COMPANY REGISTRATION NUMBER.. SC270732
CHARITY REGISTRATION NUMBER: SC035761
Craignish Community Company Limited
Company Limited by Guarantee
Unaudited Financial Statements
31 December 2025
Chartered accountants
5 Argyll Squdie
Oban
Argyll
PA34 4AZ

Craignlsh Community Company Limited
Company Limlted by Guarantee
Flnanclal Stalements
Year ended 31 December 2025
Page
Trustees, annual report (incorporating the director's report)
Independenl examiner's report to the Irustees
Statement of financial activities {including income and
expenditure accounl)
Statement of financial position
Notes to the financial slatemenls
The following pages do not form part of th8 tlnanclal statements
Detailed statemenl of financial activities
Notes to the detailed statement of linancial activities
19
20

Craignish Community Company Limited
Company Limiled by Guarantee
Trustees, Annual Report (Incorporating the Director's Report)
Year ended 31 December 2025
The trustees, who are also Ihe directors lor the purposes ol company law, present their report and the
unaudited linanGial slalemenls ol the charity for the year ended 31 December 2025.
Reference and admlnlslratlve detall6
RegI￿ered charity name
Craignish community Company Limited
Charlty reglstratlon number
SC035761
Company registratlon number SC270732
Prlnclpal offlce and regist8re(J Sealorth
offlce
Ardlern
Lochgilphead
ArgO1
PA31 8AN
The trustees
Mrs V A Bird
M5 V Burnett
M6 H A Craig
Mr M Hampton
hrts S Healy
Ms L Leslie-shenvood
Mr J Murray
Miss J A Sfflee
Mr K A W Taogart
Mr B J Weaser
(Appointed 9 July 20251
IResigned 9 July 20251
(Appointed 8 July go2￿)
IResigned 9 July 20251
(Resigned 8 January 20251
IAppoinled 12 March 20251
(Resigned 15 January 20261
Company secretary
Miss J A Smee
Independent examlner
Angus MacGillivray F,G.C,A. ol R A Clemenl Associates C,A.
5 Argyll Square
Oban
Argol
PKY 4AZ
Structure, governance and management
Govorning document
The charity is a company limi18d by guarantee and registered with the OtfiGe of the Scottish Charity
Regulator. Its charitable purposes and adminislralion arrangements are Sel oul in ils Articles ol
Association.

Craignish Communlty Company Limited
Company Llmlted by Guarantee
Trustees. Annual Report (Incorporatlng the Director's Report) (eontInu￿}
Year ended 31 December 2025
Slructurej governance and management (conlinu8d)
Rlsk policy
The directors have assessed the major risks 10 which the charity is exposed, and in particular th0$9
related to the operations and finances ol the Trust, and are satisfied thai systems are in place lo
miligale any exposure to these risks.
Objèctlves and actlvltles
Charllable purpose$
Tne charitaDie purposes are recorded in the Articles ol Association and include the following main
purposes..
To promote, lor the public benefit, rural regeneration, following principles ol sustainable development,
by any ol the following means -
The provision ol housing
The provision ol recreational facilities
The protection or consèrvation ol the environment
Th aclvaneÈ the education ol thg community abtsul it8 environment, culture and liistgry.
To prornole, establish, operate or support other inilialives ol a similar charitable nature lor the benefit
ol the Community of Craignish
Achlevemonts and performance
2025 has been a quieter year for C3 in terms c*f new projects, bul an important one tor laying
loundalions. The Community Action Plan has been the slandoul piece ol work, with a dedicated group
now in place and a peninsula-wide survey recently completed. We are now moving into the data review
phasg and look loNard lo sharing what we learn wlh the community.
Behind the scenes, we have continued lo support local groups by holding funds on their behalf,
improved our governance and financial processes Ccinsiclerably thanks lo our Treasurer, Ken Taggart,
anL8 kept up our rè9ular commitmonts argund the website, defibrillalois aiid the Talamh an Righ site.
A significant milestone this year has been joining the Developfnenl Trusts Association S¢olland
IDTASI, which opens up valuable n¢tworks, resources and support for communily-lecl development.
We are excited about what this means for C3 going forward.
Funding applications are in progress, and we Ic•ok forward lo reporting on these in du8 course.
We welcome Heather Craig lo thè board, who is already making her mark focusing on Community
housing. an importani area lor Craignish. and has wasted no lime in getting us connected lo relevant

