lo th8 thar5tyof the serwcé or faulity reeeived. The value of any voluntary hélp recèivéd Is not ineluthd in the acc¢unls bul do5crfoed in thè Irust@ws' annual report TrL% is includeij in the 8xouni$ when recOlable. Invèttmenl galn$ and 105508 Thi5 includés any 98in or Ioss On the Sa of Inve51menl8 and any galn or b55 restslting from revaluing InvÈ8lmenls lo matkel value al the end ol lh& year. Oonated 8èT¥ifeS and Volunteer htrlp Investmoni Incomo EXPENDITURE AND LIABILITIES L13blllty re¢ognltlon Liabilitie5 are reco9nised as soon as there Is 8 011 or ¢onslTUCtlve cblvJallon commllling the Ghkrity lo pay oul r¢50yrc&s. Include costs of the preparation and examinallon ofsiaiutory accounts. the $t$ of trusiee meeting% and cost of any legal advl¢tr to Irustpes on Jovfyrnance ore¢n51iliibonal mallers. WhÈfe the charity gives a grantwilh eondilion5 for ils p8ym8nl being a 5ptcilic18l tsf 5eryic8 or otslpul lo be provided. such grants arÈ only racognistd in the SOFA onGe Ihe recipient of tha gr8nl ha5 providéd the specrfI8d seFvire oroLPtpul. Thse ale On rÉ¢ogn15ed in the ac¢¢unts whon a commltrn8nt has been made and there are no conditions lo be mel relaling to the grant which rèmain in the control of Iho charfty. Support cosls include central functions and h8ve been 211outed lo a¢livity c05t calgorles on basls con:'stentwilh the use of resoufces. eg 811&119 prwrty costs by floor 8$, orper capila, 51aff costs by the bme spent and oihorc0518 by their usage. Govèrnance costs Grants with perfonnancè Conditions Grants payable wllhout performanc8 condlUon$ Stspport G0518 ASSETS Tangiblo flxèd asots for use These are cpil?lis4d rf they can be used for morè than on8 year. and w5tat16a•l £500. They by Gharlty are valued 81 tO5t or a reasonable value on r8celpl. Investsnents InèS1meThIs qL50ted on a reeognised stock ¢xfjh3nge ara valued atrnaFkel v8lue at th8 yaar end. Other inv8slm6nl as5els are included al tWSlees' best 881imaie of mark'et valu?. Stocks and work in proyrèa$ These are valued al the lower uf cc5t or maFkel v8lue. POLICIES AOOPTED ADDITIONAL TO OR DIFFERENT FROM THOSE ABOVE CC17a IExE¢ll Z510812028
Section C Notes to the accounts {cont} Note 3 Analysis of Incomlng resources Incomin9 sourceS may be furtheranalysodif fhis would hèlp the reader of the accounts. Thls year L8St y&ar Anal sls Gener81 Offerin - Non Grft Aid erAal CollectlOll5-Gift Aid General Gifts - Gift Aid Gift aid Sunda Collections .lal Offerin s non Gift Aid Income Tax Relief Widows & Orphan5 Fund Sunday Kidz Lega¢ies Voluntsry Ineome 20,900 4,606 39,761 31.220 14,431 3,190 8,700 2.930 5,000 81,165 rotsi 68.356 Actlvitiès for gen8ratlng funds Elerlricily Refund Kidz Inc r&lumed cash P3nto Reachoul H311 use in¢ome Youth Quiz Chiistmas Card Collection Prer Is Book income Sund income 4.804 Total 4,804 Investmènt Incom• Interest 512 Total 512 1,046 Incoming SoUrceS from charitable activities Totsl CC178 (Excell 2510812026
Section C Notes to the accounts Iconti Note 4 Analysis of resources 8xpended Resources èxpènd?d may be further analysed If thls would help thè reader of the accounts. This yoar Last yoar Analy545 Charltablt activiU•s Gift5 Le Sc Childrell's Work CMCT Child 21015 41316 1203 435 onsorshi Widttw5 and Or hans Ex 360 enditure 3845 26.423 Total 47,414 GovernanGg COSt5 Caterin Co Cleanin Commvnion Cu Insur8nce¥ Literature hl & Heal recialion Posta Ex enses ht li¢ence 426 548 4,190 872 532 4.588 2,339 1,938 14.154 2,346 2,763 8,792 & Statione Re Tele hone S eaker Ex enses Profession31 fees Misc Ex ense¥ 35,223 738 5,292 660 4.790 9,740 8,11S Totsl 74,588 44.179 CC17a IErfrell 2510812026
