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2025-10-31-accounts

cOmPA￿y NUMBER: SC 213148 CHARITY N'UMBER: SC 029440 LINKNET MENTORING LIMITED REPORT AND ACCOUNTS YEAR ELNDED 31 OCTOBER 2025

LINKNET MENTORING LIMITED AYIIUAL REPORT A￿D ACCOUNTS YEAR E.NDED 31 OCTOBER 2025 CONTENIS LEGAL AND ADMINISTRATIVE INFORMATION TRUSTEES, REPORT INDEPENDENT EXAMINER'S REPORT STATEMENT OF FINANCIAL ACTIVITIES BALANCE SHEET 9_13. STATEMENT OF ACCOUNTtNG POLICIES & NOTES TO THE ACCOUNTS

LII%KNET MENTORtNG LIMITED REFERENCE AND ADMINISTRATIVE INFORMATION YEAR ENDED 31 OCTOBER 2025 Page J Registered Charity Number: SC029440 Company Number: SC 213148 Directors & Trustees: Mageed Abdalla (Chair) Denboba Kiya Nalie Nancy Ralph ttmoved Resigned from 0511212025 onwards. Russell Dadzie Nicholas Flavin Dr Blessings Kachale (appointed 14 June 2025) Prof. Michael Keaiing Ewen Logan Masih Wilson Fatuu Sannch {appointed l O December 2024) Ganna Sanzharovska (appointed 24 January 2025) Secretary: Ranbandard Dissanayaka (resigned 12 May 2025) Denboba Natie (appointed 12 May 2025) Principal address: 31 Guthrie Street Edinburgh EHI IJG Bankers: Bank of scotl￿]d Leith (800238) branch PO BoxlOOO BX2 ILB Independent Examiner: lan B Wilson C.A.. 4A High Street, Bonnyrigg EH192AA

LILNKNET MENTORING LIMITED REPORT OF THE TRUSTEES YEAR ENDED 31 UCTOBER 2025 Page 2 The trustees, who are also Ihe directors of the charity for the pury)oses of the Companies Act, present Iheir annual report and the financial slatements for the year ended 31 October 2025. which comply with the Compai)ie8 Aci 2006. thc Statement of RecomTnended Practice appliLable to charitics prcparing thcir accounts in accordancc with ihc Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102} (Charities SORP (FRS 102)) and the Charities and Trustee Investment (Scotland) Aet 2005 and the Charities Accounts (ScotlaTrd} RegFulations 2006 (as amended). Management structure The director (Denboba Natie) is responsible for day lo day act1￿.1t]eS. The charity is governed by a mernorandum and articles of association. Those docuTn¢nts clearly stalc how the Managcment Board Dircctors aw clccted at annual gcncral rnectinbys. In bricf thosc non)inations arc called from thc mcmbcrs for the vacani Board posiiions and Dircctors arc clcclcd as appropriate. All new directors are given a detailed induction to the charity. In addition, the charity is managed by a set of policies and procedures under the supervision of a project director who in turn is responsible to the Manageinent B0￿d. Purpose and Activities al Slatus LINKnct was established in March 1998 as an unincorporated association and was registered with the Inland Rcvcnuc as a Scottish Charity (No. SC0294401. In Novcmbcr 2000, it was incorporatcd as a Company Limited by Guarantee INO. SC2 I3148}. Mission statement As a Black-mentoring project, LJNKnet will hamess the services of mentors to work with. enthuse, inspire and guide bla¢klminorily ethnic menlees. LINKnet will be culturally and ethnically scnsilivc in serving the blacklminority ethnic individuals living in Edinburg?h and the Lothians, Bordcrs and Fitc. As an equal opportunitics organisation, LINKnet is conllllitlcd to proactivcly challenging discTiminaiion and maximising opportunities in all its s¢rvices. The Ori in21 Ob eclives of the Pro ecl LINKnet wa.q established to deliver a mcntoring programiTJC for blackltninority ethni¢ indiN'iduals lii'ing in Edinburgh and Lothians, Borders and Fife. The programme has been developed with three strands: Educational and academic dei'elopment rnenloring Career development mentoring Pcrsonal devclopmenl mcnioring