Craignish Communlty Company Limlted
Company Limited by Guaranlee
Trustees. Annual Report (Incorporating the Direclor's Report) (continuedj
Year ended 31 December 2025
Achlevements and perforniance (continuodj
We also record our thanks lo both Mark Hampton and Ben Weaser, who have stepped down from the
board. Mark and Ben have each given a great deal ol their lime and energy lo C3 and lo the
community, and both will b& sorely missed. We will b8 advertising lo lill the remaining vacancy in due
course.
Aller six years as Chair, Vicki Burnell stepped down al rhe AGM in July. Vicki's dedication and
commitment lo C3 and the wder Craignish community over that lime has been immense, and we are
hugely grateful for everything she contributed during her tenure. We are delKJhled that she continues lo
givg her lime and @nergy by leading the Community Action Plan, and look forward lo working with her
in that rol
Flnancial review
The overall rèsulls for Ihè yèar pèr Eh6 Siaiemèni ol Finahaai Aciiviliés was a surplus or £59212025:
delicil £9181.
Al the year end the company held reslricled lunds of £91.878 01 which £66,672 is in respect ol th8
purchase of land and the roundhouse related costs and £18,737. less depreciation in respect ol the
conslru¢lion aro held as a capital asset lund. The remaining balance of £6,469 is held lor various
smaller funds (see note 171.
The company also held l¢lal unreslricled funds of £18,009.
Ro$orve$
The policy of the Trust 18 to aim to retain 3ufficient reseNes to meet the co8t ol any regular
commilmenls, as well as a contingency lo enable it to ¢onlinue lo develop further projects.
A websit8, www.craignish.inlo has been sel up and enables members of the public lo keep up lo dal8
with the activities ol the company.
Small company provisions
This report has been prepared in accordance with the provisions appliCa￿e lo companies enlilled lo
the small companies exemption.
The IrLtslees' annual report was approved on
trusl88s by-.
and signed on behalf ol the board ol
Mr
Murray
Trustee

Craignish Community Company Limited
Company Limlted by Guarantee
Independent Examiner's Report to the Trustees of Craignish Communlty
Company Limited
Year ended 31 December 2025
I rgPOII 10 Ihe trustees on my examination ol the financial slalemenls ol Craignish ComrnLJnily
Company Limited I'lhe charily'l lor the year ended 31 Deeember 2025.
Re8ponslbllltles and basis of report
As the trustees ol the company land also ils directors lor the purposes ol company lawl you are
responsible lor the preparation ol the tinancial Slalemenls in accordance with the requirements of the
Charities an¢J Trustee Inveslmènl Iscoiiandl Aci 2005 Ilhe 2005 Acl'l, the Charities Accounts
IS¢oiiandl Regulations 2006 las amended) and the Companies Aci 2006 I'lhe 2006 Acl'l. You are
satisfied that the accounts of the Company are not required by charity or company law lo be audited
and havo eho$on instead to have an independent exan?in&iioii.
Having satisfied myself thai the accounts of the company are not required lo be audited under Part 16
ol the 2006 Act and are eligible lor independent examination, I report in respect ol my examination ol
the charity's accounts earried out under section 4411llcl ol Ihg 2005 Act. In carrying out my
exarninalion I have Itsllowpd the rèquirements of R￿ulatIOn 11 of tho Charitie8 Accounts IScgllaiTLJI
Regulations 2006 las amended).
Independent examlner's statement
Since the charity is required by company law lo prepare its accounts on an 8etrriials bagis ancl i*
registered as a charity in Scoiiand your examiner musl be a member ol a body listed in Regulation
11121 ol the Charities Accounts (Scollandl Regulations 2006 las amended). I can confirm thai i am
qtsalilied lo undertake the examination because l am a registered member ol ICAS which is one ol the
Iisied bodies.
I havv Gompleieo my examinaiion. I wntirm that no matters have come lo my attention in connection
with the examination giving me cause lo believe..
accounting records were not kept in respect of the charity as required by section 386 01 the
2006 Act, section 4411llal ol the 2005 Act and Regulation 4 01 the 2006 Accounts
Rogulations., or
the financial Slalemenis do not accord with those records or with the accounting
requirements of Regulation 8 01 the Charities Accounts (Scollandl Regulations 2006., or
the financial statemènts do not comply with th• accounting roquiremcnts of section 996 of
the 2006 Act other than any requirement thai the accounts give a 'lwe and lairf wew which is
not a matter Considered as part ol an independent examination., or
the financial statements have not been prepared in accordance with the methods and
principles ol the Sialemenl ol Recommended Pracli¢e lor accounting and repc)rting by
charities applicable lo charities preparing their accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021.