Section C Notes tD the accounts Icontl Note 5 Support Costs Plèase complete thls note if Ihe charity has analysed Its expenses uslng actlvlty catégories 8ndhas support costs. Fundral$lng a¢tivity Charft8bl8 Actlvlty ort cost Govornanc¢ Actlvlty Totsl Cost Total Note 6 Detalls of certain items of expenditure 6.1 Trusfye expenses Please pmvide derails of the amount of any paymént or relmbursement of out-of.pock8t expgnses mad to trustee5 or to thirdparties for èxpenses ineurr6d by trtsslees. If no •xpenses were pald, pleasé entor'Non•' In (he appmprlate box(es). Thls ygar NONE Last y88r Numbèr of trustees who were pald expénses Nature of the èxpenses Total amount paid 6.2 Fè•s for gxamination or audSt of the ac¢ounts Please provlde deta115 of the amountpaid foranystatutory ext•mèl$crutlny of accounts and olhtr sèrvices providedbyyourlndependènf examlner orauditor. Mnothing wa5 paldple&5e enterNONE In thg approprlatp box(es), Thls y•er Last year Ind8pgnd•nt &xamlnor's or aydltors. f$es for rèporting on the accounts Other foos (for examplg.- advicè. Gonsultancy, accountancy services) pald to the Independent gxamlnèr or auditor 300 300 CC17a IEx¢ell 25108I202S
Section C Notes to the accounts {contl Note 7 Paid employee$ Pleas• Complet8 thA5 note 11 thé Charlty has any employees. 7.1 Staff Costs This y8ar Last yèar Gross wage$, salaries and b6nefits In kind Employees Natior>al Insuran¢* costs P•nslon costs NONE Total staff Costs 7.2 Averagè number of full-tlme 8quivalent employees In the year The parts of the charlty In which the èmployees work Thls year Number NONE Last yg8r Number Total 7.3 Dèfln8d ¢ontribution penslon Schema Please complete If è defined eontributlon ension scheme Is o Brief dotalls of the sch2me NONE •ratèd. Thls ygar Last year The costs tsl the gch8me to thg Gharlty for the year The amount Of any contrlbutlons Oittstandlng 8t thè year end The arnount of any coThtributlon6 prepald at th¢ y83r end CC17a (EX1) 2510812026
Section C Notes to the accounls (contl Note 8 Grantmaking Pleasé complete this notg if the charity made anygrants or donations whlch In oggrggato form a materlal part of the charitable activitles undertaken. 8.1 Total value of grants Grants to instltutions Total amount £ Grants to individuals Total amount £ Purpose for whlch rants made Total 8.1 Grantmaklng costs If the charlty's accounts aroprepared on tho "a¢tlvlty basls" please give dgtalls of any support cost associatèd with grantmaklng. Please entsr"Nll" If the charfty does not identrfy andlor allocate support costs. Support costs of grantmaking 8.3 Grants mada to Institutions If the Charity has made grants to partl¢tslarinstitutions that are mater181 In the context of Its grantmaklng pleas& glve details of tha instltTJtiDn supported, purpose ol the grant and totalpald to each institution listed. Sufliclent inlormation should be glven to provlde a reasonable undgrstandlnll of the range of Institutions su ortgd. £nil Names of Instltutions Purpose Total amount of rants aid£ rotal grants to instltutlons CC178 (Excell 2510812026
Section C Notes to Ihe accounts cont) Note 9 Tangible fixed assets Please complete thls not& Ilthe charily h•s ¥ny tangible fixed assets 9.1 Cost or valuatlon Freehold land & bulldlngs Other land & bLFllding5 PlaJ)t. machln8ry and Mgtor vehlGle¥ FlxtureB, fittings and equlpment Paym8nts on a¢eount and as¥ets under con8truGtlon Totsl Balance brought forward Additions 1,250.000 4,032 1,254,032 Revaluation$ Disposals Transfers ' alance ¢arried forward 1,250.000 4,032 1.254.032 9.2 Accumulated dgpreclatlon and Impalrmant provl$lons 'Basis SL or FIB SLorR SLorRB SLorRB SLorR Rat• 20'A SL Balance brought fotward Depreciation charge for year Impairn)ent piovisions 4.032 4,032 Rev8luation$ Di5POS315 Transfers. Balance carried fopwarcl 4,032 4,032 9.3 N8t book valu• Brought forward Carried forw3rd 1.250,000 1,250,000 1,250.000 1,250.000 9.4 Revaluatlon If any fixed assets have been revaluedplease give d¢t•il$ Of th• valu•randm•thod oyvaluatlon Th8 buildin s have been Valu b Wh è and Barriè, Chsrtéred Sur¢e ors on 8 relnstètèment ai 10th Novèmbèr ?008 CC17a (Excell 10 251061202fj