LINKNET MENTORING LIMITED REPORT OF THE TRUSTEES (continued) YEAR EYDED 31 OCT()BER 2025 Page 3 Progress report The yedr from l Novemixr 2024 to 31 October 2025 was another successful year for LINKn¢t. We have rcccivcd somc funding to continue with organisational activiiics from tlie Scotti%1) Gov¢rnmcnt's Adult Lcarning and Empowering Communiiie% (ALEC) Funding ihai came io an cnd in March 2026, we secured VvlunteeT Support Fund IVSF} funding from October 2025 to March 2027, F.SP project funded by ihe City of EdiF)burgh Council that will end in March 2027, ongoing 3 years main ￿￿ant for mentoring projeci by The City of Edinburgh Council. National Lottery Communii>' Fund for'NINT. lending in March 2027) and the recent additiontil SULLtsslul fund for upgrading our Diwtal system and renovating uur offiLe to ensure our compli8ncc with hulth and safety. Spoken English club l year small grant Iseptcmber 20251 helped with language improvem¢ni #nd social cngagement for isulatcd and lonely BME community memberb. This coupled with capacity building small gFrant from Regenerative Futures Fund IRFFI with the possibility of securin& l U-year funding worth hair a million enabled us to positiv¢ly look forward to continuinbF with LINKnet's excellent services. Profjects Mentoring and Trainlng Èn Edinburgh Projec4 Funded by thc City of Edinburgh Council and manged by Capital City Partnership ICCP) drew appreciation from the fund managTers as the project ol'eraehieved all set targFets. Duiingy the recent review mecting with our funding manag7¢r of CCP. they have indi¢at¢d our partnership ¢ndures foryears io coinc in the face of changing demography where our scrvices for BME community members bccome increasingly vital. Outputs and Outeomes Mentoring pairs madc 90 Jobs s¢cured- 44 Education places secured 24 No More Isolxtion and No more tears project Funded by the National Lottery Community fund the project exceeded all its Set targets. lis English language section attracted morethan l O times of its target but LINKnet could not afford to help thcm all. Outputs and Outcomes Befriendingy was providcd to- 37+ Numbcr of evcntq held including English Language Club -12 with ihe participation of 245 peopl¢ English classcs IGE+ESP)-146 p¢oplo complctcd thc cour8¢ Spoken English Club Funded by Thc city of Edinbur￿ Council this 5Jnall yant haq attractcd several BME comtnunity mem who have enorn]ously benefited by regularly attcnding .sm211 group of participants. Olltcome and Output 12 small events were organised that were attended by a totsl of 80 participants.

LINKNET MENTORING LIMITED REPORT OF THE TRUSTEES (continued) YEAR ENDED 31 OCTOBER 2025 Page 4 The following are the outputs and outcome of the overall organ1s9tion during the year from l Nov 2024 to 31 Oct 2025, Outputs Mentoringbefriending was provided lo 127 Volunteering opportunities were provided to 27 English language {GF.+ESP) support was proN'ided to 146 Spoken English Language Club - Support provided io 80 On to employmcnt 25 On to education 24 Review of financial position The Statcmcnt of Financial Activities shows that thcre was a deficit on rcstrict¢d funds amounting to £28,078 {2024'. surplus of £l1.723). This brin&FS total restrictcd funds to £72,178 at the end of the year. There was a surp5us on unrestricted funds of £3,838 {2024.' £5,778}. This fund now has a balance of £34,470. The total funds under management at the end of the year were £106,648 (2023: £130,888). Independent examiner A proposal to re-clLCt lan B Wilson C.A. as independent cxaminer of the charity will be put to thc Annual Gcncrdl Mecting. Reserves policy The activities of the charity are principally funded on an annual basis by grdnls from funding agencie5, based on annual budgets established by the Management Board. There is no policy for building up restri¢t¢d reserves in the charity, and where ihis happens in any year Ihe SUTpIu5 is nomially utilised in the following year. The charity has adopted a policy of building up unrestricted reserves equivalent to three months operating costs to cope with future uncertainties. Risk management The MaiiabAcincnt Board Considered rhe major risks io which the charity is exposed and has established systems to mitigate those risks. Directors and trustee$ All directors of the company are also tru51ees of the charity. and there are no other trustees. All of the trusiees who served during the year are named on page l. The Board has power to appoint additional trustees as it considcrs fit.