Craignish Community Company Limited
Company Llmlted by Guarantee
Independent Examlner's Report to the Trustees of Craignlsh Communlty
Company Limlted leontlnu¢dJ
Year ended 31 December 2025
I nave no concerns and have come across no other matters in connection with the examination lo
which aiienlion should be drawn in this report in order lo enable a proper understanding ol the
accounts I be reached.
Angus MacGillivray F.C.C.A.
ol R A Clemenl Associates C.A.
Independent ExAminpr
5 Argyll Square
Oban
Arg￿1
PA34 4AZ

Craignish Community Company Limited
Company Limlted by Guarantee
Statement of Financlal Actlvities
{includlng Sncome and expenditure account)
Year ended 31 December 2025
2025
Resiricled
funds Total funds Tolaj funds
Unreslricled
funds
2024
Note
Income and endowments
Donations and legacies
Investment income
Total Income
Expenditure
Expendituro oli clidlltable aciiviii¢s
Total expendllure
6,250
634
53Q
6.780
634
7,356
98
6,884
530
7,414
7,454
2,789
2,789
4,033
6,822
8,372
8,372
4,033
6,822
Nel Incomellexpendlturo) and net
movement In funds
4,095
13,5031
592
19181
Rgconciliatlon of funds
Total funds brought forward
Total funds carrled forward
13,914
18,009
95,381
91.878
109,295
109,887
110,213
109.295
The Slalemeni of financial activities includes all gains and losses recognised in the year.
All income and expenditure derive from continuing aclivrties.
The notes on pages 8 to 17 form part of th¥$0 Ilnan¢lal stataments.

Craignish Community Company Limited
Company Limlted by Guarantee
Stalement of Financial Posltion
31 December 2025
2025
2024
Flxed assets
Tangible fixed assets
Note
14
85,409
88,748
Current assets
Debtors
Cash ai bank and in hand
15
58
25,919
25,977
51
24,456
24,507
Credltors.. amounls falllng due w5thln one y•ar
Net current assets
Total assets less current Ilabillli08
Net assets
16
1.499
1.960
24,478
22,547
109,295
109,295
109,887
109,887
Funds of the charlty
Resiricled funds
Unreslri¢ied funds
Total charlty funds
91,878
18,009
109,887
95,381
13,914
17
109,295
For the year ending 31 December 2025 the charity was 8nlilled lo exemption from audit under section
477 01 the Companies Act 2006 relating lo small companies.
Directors, r•spongibilitig8'.
The members have not required the company lo obtain an audit of ils financial statements for the
year in question in accordance with section 476.,
Th8 direttttsr_q acknowledge thoir rosponsibilitie
for compl>ryng with the reqviremenls uf Ihe Acr
with respect lo accounting re¢ords and the preparation ol financial statements.
These financial slaiem8nls have been prepared in accordance with the provisions applicable lo
companies subject lo the small companies, regime.
cial siaiemenis were approved by the board ol trustees and authorised lor issue on
and are signed on behalf ol the board by..
Mr
Trustee
Taggart
The notes on pago9 8 to 17 lorm part ot these tlnanelal $tatem8nt$.

