Page
rRU
The directors present their report and flnanclal scatements tor year
ended 31 Mareh 2026.
R•e•renc• ￿ AdR£n*8trativ• Znt¢)zutl<
Charlty Name
Charity Registrat ion Number
The Levenseae Tru8t
SC026095
Con¥any Reglstration Nutqber
SC171124
Sepa ReglsEration
SLCP/AB1007
Prlnclpal Otfice & Regi8cered Offi¢¢
Levens•ac.
y Forth.
Lanark
MIII 8EP
he aire¢tor8 OE the charltable c¢mp*Jny are ics tru$tee6 for the
purF<J8e of charlty law ar.d throughout chi8 reForr. are collgcciv•ly
reterred co aB th¢ dlr•ctors.
The dlreceorB Bervlng durlng thè year w•re a8 tollow81
C108e
D Doda8
A Gallacher
A Hutson
P Knox-Ile18h Ir•Algned 31/1212Q25
C mccl￿At
e t￿Id00ft Ir••l9ned 31/11/20251
J D Scewart
C(wy 8•¢z•t•xy
J L McOAlloeh
Brlan Malonty,
F.C.C.A.,.
Isa WesE End,
Ile8f Calder
EH55 8EH
Royal Bank of Scotland.
Kopetoun st.-eet,
Batkgate
BH48 4EtI

Page 2
RT
The trustee8 are pleased ca present cheir annual cruBiee$ report
Cogether with the £lnanclaL sraEements of the charity for the year
ended 31 March 2026 which are also prepared to meec the re(Ntrements
for a directors rekX)rt ana accounts for Conpan£e8 Act purposes.
The finaneial staeernenE8 cow)ly with the Char&tle8 and TDJBtee
Invegcmenc Iscotlandl Act 2005. the Charlcies Accounts Iscorlandl
Regulatlons 2006 las amended). the Conpanles Act 2006,
th& Memorandum
and Articles of As¥ociation. and Account'ng and ReportLn9 by Charieies:
Statement of Recon￿nded Praccice appllcable ¢0 charlcie8 preparing
chelr accounts In accordanee with the Pinanclal Reportlng standard
applicable In the UK and Republlc of Ireland IFRS 1021.
Our purpa••• act&v*t*••
The purpose of Ehe charity Is the prowtlon of project$ aimed at
improvernont of the environment In che vlclniry ot Leven8eat In West
Lothl)n. St)uth Lanarkghlrè and ScoEland wide rhr¢ugh ScoEtlgh Sch•ne.
8truetur•.
The Leven8eac Tru$E 18 a prlvacè Iluted ccryazry. Ilmlted by guarane•e
and registered In ScoEland.
Tre resu&ts
celvl¢ie•.
or th• year are detalled on ehe Starement of F&nanclal
Thè charity coa8ed acc*vl¢les durlng ¢he perlod and vas conv•rted Into
a SCIO on 5th May 2026.
R•••rv•• Policy
The tru8tée8 di$Erlbuted Tr)$c 0£ the tre• fund8 durlng the perlod under
revlew. Ag che charlty haB ceaged actlvltL2s It Is no longer necegsary
ro malntaan fund8 at a level Eo m•ei ruture rnnnlng eo3L$.
The trustees are aB8e$Blng Che mAJor rl8k8 to whlch the charlty Is
exk)osèa.
in particular t1￿$e relating to *c8 ope-ation8 and finances.
In order to put System8 In place io mltigate exposure to the nwjor rl*k8.
Pl•n8 Eor tb• Putur•
Tre char&fy convèrted to 4 SCIO on 5th May 2026.
Tru•e••s Zuduot&rJA aod Tr•&ntrAg
Most trustees are already famillar wlth the practlcal work of the
charlty. Aadicionally wembers are Inv'ced co meec wlth rhe dlrectors
and are glven the previous year. s minutes of meeting8. Mernorandum and
Articles ot Assoclation. late$c tlnancial sracetnents, niajor repor￿$ and
also the booklet 'GLLdance tor Charlty Trusrees. produced by OSCR. The
b¢oklet fully ¢￿tLIneS ¢he ducle5 and regDnnsth*llriea of ClwrlLy
Trusteeo in ScotlJnd.
When need$ dlctate the Board wlll also have a ¢ralnlng day to discuss
Birattgic plannlng and organlsatlonal developmènts.