LITIKNET MENI TORING LIMITED REPORT OF THE TRUSTEES (continued) YEAR ENDED 31 OCTOBER 202S Page 5 Trustees, responsibilities in relation to the accounts The trustees are required by company law to prcparc accoiints for eacli fina])cial ycar which give a true dnd fair vicw of the financidl activities of the charity and of itq fin¢incial position at the cnd of that year. In preparing those accounts, the tru5teCs are required to.. select suitable accounting poliLies and apply them consistently; observe the methods and principles of the Charities SORP,. make judgJements and estimates that are reasonable and prudent. prepare the accounts on a going concern basis unless it is inappmpri4ite to presume that the charity will coiitiiiue iii operation. The INslees are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of thc charity and enable them to ensure that thc accounts comply with thc Companies Act 2006. They are also r¢sponsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detcction of frdud and other iJTegularities. The trustees confinn that: as far as tliey are aware, there is 110 rel¢van¢ infonnation of which the company's independent examiner is unaware. and ii. each truslee has taken all the stcps they ought to have iaken as a trustee in order to make himself or herself aware of any relevant infom)ation and to establish that the company's independent examiner is aw￿￿ of that inforn￿tIOn. In preparing this report advantage has been taken of the small cornpanies exemptions. This report is prepared in accordance with the provisions applicable to companies Subject to the srnall companies, regitne, Secrion 419(2) of the Companies Act 2006. Approval This report was approved by the board of directors and Itijsteeq on 13 IM on ils beh¢ilf by Mageed Abdalla. 2026 and signed Tnkstee

Page 6 INDEPENDENT EXAMINER'S REPORT TO THE MEMBERS OF LINKNET MENTORINC. LIMITED Registered charitv number SC029440 On the accounts of the Charity for the ptriod l November 2024 to 31 October 2025 set out on pages 7 to 13. Respective responsibilities of trustees and examiner The charity's trustees are responsible tor Ihe preparation of the accounts in accordance with the tem)s of the Charities and Trustee Investment (Scotland) Act 2005 and the Charities Accounts {Scotland) Regulations 2006. The charity trustees consider Ihat the audii requirement of Regulation l O{ l } (a) to (c) ol. the Accounts Regulations does not apply.. It is my responsibility to examinc ihe accounts as required under section 44(1) (L) of the ALI and io slat¢ wh¢ih¢r particular matters have come to my atlenlion. Basis of independent examiner's statement My examination is carried out in accordance with Regulation I l of the Charities Accounts {Scotland) Regulaiion 2006. An examination includes a review of the accounting records kept by the Charity and a comparison of thc accoun15 pres¢nt¢d with those records. It also include5 consideration of any unusual items or disclosures in the accounts and seeks explanarions from the trustees concerninÉ7 such matters. The procedures undertaken do not provide all the evidence that would be required in an audit and, consequently, I do noi express an audit opinion on the accounts. Independent examiner's statemettt In the course of my examination. no matter has Come io my altenlion, which gives me reasonable cause li) believe thal in any material respect the requirements- to keep accounting records in accordance with section 44{1) (a) of the 2005 Act and Regulation 4 of the 2006 Accounts Regulations. and to prepare accounts which accord with ihc accouniing rccords and comply with Regulation 8 of the 2006 Account5 RegJulations have not been met, or to which, in my opinion, attention should be drawn in order lo enable a proper understanding of the accounis to be reached. Signed.. Date.. 13 May 2026 IAN B WILSON C.A. 4A High Street, Bonnyrigg EH192AA