Section C Notes to the accounts (conti Note 10 Investmènt assets Please complet6 tlyls notè If the ¢harity has any Investment assets. 10.1 Flxgd assets Investments Carrying {markell value al beginning of year Add.. additions lo investments al cost NONE Less: disposals al ¢arrying value Addlldeductl.. nel gainlllossl Dn r¢valuallon Carrying Imarkell value at end ol year Plaase provid& below.. 10.2 A breakdown of th• market valuoB of Investmgnts shown abovg agreelng with the balance sheet row 803. 10.3 A breakdown of the income from Investments agrgglng with SOFA row SO3. Analysts of investments 10.2 Market value at year enLI 10.3 Incon7e from Investments for th• year Inve8tment propertles Inv85tmenls Ilsted on a recognls6d stock $x¢h4n9¢ or held In common Inv¢stm9nt funds, open ended Investment tornp¥nies, unit tru¥ts or other colle¢tlve Inv85tmgnt schgmes Investm8nts in Bubsidiary or connected undertaklngs and companles Securities not listed on a r8cognlsgd Stock Exchany8 Ca8h held a8 part of the Investment portfollo other Investmènts Total 10.4 Materlal Investment holdings If #ny singl? investment IB material in terms of its vale (for oxample repr980nts more than 5 per cent of the valug of the charity's total inv88tment81 plgaBe provlde details. Investment held Nlarkèt Valu# CC17a (Excell 2510202$
Section C Notes to the accounts Icont) Note 11 Debtor$ and pr•payments Please completg this note if the charltyhas any debtors or re ments. Analysis of debtors Amaunt5 falling duo within on8 year This year Last year Amounts falllng due after more than one year This y84T Last yèar Trade debtors Amounts dug from subsldlary and asso¢iated undertaklngs Oth8r debtors Prepayments znd accrugd In¢oma Totsl Note 12 Creditors and accruals Please complets th15 note if the charity has any credltors or 8ccmèls. 12.1 Analysls of creditors Amounts falling due within ono year Thls ygar Last y•ar Amounts falling du8 after morè than one y8ar This y8ar Last year Loans and overdrafts Trade credltors Amounts due to subsidlary and assoclatgd undertakings Other Creditors Accruals and defarrèd income 30D 300 Total 12.2 Securlty over assets Ifany loan. overdratt or other credltor holds a ¢harge or other securtty overanyassets ofthe charlty ple8se provlde detsils. GC178 iexrell 25108QQ26
Section C Notes to the accounts (¢ont) Note 13 Endowment and restricted Incomè fundg Pl•ase complete this sectlon If the ¢harlty has any endowment or rèstrfctédlncome funds. 13.1 Funds held Plaase glvè a brlef descrlptlon of any of th• followlng type of funds héld by thg ¢harfty.' pemian8nt endowment funds IPEI.. expèndable èndowment ftinds IEEI,. and restricted income funds, includlng speclal trusts, of the charlty IRI. Fund Narna Typo PE, EE orR Purposa and Rgstrictlons 13.2 Movgments of majorfunds Please give details ofthé movements offhe major funds summarls8dln the r•strict•d and •ndowment coJun7ns of the Statement of Financial Activities. FLfnd balances brgught forward Fun balanca$ carrlad forward Incomlny resourcès Outgolng resourees Gains and loss•s Transfers Fund names Total Funds 13.3 Transfers be&en funds Please give deta115 of any transfers bertveen funds. From Fund INam*l To Fund (Namel Reason AmoLFnt CC178 IExcell 25/Qef2026