Page 3
ORt
Tr4e orgarAisatlon ig a charitable Con￿anY Ilmieed ty guaranuee. -,he
company e8tablighed under a Mewrandum and Articles of Assoc'atlDn
which established the objects al￿ powers of che charitable ct)mpany
and Is governed under its Articles o* As8oclation.
8tat•4•ot 0£ Tru•t••B R••p¢o•lb&lit£••
he board ot dlreetors ',wtr.o are a4SO tru$tee8 0£ ¢he cha=&ty for the
purpoBes of charlcy lawl are re$pon8ib&7e tor preparing f 4.nancial 8taterrtent
for each Einaneial year which glve a true and £alr vlew af the tsrate 0£
affalrs ot tne charieabie Cocpary and of Ics Incoming r?s¢urces and
application ot resources. l.Icludlng tne net Incorne and expend"'Cure, tor
he fln*xnclal year. Zn preparlng these £lnancial $tacthenEB the dlrecEor8
are rewlred ie:
select guitable accounclng policle8 and then apply them conolstentlyi
obBerve the rnethods and princlpl68 of the Charlties SORP..
make judgem￿nts and 6scluJate8 that are reascnabl• and prudenti and
prepare the financlal 8tatetnonEB on the golng eoncern ba41a unles8 It 18
inapproprlate to pré8uine that the charity wlll contlnue In buslne$g1
8t)te whether appllcable accountln9 OEandard¥ and siatemencg or
recowuftended pracclce have been tollowett. 5ubJecr to any rna-
dl8clos•d and explained in the flnancial statements.
eriaL depar¢ur¢8
The truBtees are responsible for malncalnlng adequate acc¢)uneing r•cord
that dlBclo8e wlth reasonable accyjrary ac any tlme the financlal poJltlon
of the charlty and to enable the¢u to ensure that the tinancla:
¢owply with the Couyanles Acc 2006. the Charitlea and Tru8te•
statemenc4
nves=meni
(Scotlandl Aee 20QS and the Charltles Accounts Iscotlandl Re9uiaiton8 2006
la8 aménded) . Th•y are &180 r••pcnalbl* £or safeguardlng Ch• as8ets of the
charltable c¢)w>any and hence for taking reasonable step8 for the preventlon
and detecElon of traud and other Irrwlarltle8.
By Ordar ¢£
Board ot Tru•t•••
Dat•

ZNDZPEFID￿ IXAXINER. S RIPORT
TO THR TRUSTEES OV TER LRVRVSEAT TRUST
POR THE YXAR BIIDRD 31ST XARCX 2026
Page 4
I report on the flnarteial siateu*ntg of the above charlty for :he year
ended 31 March 20&6 which eoryjrlsè Statemene ot Pinanclal Actlvities,
Balance Sheet al￿ related notes.
R••p•ctiv• r•￿on&￿bIl*e£•8 of Trts•t••• al￿ Zxkniu•r
The charity's EfusEee8 ar@ reSpO￿S1￿"e fo= rr.È p.-eparatlon of the account6
in accordance ¥lth the teroi3 of Ihe tharicie9 and Trustee Inve$trne.ryt
(Scotlandl Act 200S and the Charitie8 Account3 (Scotlandl Regulationg 2006
lats amended) .
The ¢h4rity'4 trusEeeB con8lder thac the aud£t requirement of Regulatlon
1011! lal to Icl of the 2006 Aecountj Reguiatlons does not apply. Ic Is my
re8POrtsLblllty to eXarn￿ne the accountg a8 required under 8ectlon 44 111 Icl
of the Aee and to 8tate whether particular matEerts have come to aEtention.
3a•l• ot Znd•p•nd•Jt Xxuth•r' • •tat•R•ut
examlnatlon 14 carrled out In accordance w£th Regulatlon li o- the
Charlcleg kcourtt8 (Scotlandl RegulaElons 2006. An exarNlnacion Include8
revlew of Che aceountlng record8 kepc by the charlEy and a CCQParlson ot
the Jccountg presented wlth tho8e records. It also Include8 conslderatlon
0£ any unusual IteTn8 or dloclosures In the accounts. and seeks explanatlons
erom the trusrees eoncernlng any 8uch thatter8. procedures und&rcaxen do
not provlde all the evidence that would be requlred In an audlt, and
congequently I do not expre•B an audlt oplnlon on the vlew glven by th•
account¥.
lad•p•Ad•nt Rxaaln•r' • 8t4t•x•llt
In the C¢)urge of my exafftlnatlon. no matrer ha# corne to my atcentton:
111 whlch glve8 me reasonable cauae Lo beLleve chac in any marerlal rèspect
the requlrements..
to keep aceountlng records In accordance Section 44 111 lal OE the 2005
Acc and Re￿latiOn 4 of the 2006 AccDunEg Regulailons and..
co prepare accounts whlch accord wlch the accounclng record¥ and c{)ry￿lY
wlth Re￿latIon 8 of the 2006 Accounts Regulatlon8 have r￿C been met. or
121 to whirh. in my oplnlon. attention Jhould be drawn In order ro enable a
proper under8tandlng of the accounts to be reached.
Mr3M
F.C.C.A..
On behalf of Brian
15a We8l End.
wést Calder
BH55 8EH
on•y & Co.
Date