Craignish Community Company Limited
Company Llmlted by Guarantee
Notes to the Flnanclal Slatements
Year ended 31 December 2025
General Informallon
The charity is a public bgnelil enlily and a private company lirniled by guarantee, registered in
Scotland and a regisigred charity in Scotland. The address ol the registered office is Sealorth,
Ardlern, Lochgilphead, Argyll, PA31 8AN.
Statem&nt ol compllanee
These financial Slalemenls have been prepared in compliance wlh FRS 102, 'The Financial
Reporting Standard applicable in the UK and the Republic ol Ireland,, the Siaiem8nl ot
Recommended Practice applicable lo charities preparing their ac¢ounls in accordance with the
Financial Repc)rtino Standard Rpplicable in thè UK and Aopubli¢ ol Ireland (Fns 1021 (Chaiilies
SORP IFRS 10211 and the Companies A¢1 2006.
Accountlng pollcles
Basls of preparation
The financial slalemenls have been prepared on the historical cosl basis. as modified by the
revaluation ol certain financial assets and liabilities and investment properties measure(S al lair
value through in¢ome or expenditure.
Thc financial 8tatem¢nts are prepaie(J iii 5terllng. whlcn Is ihe functional currency ol th¢ enlily.
Golng concern
There are no rnalerial uncertainties about the charity's ability lo continue.
Dlsclo$ur& exemptions
The entity saiislies the criteria ol being a qualifying enlily as defined in FAS 102. As such
advantage has been taken ol the following disclosure exemptions available under paragraph 1.12
of FRS 102..
lal No cash flow Slalemenl has been presented for the company.
Ibl Disclosures in respect ol financial instruments have not been presented.
Judgements and key sources Of •stlmatlon uncertainly
The preparation ol the financial statements requires management to make judgements,
esiimales and assumptions that affect the amounts reported. These eslimales and judgements
are continually reviewed and are based on exp8rience and other laclors, including expectations of
lulure events thai are believed lo bg ieasonable under the circumslanees.

Craignish Community Company Limited
Company Llmlled by Guarantee
Notes to the Financial Statements (contlnu•d)
Year ended 31 December 2025
Accountlng pollcles (eonllnuedj
Fund accountlng
Unreslricled funds are available for use al the discretion ol the trustees lo further any ol the
charills purposes.
Designated funds are unresiricled funds earmarked by the Iruslees lor particular lulure project or
¢ommilrnent.
Reslricled funds are subjected lo reslriclions on their expenditure declared by the donor or
through the terms ol an appeal. and f811 into one ol two sub.clasgog.' rg$tricted income funds gr
endowment funds.
Income
All incorne is included in the slalemenl ol financial activities when entitlement has Dassed lo thÈ
harliy, 11 Is protsatyle tnat the economic benolils associated with the transaction will flow lo the
charity and the amount can be reliably measured. Th8 following specific policies are applied 10
particular categories ol in¢ome'.
income from donations or gfanls is recognised when there is evidence of entillemenl to the
gift, recèipt is probable arid ilb amouni can tse measurea reliably.
legacy income 1$ recognised when receipt is probable and enlillerneni is established.
income from donated goods is measured ai the fair value ol the goods unless this is
impracticlè to meagure reliably1 in which thc value 13 derived from the cost 10 Ili¥ tjonor
or the eslimaied resale value. Donated facilities and services are recognised in the accounts
when received il the value can be reliabily measured. No amounts are included lor the
¢onlribulion ol general volunteers.
incorne from contracts lor the supply ol servic8s iq rgcognisèd with thè dolivary of the
contracted service. This is classified as unreslricied funds unless there is a contractual
requirement lor il lo be Spent on a particular purpose and returned if unspent, in which case il
may be regarded as reslrieled.
Expendlture
Expenditure is re¢ognised on an accruals basis as a liability is incurred. Expenditure includes any
VAT which cannot be lully recovered, and is Classified under headings of the slalement of
financial aelivilies lo which il relates..
exp¢nditvre on rai8ing lunds includes the cosls uf all fundralslng aciiviiies, events, non-
charitable trading aclivilies, and the sale ol donated goods.
expenditure on charitable activities includes all costs incurred by a charity in undertaking
activities that further ils charitable aims for the benefit ol ils beneficiaries. including thos8
siipport eosls and eosi& rplating to Ihg governanco of the charity apportioned to GharilaL)le
activities.