LINKNET MEIN'TORING LIMITED STATEMENT OF FI)ANCIAL ACTtI'ITILS (incoryJorAting INCOME A￿'D EV&JDITURE.4CCOUNT) EAR EIYDED 31 OCIOBER 2025 Page 7 Ulliestricted Re%tricted fund Total funds 2025 Total 2025 2025 2024 otes Income from: Vvluntary incoEne Activitics for brncrating fund5 20,000 6.893 161,570 181.570 231,577 5.778 6,893 Total 26,893 161.570 188.463 237.355 Expenditure on- CharitdblL iiLtii'ilie5 23.055 189.648 212,703 219.854 Total 23.055 189,648 212.703 219,854 Net income 3,838 (28,0781 {24.240) 17.501 Transfcrs bctwLen funds Net movement in funds 3.838 (28,0781 124.240) 17,501 Re¢onciliatÈon uf Funds Total lund.% brought fonvard 30,632 100.256 130.888 113.3117 Total fuNd5 carried fornxrd 10 34.470 72,178 106.648 130,888 The Statement of Financial Activities includes all gdllls and losses in the year and therefore a Siaiemenl of Total Reco&￿i$¢d Gains and Losseb has not becji prcpared. All of thc abov¢ amounts rclarc io conilliuing acti￿ltICS.

LINKNEf ￿]ENToRING LIMITED BAL.4YI CE SHEET 31 OCTOBER 2025 Company number SC 213148 Page 8 Notes 2025 2024 Fixed assets Tangibl¢ as%¢ts rotalfixed a55ets Current assets . D¢btors Cash at bank & in hand 1,457 17,537 118.994 920 141.54U 142.460 rolal curreni of.fet. Crediiiors '. Amounts falling due within one year 1?.346 106,648 106,648 11.572 1.30.888 130,888 Nel Luireiil uJ.%v15 Net assLt5 The funds of the chari Unrestricted llicome fund 10 34.470 72.178 106.648 30,632 100,256 130,888 Rcsiriclcd funds 10 Total chariti,]iind.¥ The a¢counts have been prepared accordance with the provisions &pplicable to companies subjccl to the small companies re￿rne. The directors dcknowlcdge thC￿ rcsponsibibty for preparing accounts which gii'c a truc and fair vicw of thc slatc of affa￿5 ofthe COTllpany as al the end of IL% financial year and of its profil or10s5 for Ihc financial ycar in accordance with the requirements of section 393. and which othcnvisc comply with Ihe requirem¢nis of the Companies Aci relaiinb¥ io aLLounts, faT a5 is applicable lo the company. The directorq acknowledgc thcir rcspon.%ibility for cnsuring thc company keeps accounting records which comply with section 386 of the Companie5 Act 2006. For Ihe year cnded 31 October 2n25 ihe coinpany was entitled to exemption fr(>Tn audit under section 477121 of the C.ompanic% Act 2006 re￿till8 to small companies. The mcmbcrs havc nol rcquircd thc company (o obtalR an audit in ac¢ordancc with scction 476 of the Companies Act 2006. The acLOUllt5 were dpproved by the Board on i 8 M 2026 and 5igneiJ on it5. behalf by Direetor Miigeed Abdalla

