llldtpertdent Examiners Report to tILt Trusttts ofsweetsctsr Ltd I rewrt on th¢ aGcourtts of the chariiy foT ihe yw 30 Jun¢ 2025. which are set out on pages 5 to 7. Rt5PCftÉvc rtspothsibiliiits of trn5ttt5 and The chariiy's trust¢¢s responstble for the Preparation of the accounts in awoTdance with the terms of the Chariiies and Twstrts Invesimeni Isoxlandl Aci 2(h)5 th¢ ChaTities Account5 IScLrtlandl Regulations 2006 The chariiy iru51¢es consid¢T that the audit requirement of Regulation 101 I I (al to Icl of the A¢count$ Re8ulaiions does not apply It is my responsibtlity io e¥amtne ihe accounts as r¢quir¢d under sli0n 4411) Icl ofth¢ Act and to state whher parti1a[ matt¢TS have cotn¢ to myattention. B#si$ of Independeni Examiners Stattment My examinatiort is tarried out in accordance with R¢gul*ion I l of thecharity Attouttts IScotland} Regulations 2006 An examination includes a r¢vi¢w of th¢ acwuntinB records ke0 by the charity and seeks explanations from the trustee5 concerning any matters The prOCTe$ undertaken do noi provide all the evidence that would be reouirtrj in an audii, and consequenily I do t1 exwess an wdil opinion on the view given by Ihe accounis. Indepeadent examiner's stattmtni In the Course of my examination, no snatt¢T has cixne to my atterttion 10 whicN in my opiniow aiieniion should be drawn in Order lo enable a properUnderstin8 of the accounts to be reached Judith Pairickson FCA BFP DChA 27 LanGhester Road Maiden Law Co. Durham DH7 OQT 17 April 2026
| 2025 | 2024 | ||||
|---|---|---|---|---|---|
| General | Restricted | ||||
| Funds | Funds | Total | Total | ||
| I | { | {. | { | ||
| lncome | |||||
| Investment income | |||||
| Charitable activities | |||||
| Total income | |||||
| Expenditure | |||||
| Charitable activities | |||||
| Other resources expended | |||||
| Total expenditure | |||||
| Net(ExpenditurQfortheyear | |||||
| Fundsbrought forward atIluly2024 | (193) | 888 |
695 | 69s | |
| Fundscarried forwardat30June2025 | (193) | 888 |
69s | 695 |
| 2025 | 2024 | ||
|---|---|---|---|
| Nates | { | t | |
| Currenf assefs | |||
| Debtors | |||
| Cash atbank and ondeposit | 695 | 69s | |
| 695 | 695 | ||
| Creditors:amountsfallingduewithinoneyear | J | ||
| Alefcurrent assefs | 69s | 69s | |
| Iofalassefslesscurrent liabilities | |||
| -:: | -:: | ||
| Funds | |||
| Unrestricted funds | (le3) | (le3) | |
| Restrictedfunds | 4 | 888 | 888 |
| Totalfunds | 69s | 695 |
| 202 | s | 2024 |
|---|---|---|
| s | { |
| Balance | Incoming | Outgoing | Balance | |
|---|---|---|---|---|
| At1/7/24{ | Resources{ | Resources f |
At30/6/25 I |
|
| SureShots | 888 | 888 | ||
| 888 | 888 |