Pa9e 5
31ST
¥ot•
Uure•t
R••t
Total
Total
Inv•Jt••ot lac
Bank InEere5C
2.144
luc0￿ tran Cbar*tabl• Actlvlt£••
Grant¥
2.144
6.695
14.444
14.444
21,686
16.588
16.588
Fxp•ndltur• On i
28.381
Chatlt•bl• Aet*vltl••
Cnarirable ProJecr8
Supporc Coet
402.459
27.07S
4C$2.459
27.075
329. 371
23.161
Tot•1 Ixp•ndltur•
429.S34
429.534
N•t IncLw•/ IZxp•udltur•l aod
N•t l(tsv•x•r&t 7uad•
352.532
1412. 946
1412, 9461 1324. 1511
R•¢orAe*llatlou 0£ •uad•
Fund• brough¢ Forwatd
434. 981
438.981
763. 132
26,035
26. 035
438,981
The net ftknvem8ni in fund¥ referred co above £• rhe ner Incoming re80ur¢es aq
detln•d In ch¢ seatement ot Recoirrnended Pra¢clct £or Accounring and Reportl.7g
issued by OSCR and reconclled to Ehe total fund8 as 8hoTrfn In the Balance Sheet
on page 6 a8 requlred by the sald 8taierr2enr.
All income and expendltur• derive$ from eontlnulng acElvltle8.
The statemenc of Einanelal ace'vltle$ Includes Jll gains and losses r8cogni8ea
in th2 year.
The nore8 on page£ 8 to io torm part of the accounts.

Page 6
31
¥ot•
Cash Jt Bank & in Xand
TOtAL CIIRkiYf ASSRTS
26,135
441,627
2S,135
441,627
CredirJrs &alling due Wiehln
one year
iiooi
12,6461
26.03S
438. 981
26,035
£ 438,581
Unre6crlcced Revenue Fund
26.035
438,981
£ 26.035
438.581
Th• charltable conwany la entltlèd to exewq)cion from Judlt under Sectlon 477 of
the Companles Act 2006 for the year ended 31 March 2026. Tyle rnember$ have noe
required the ¢haritable coroany to ob¢aln an audit of Itg f Inanclal 8tatemencA
for the year ended 31 March 2026 In acccrdanee wlch Section 476 of the CoJpanle8
Act 2006.
The trustees acknowledge th•lr re8pon8£blll wy tori
lal ensuring that the charitable corrpany keeps accounling record¥ Ehac Cort￿llY
wlth SectlonB 306 and 387 0£ the Cc￿&[11e$ A-t 1006 and
Ibl preparlng flnanclal scatements whlch give a crJe and falr vlew 0£ the
charltable cowoany as Jc the end 0£ each flnancial yèa- and of ito surplu8
or deflclt £or each tlnancial year in accor(iance with tlje requirementB Qt
Section 394 and 395 and which othèr¥l8e c¢xoly with the requlrementB of the
CoRFanles Aci 20Q6 relating to flnanclal 8tateTronc8. eo fa- a3 appllcable
co the chariEable cooFany.
The accounts have been prepared in accordance Wiwh the provisions in part 15 of
the Companles Act 2006 appllcable to coYFanlès Subject to the srna Il companies
regiiro.
The £lnanclal 8taterner.t8 wer• approved by th* board on
8lgned on ie8 behalf.
ay~(bla
ana were
ITrustee I
(Datel