L[￿KNET METr4TORING LIMITED NOTES TO THE ACCOUNTS YEAR ENDED 31 OCTOBER 2025 Page 9 I. GENERAL INFORMATION Thc Lhariiy is a rcgistcrcd charity in Scotland and is incorpoTatcd as a limited ¢ompany. The addrcss of thc prinLipal office is 31 Guthric Strcci, Edinburgh EHI I JG. 2. STATEMENT OF COMPLIANCE Thcse financial statemcnts have been prepared in compliance with FRS 102, 'The Financial Rcporting Standard applicable in thc UK and the Republic of Ireland" the Statcment of Rccommended Practicc applicablc to charitic8 prcparingF theii accounis in accordanLe with the FinanLial RcFM)rtÈiig Standard appIl￿ble in the UK and Republic of Ircland {FRS 102) (Charities SORP (FRS 10211 and the Charitie5 and Trustec Invcstm¢nt IS¢otland) Act 2005 and the Charities Accounts (S¢otlandl Regulations 2006 las amendcd). 3 ACCOUNTING POLICIES Basis of preparation The finic ncial stgicmcnts have been prepared on the historical basis. The financial statemenis are prep￿ed in stcrlin& which is the functlODal currency of the entity. Goin% coneern ILrL are no material uneertaintics concerning the charity's abiliry to continue. Disclosure exemptions The cntity salisfics the criieria of being a qualifying elltity as defined by FRS 102. As such, dvdntage has been taken of thc following disclo%utr excmptions available under pdrd&yraph l .12 of F'RS 102.. (a} N'o cash flow 4t2tement has been presented by the charity. (bl Disclosures in respect of financial instruments have not been presented. Judgments and key source5 of estim¥tion uncertaintv T]ic prcparation of the financial statcmcnts rcquircs management to Inake jud￿nentS, estimates and assumptions that affeL the amounts reported. These estimatesand Jud￿MentS ar¢ Lontinually reviewed and ar¢b8yed on experience and other tactOTS, including expectations of future events. that are believcd ro bc rcasonable in ihe circumstances. Fund accounting Thc charity hds both resrricted and unrestrictcd fuTKls. Further d¢tails of ¢aLh fund are dil0sed in Notes Iodnd 11. Unrcstrictcd ¥cncral funds are funds which can be used in accordance with ihc charitable objects at thc discretion of the truslees Restricted funds. arc funds. which can only be used for particular restricted purposes within th¢ objects of the Lhatrity. Restrictions aris¢ whcn sp¢cified by ihe donor or when funds. are rdised for particular rcsiriclcd purpo%es. Income Grants and donations are accounted for when their receipt is probable Grants reccivcd for Cdpltal ¢xpenditurc arc crcditcd to & restrict¢d fund against wliich the depr¢xiation of thc relcvant asscts ts charged. Resources expended Rcsouices expended are included in thc Statcmcnt of Financial Activities on an accruals basis. when the liability has beeii Icgally incurred and the amount ¢an be reliably calculated.

LINKNET MENTORING LIMITED NOTES TO THE ACCOUNTS YEAR ENDED 31 OCTOBER 2025 Page 10 4 INCOMI Unresir￿1ed r￿d 2U25 Rcstyi¢ted funds Total funds 2025 Total 2024 Voluntajv ltt¢ome V¢lunlLx'r Support Fund BTant ML'nlorin¥ & training project fund Oral Il¥alih ChJllLn¥L Fund NINI. lund Adult Lcarntng & Fmprtwcmg CommunilS Fund Edinbur￿7 Voluntary or￿n￿￿tIonS Couni YouihbJ]k ScOt￿nd Scottlsh Refugec P¢oplL-4 Posiiodc Trusi Edinburgh Comiiiunity Foundaiio F.dinbur&th Council 750 IUO,570 750 100.570 10.5nO 62.979 77.451 65.263 10,51M) 500 4.3f14 44.(M)O 10.500 44.0 111.5(M) 20.000 20.IK)11 4.(KJO 1.75rJ 4.000 1.750 20.000 161.570 181.$70 2.31.577 Actlvltles lor i¢nerntillg funds Sundry in¢i)m¢ EmpbymLllt alb￿.￿￿¢¢ 263 ,630 6.893 263 6.610 6.¥93 778 5.000 5.778 Total incoming re50uree5 26.¥93 18¥.46i 237.355 5 ExP￿NDITURE ON CHARIT ABLE ALTIV(TIES Unrestrjcicd fund 2025 RrslrKled funds Total rutsd5 2025 Total 2024 GTOSS salaries. ¢rnph)yerfs Nl & pLsN)n Scb5iolliE I staff Sidff Publ￿ttY Rcnt. rat¢s & insurnnce Mainlcnance Telephonei IT. hLat & li&hi sidt￿Trery, prmriiig & pa%iag¢ Staff. volunteers, & bencficiari¢s rravel F.¥'enis M￿CelL9n￿us Payri)11. aLcL)uniing& evaluatioJTr Serv￿¢4 IndepeTrdeni examinaiion fc¢ Honornriuiii Totil ckpenditure 16.057 575 24 129.629 26.XY3 145.686 27,46X 174.381 5.?55 9.517 10.695 237 774 l.tioo 6.549 3.2.$6 6.257 3.176 5.469 2.S57 5,469 2.-542 898 I,Oh8 4.970 1,340 1.200 3.0(K) 212,703 3,000 23,055 189.648 219.854