Section C Notes to the accounts (contl Note 14 Transactions with related partles If the eharlty has any transactions with related partie5 (other than the trustée expenses explained In note 6) detalls ofsuch transactions should be provided in this note. If there are no transactlons to report. please enter"None" In the r•lev8nt boxes. 14.1 Remuneration and benefits Plgase glve the amount of, and legal authorlty for, ?ny remuneration or other benellts paid to a trustee or oth¢r relatedpartles by the charity or any Institutlon or company Connected wlth It. Name of trustee or connected party Lègal authorltylgg order, governing documgntl Amounts pald or beneflt value Thlts year Last year NQNE NONE 14.2 Loan3 Pléase give detalls of and amounts owlng to or from the charity's trustees or other relatedpartles by th charity at thg year end. Nama of trustge or ¢onnected party Amount owlng Th1$ y9ar Last year Legal authority Due to Irustegs and r&lated parties Due from trustees and related partles NONE NONe NONE NONE 14.3 Other transaclion{$l wlth trustees or related parti0$ Please give detai15 of any transa¢don undertaken by (or on bèhalf oo tho charfty In whlch a tnistee or related party has a material Interest. Namp of the trustee or related party Relationshlp to Charity Descriptlon of thg transactlonlsl Thls year Last year ONE NONE GC178 IExcell 2510812028
Section C Notes to the accounts (cont) Note 15 Additional Disclosures The following are sSgnlfl¢ant matters which are not covered In other notes and né•d to be included to provide a proper understanding of the accounts. If there Is insufficlant room hero. pleaso add a separate sheet. NONE CC17a IExcell 15 2510812026
EBENEZER EVANGELICAL CHURCH INDEPENDENT EXAMINERS REPORT ro THE MEMBER8 OF THE EBENEZER EVANGELICAL CHURCH I report on the accounts of the charity for the year ended 31 March 2028 RESPECTIVE RESPONSIBILITIES OF TRUSTEES AND EXAMINER The charity's trustees are responsible for the pr¢paralion of th8 accounts in accordance with the lenns of the Charities and Trustee Investment (Scollandl Act 2005 and the Charities Accounts Iscotlandl Regulaliolls 2006. The charity trtsstees Consider that the audit requirement ol Regulation 10(11 Idl of the Ac¢ounls Regulations does not apply. It is my responsibility to examine the accounts as required under section 44111 Icl of the Act and to state whether parti¢ular mallers have come to rny attention. BASIS OF INDEPENDENT EXAMINER'S STATEMENT My èkamin31ion is carried out in accordan¢e with Regu18tion 11 of the Charities A¢counls {Scoll8ndl Regulations 2006. An exarnin&lion includes a review ol the accounting records kept by the charity aftd coniparison of the accounts presènted with those records. 11 also includ$s conslderalion of any unusual items or disclosures in the accoun15, and seeks explanations from the trustees c¢ncerning any such rnatters. The procedures undertaken do not provide all the evldence that would be required In an audit, and onsaquently I do not express an audit opinion on the vi6w given by the accounts. INDEPENDENT EXAMINER'S STATEMENT In the course C>f my examination. no matter has come lo my attention which gives me reasonable cause to beliève that in any material respect the requirements.. lo keep aGcounling records in accordance with Se¢lion 4411} (al ol the 2005 Act and Re9ulalion 4 of the 2008 Acrounts Regulations. and to prepare accounts which accord with the accounting r¢¢ords and ¢omply with Regulation 9 01 the 2006 Accounts Regulations havè not been mel, or 2. to which. in my opinion, allenllon should be drawn in ¢rder lo enable a proper understanding of the ac¢ounls lo be roached. <1 202 Ken Tail & Co Chartered Accountants 1 Campbell Lane Hamilton ML3 6DB