Page 7
The pr&nclpal ttccounclng poliele¥ adopted. jUdger1e￿tS and key sources of
escimaElon uncertainty in the preparailon of the financial staternentB
The accour.-s travè been prepared under che hlsiorlcal eosc Convencion.
ace¢unts have been prepared in ac¢ord*nce wlth Che statèment
Recotymended Practice: AcCcuJnt￿ng & Reporcing by Charltles preparlng thelr
accounts in accordance vith rhe FlnarAcial Reporring Standard applicable in
the UX and Republic of Ireland IPRS 1021 leffeeclve January 20_*91 ard the
Charlt4
-es & Trustee Inve9tmenc IscoElandl Acr 2005 and the Charltles
Account* Iscoclandl Rewiation6 2006 las amended) .
The Levenseat Tru8t méet8 the detlnlrton of a publlc benellE enclty under
FRS 102. Asset8 and Ilabilitle8 are
' nltlally recognised at hl8tor£eal cojc
or tran$actlon value UDle•B othervise xcated.
'Jnre8trlcted are avall)ble tor use ac Ehe di8cretlon ot che tru$cee8
'n Curtherance ot the general objectlve8 0£ tho charl=y.
Re8triceed £und8 are 8ubJect ¢0 restrictlons on chelr expendicurè Inwogod
by the donor or through th c•rm9 ot an appeal.
Zue¢u• R•cognitlc
ncome Is recognl8ed when the charlty ha4 eneltlemenc co the tunds, any
performance condltlon8 act4ched to the Iteffl of Inc¢)me have b•en
s probable thac the inc(K* wlll be recelved and the amount can be
measured wlth reasonable certalnry.
xp•ndltur• R•e¢¥nitl¢)
Llabll Itleg are recogi£#•a aB *xp•ndltur¥ a? soon a¥ fhere Is a legal or
constructlve oblagaclon corymlttlng the charlty to that expendlture. It
probable that settlerrtene wlll be r8quared and the awunt tsf tha obllgatlon
can be ￿aSured Eellably. Costs are gtated Inclu81v• 0£ Irr&coverable vac.
Allo¢atlon 0£ Support Co•ta
Support cose8 are those
uncclons Ehat a&4I8t the work of the charlr.y bue
do noe dlr•ctly undertake charltable actlvltle$. Thege coats have bèen
decalled In note 6 Eo the accounLs.
qo*uq eou¢•rn
The co￿anY converted to a SCIO on 5 May 2026.
2 VAT
The charlty Is not reglsEered for VAT and therefore all expenriirure is 3hown
Inelu8£ve e£ VAT.
TAZATIO
The charity has been granted charxtable sratuts by FNRC and not theretore
llabl8 for corpordeion tax on ¢4aritable income And gall￿.

Page 8
OR
3026
Itsccx* Charltable Actlvltie•
Grants i Leveiseat;
Iscotclsh Powerl
ITorywheell
IM Ham4 Iton Buraaryl
her
2025
1.901
13.940
2.0)0
3,845
Inv••ts•At Iac¢x•
Bank :.:ere8L
14,444
21.686
2.144
6.695
16.588
2B.3ai
Charltabl• ProJ•ct• ISLCF aud LCY)
075 W Waddle Menoria:
089 Allotgnent8 4 ChlrnBide
117 Ke8e Calder & Harburn C D T
123 Carnvath Coffmunlty Hub
129 Llnllthgo¥ Burgh Tru#e
132 Stoneyburn Junior p c
135 Sconeyburn Bent¥ Puture Vl$lon
137 PthJrle8ton Cornunlty Garden
138 Bathgaie Bowllng Club
139 WAT-IP
142 Our Laty 0£ Li)urdeo. Blackburn
143 Lodge st John Paulab￿Use
145 Ba$tleld Tralnlng Centre
146 Seatleld Cor¥wnlty Councll
148 W•#t C•ld•r & Harburn C.D.T.
149 Weot Calder CoTrMunlty BthJcatlon
ISQ Auchengrey Church CenEre
152 Lodge Iqllsontown
153 Three Klngs Ojllan A$8'n
154 Harburn Gol£ Club
155 Dlgcover Lanark
157 Harburn Vlllage Hall
158 Carnwath Golf Club
L59 Wat80n Memorlal Bowllng Club
160 Fauldhouee Mlnera Ilelfare
161
163 Castlehtll Bowllng Club. Carluke
764 Lod9e Lord Bruce BLackburn
165 CaBtlemllk lial l. CanT￿rIn0c5I
166 Braidwooa Corrmnity Gouop
167 Melkle & Adler C.D.T
16B Noreh Glasgow Cotrffjunlty F¢xxl Znit
169 Laurie8ton Bowling Club
171 Na$onle Lodge Hope. Armaajle
172 Ready, Set. Thrive. knnada:e.
173 Wesc Calder & HarDurn c.D.T
176 Porth SE Faul. 3 PariBh Chur=h
177 West Calder & Harburn C.D.T
2026
2025
5,925
4,047
s,000
loo.000
2.005
60,000
5.900
26.366
14,301
18.910
40,000
6,850
37. 000
3.578
loo. ooo
21.884
40.486
4.327
5,000
22.500
3. 096
6.000
5.000
5.215
30.000
3,OOD
s,000
io.ooo
5,000
15,000
8,300
6.000
1.240
4.200
8.-.60
13.477
4.050
S.000
6.283
Carried Por¥ard
359. 027
109.6?3