LINKIYET MENTORING LIMITED 'OTES TO THE ACCOUNTS YEAR EII4DED 31 OCTOBER 2025 Page 11 6 ST AFF COgTq ?(J?4 SalaTies So¢iql s￿UritY Costs P¢nsiott contributK)ns 148,914 152.33? 11.939 179,636 Thc ?v£rabr w¢ekly nutnber ofeTTrpioyee5 durin¥ Ihv y￿r w35 4 (?0?4.. 41. There were no ernployees ￿.1￿]7 rcmuncraiton in exccss ofL60.00012024- 11 No iruNIIL any rLmun¢r¥lK)n th thi yidr. nor had any pcrsonal expenses rernbursed. The ioial paid io k'¥y rn9Dabrmi￿l p¢rsonncl ￿a$ £40.815. r¢pNsL'nI￿¥ 5 months for previous dw¢Ltor (2024 £76.¥001, and £25.887 for eurreni Jwrftor covermga p¢riod of 7 months. hollorarium of £3.000 was p3id to ilie preV￿uS director for volunw su'rv￿￿5 iian5iti0n￿B the charity over to th¥ new dirLYior. followui¥ the cessa1￿￿ of bLS LmpkTr)ryn¥nt. 7 TANGIBLF. FIXF.I) ASSF.TS EqU￿￿C Furnishui TDtal Cost At l November 2024 Addmions. (D￿posals) Al 31 Ocioh¢r 2025 13.225 3.357 16.58? 13.?25 3.357 16.5R2 D¢preckl1ion Al l Noveinbcr ?024 Addition.4 I {D￿pOS&15) Ai 31 n¢i<)ber 202.% 13.225 3,357 3.357 16.582 Nel book value At 31 (k'itsber ?02$ At 31 O¢ivbcr 2U24 DELI'I'ORS 2025 2024 GTan15 receivabk Pr¢paym¢ttt5 1.457 1.457 9?0 920 9 CREDITORS 2025 2024 Si)ckg1 bL*Uriiy taxes Accruals 2.477 3.37

LIINKNET MENTORING LIMITED NOTES TOTHE ACCOUNTS YEAR ENDED 31 OCTOBER 2025 Page 12 10 MOIF.MF.NT IN FUNDS CLIRJI&'N I. YFAR opLn￿g ba&nce Income ÈxpL'ndourc TEaD5fers ck7s￿8 baLince RLbtrict I NINT fund ScollLAh Rcfljb￿L VITr￿￿1¢¢r Slipr￿rt Furyd Ornl Healih Chalkngc Fund Adult ￿arnIng & emwwcrirtgcommunlt￿S Fund M¥nivnng& ird￿7￿& project Fund Univl'rsiiy of Mentdl Heahh PrDjca IF.V()CI Youihlink Scniknnd EduJburAth Communiiy FovDd8iv) EduiburBh Council nds.. 44.￿0 49.51 b22 622 13.867 750 842 5.469 6.453 17.433 33.514 993 10.500 100.570 23.397 993 2.871 4.000 1,750 4.OLK) IGV.256 189.648 72.178 Unresiricicd fund 30.632 26.893 18R.463 23.055 212.703 34.470 106.648 PR￿VIouS Opcntii ba￿nce pendiiure Transfers Closing ba￿n¢t NINT fuTrd ScoiiLsh R¢fu Volunt¢'i'r Fund Onl Hcakh C]1allenb￿ l.'und Aduk k'arning& empvW£r￿sC0mMV￿it￿s Fund 13.46? 622 65.63 60.779 62? 10.5no 77.451 10.5QO 9.776 77.ICKI 9.778 1.3.867 17.433 Mcnioring& ITamwg PfOjCLt Fund Unwcrsny of Ldinbvr&th Mcntal IIL41ih ProjLI IF.VOCI Youihlink Scot￿nd 29.189 993 62.979 58,654 33.514 993 2.k.17 500 2.871 4.384 8%.533 219,8.$4 100.256 Unrvstrrcted fund 4.￿54 5.778 30.632 130.888 237.355 219.854