Page 9
cc
S Attaly8l• 0£ Zxp•Adltur• 04 Charltablo Actlvit*•• Ic¢Jntld)
2026
Brought Forward
174 Stoneyburn C¢)mwnlty BowlLng Club
175 Harburn (k)i£ Club
178 Clydesdale CoThfflun£ty Inlti•rivè. Lanark
Acorn Pro j ect8
LGF ProJect3
H Hamllcon Burs•ry
2025
359.027
7.000
13.000
4,574
6,864
10. 676
1.318
309, 673
6,143
10.099
3,456
402.459
329.371
support Co•t• aud 13ov•zuanc•
2026
Bank Chargeo
Telephone & Scatlonery
Independent E¥amlner8 Fee
Legal Fee8
Tlages & Nat In$
Redunclanry Co8t8
Secretarial
Ingurance
Travelllng C08t8
avert 18ing
Sundry
2025
359
541
1.560
2,400
6,799
13.763
480
531
440
20
162
378
333
1,872
16,795
480
471
170-
2.662
27.075
23, 161
All abov6 COBt¥ have been deertsed to be In S￿pport of che charltable all
of the charlty and are ba8ed dlrectly on expendlEure Incurred.
7 Aa•iy•l• ot Charitabl• Pund•
Op•nlnq
R••ouTC••
xpand•d
R••outc••
Clo•thg
Pund
UnreStrIct￿ Pund
438.981
16.S88
1429. 5341
26.035
438,981
16.588
1429. 5341
26. 035
2036
2025
Accrual?
Tax & Social SecLr£ty CoBts
loo
1,80Q
846
loo
2.646

Page io
'*•
9 TruBt•eA R•wJ#•raeio4 aud R•lat•d Party frary•4ctl<)n•
During ttte year ended 21st Marcn 2026 Ehe secreeary received £480 12025
£480 and i mè7Dber of the boa.-d received
of reimbur8ed cravelling expenses 1 202S
otal ol £40 in reapect
£20<
No trustee has recelved any rernuneration or beneflt8 during the year
12025
£nill
No trugtee or other per¥on r•lated co Ehe charity had any per¥onal Inter•$t
In ary contract or tran$aetton.
IO Statt Co•t• & mwb•r•
Staff e08tB vere a8 follow81
2036
Salari•$ & Wage4
Redundancy Co#to
2025
6.799
13.763
16.795
20,562
The av•rage nuwkner of eryloye•8 during Ch* year werei
2Q26
16.795
2025
11 Futur• Co•ita•ut• To 8¢ottl•h Lalldt*ll C¢MuAity Vundknq
2026
2033
Contracted for but not provlded for
n che account*
313,700
The above £lgure repre8enc8 Landtlll Cor(Dnunity Funding Pro-ecL8
reglstered wlth Septt. but not coffoleted at Che Balanc• S.*eet aa28.
13 kn•ly•l• ot N•t A•••t• B•tw••a Puodl
?otal
tlar••¢TX¢t•d R••trict•d Pund•
Tanglble Plxed A8oet8
Lljrrenc A¥6ets
rrenc Liabl Iltleg
26,035
26,Q35
Nec As¥et5 ao at 31 Dlarch 202
13 Irfal Statu•
Leve.iaeaL Trts*r is a Ilmit*a by guar*>nt•e *￿a ha3 no 8har8
capical .
26.035
26.035
14 Shar• Cap&tsl
The c¢)Trtpany is limited by Snxarantee witheur share capital.
15 Relat•d Party
Durip.g the year theye Were no Cra.￿Sact￿Op.a wlth parties E41dt the
tru8tees deemed to be relaued.