LI￿'KNET MENTORING LIMITED OTES TO THE ACCOUNTS YEAR ENDED 31 OCTOBER 2025 Page 13 l￿-1-fund "Nv mDrc ￿t)￿lIU￿. Icars" fundcd by JNatN)Tr￿ Lotter> Lilnu￿Wity np&n Arni$- Bi% 1o)¢lep- Fund I.￿￿ furlhi L￿rily's bCrr￿￿d￿bpr0Va￿rn¢￿S Pdry ofopLm Arrn5 PTojccI- a PartTr¢ryh￿ h¢twe¢h L￿k￿lI. Suhclya. I..LRF.C Sikh SanioB- 'olunteerin% 4upport fund ThL$ fund i% tn desLknp IlTr V￿￿nteer ￿rY¢￿ by w￿gthe￿ lohLDI￿r work pb¢¢m¢n14. 11 * m#thucd by the v0￿￿t￿ry ACt￿n Fund. Or41 H￿1th prDl￿t T111% rpNTrir¢l D 4pun¥iircd by thc ScDItLsh Guvctnincnt's Otal HLaNh ch&1]en￿ fun￿. ThrH PIUJLCt ￿ ￿et tD knk muminiy ethnic. mf# anilllduh ornl Iicahh M NrtfiLIh￿ Wjlh m￿l￿ritY rihn￿ Ilcalh Inclus￿￿ ScrvKc. .Idult Learnin% & Communitit% Fuod Th￿ fund ￿ for Ihc Tnain menIOr￿spr0J¢X% s¥pwn¥igmiDoniy trthnic pcopk nto educali)n. empkbymcni PEtsonlll deYebprn¢Thi. ItwaK by FoUNts￿Th ethrra letstorlnE & irslnln% prnjeEt Fund lu th¢ PECF projrct. L5 fundcd by the Ltyof Ed￿h￿rIth founcil lo unprove empk)yment gmongthc ￿￿OritY crhnK pcopte Vn5wLrsllTr of ld1nbu￿h CiJmpk.￿¥￿Tllry lun&￿g prOV￿cd lo the %uwcss ot-th¢ 8cott15h k¢f￿Ce fund Yvuthllrtk S¢otland WDrkforre fund- ta supp)N youth 4nd kUrnin¥or8an￿tIonS to devcknp th¢tr In urQLr lu m¢ci thc nccd5 ofyuung[wp￿ aThJ wjuli karnLfs FAlltsbut%h Cfjmrnunln boundlltlon CJpa¢ily byiklthg *nrshdf¢ ol-Rc8CnLrati¥e Fuiureb Fund which will help rnprove the lives ofihose Iivillb in POkrrtyatKI ¢xporipTKinbP raci%[ Ldinb¥rEh Countll Spok¢n l-.1)gl￿]I Club lilr unpiove￿Qnl i%nLg¢N>n. I I ￿NALySIs ob &SSET5 BITWIEN FUNDS fry¢d Tr4cI curtcnt Towi Tutal 2024 NINT fimd scot1￿h 622 Voluntecr5upport Trund Uts114￿1th chulk.nsr Fund Aduli Lrnww¢riig¢i>mmunii1ty6 Fun Mcnloriii&,& trnin￿l& PILIJLCI Fund Unw¢rsily 1bl.F.d￿b￿r￿th McnLIl Henliii PmJ¢¢¢ IF.WCf.I 6.4$3 6.453 23.397 23..I97 993 ÈdMbur&th Lornmunity Fl)￿￿￿>tIOn Ed￿bllT￿ Council 72.17% 11]0.256 Unrc5trKtEd fuThd 34.470 In6.fy4Y 34.470 I1￿,(Y4N 30.632 12 RF.LATLD PARTY TRANSACTIONS Thcro no PQ#y ¢rydnsACIKbn5 In ihc voar whKh rcqurc d¥cknure.