Craignish Communlty Company Limited
Company Limited by Guarantee
Notes to the Financial Staiements (conrinuéd)
Year ended 31 December 2025
Accountlng pollcles (eontlnuod)
Expendlture (¢onlAntséd)
Other expenditure include5 all expenditure that is neither related lo raising funds lor the
charity nor part ol ils expenditure on charitable aclivilies.
AII Costs are allocated lo exponditure categories reflecting the use of the resource. Direct costs
attributable lo a single activity are allocated directly to that a¢iivily. Shared costs are apprortioned
between the activities they conlribul6 lo on a reasonable, justifiable and consistent basis.
Tanglble as$ot8
Tangible assets are initially recorded al cost, and subsequently slated al cost less any
accumulaied depreciation and impairment losses. Any tangible assets carried al revalued
amounts are re¢orded ai the lair value al the dale ol revaluation less any subsequent
accumulated depreciation and subsequent accumulated impairment losses.
An increase in the carrying arnounl ol an asset as a result of a revaluation, is recognised in Olh8r
recognised gains and losses, unless il reverses a charge lor impairment that has previously been
recognised as expenditure within the slaiemenl ol financial aclivilies. A decrease in the carrying
amount of an asset as a result ol revaluation, is recognised in Other recognised gains and losses.
except to which il oflseis aTly prevlous revaiuaiion gain, in which case the loss is shown within
other recognised gains and losses on the slalemeni of financial activities.
Depreclatlon
Tangiblè fixAd asgÈts are stat9d at eo$t l&so
2ccumultti¢d depreciation. Depieci&alion 15 provlOe((
at rates calculated 10 write off the cosi less residual value ol each asset over ils expected useful
life, as follows..
Roundhouse
5% Slraighl line
As the land has an indefinite useful life, il has not been depreciated in the tinancial slalemenis.
Impalrmenl of flxed assets
A review for indicators of impairment is carried out at each reporting date, with the recoverable
amount beii)g e5titnate(I where such inclicaiors exist. Where the carrying value exceeds the
recoverable amount, the asset is impaired accordingly. Prior impairmenis are a150 reviewed lor
possible reversal al each reporting dale.
For the purposes of impairment lesiing, when il is not possible lo estimate the recoverable
amount of an individual a--
.ct, an ¢8timate is made of the ieLuv¥rable amounr oi the eash.
generating unil lo which the asset belongs. The cash-generating unit is the smallest identifiable
group ol assets that includes the asset and generates cash inflows that largely independent ol the
cash inflows from other assets or groups ol assets.
For impairment tasting of onodwill. tho goodwill acquirad in a businows combination is. trom the
a¢quisilion date, allocated ID each ol the ¢ash-generaiing units that are expected to benefit from
th8 synergies ol the combination, irrespective ol whether other assets or liabilities ol the charity
are assigned to those units.
10

Craignish Community Company Limited
Company Llmlted by Guarantee
Notes to the Flnancial Statements (¢ontlnued?
Year ended 31 December 2025
Accounting poll¢ies {COllllnu•d)
Finanelal Instwments
A financial asset or a tinanclal liability is recognised only when the charity becomes a party to the
conlraclual provisions ol the inslrumenl.
Basic financial instruments are initially recognised al the amount receivable or payable including
any related transaction costs.
Current assets and current liabilili8s are subseouenily measured ai th8 Cash or Other
consideration expected to be paxj or rècoivgd and not diE¢ounted.
Debl instruments are subsequently measured ai amortised cost.
Where investments in shares are publicly traded or their lair value can otherwise be measured
reliably, the inveslm&nl Is subsequently measured al fair value with changes in fair value
reeognise(J In Income and expenditure. All other such investments are subsequently measured al
cost less impairment.
Other linan¢ial inslrumenls, in¢luoling derivatives, are initially recognised ai lair value, unless
payrneni for an asset is deferred beyond normal business terms or financed al a rate ol interest
that is not a lildrkBI raie, In whlcn case the asset Is measured al the present value ol the Ivlure
payments discounted al a market rale of interest for a slmilar debt in51rumenl.
Other financial instruments are subsequently measured al lair value. with any changes
recognised in the Slalemeni of financial aclivilies, with the exception ol hedging instruments in a
designatèd hodging relationship.
Financial assets thai are measured at cost or amortised cost are revi8wed lor objective ewdence
of impairment al the end of each reporting dale. 11 there is objective evidence ol impairment, an
impairment Ios5 is recognised under the appropriate heading in the slalemenl of financial
activities in which thR initial gain was recggnisod.
For all equity instruments regardless ol signili¢ance, and other financial assets that are
individually signiti¢anl, these are assessed individually lor impairment. Other financial assets are
either assessed individually or grouped on the basis tsl similar credit risk characlerislics.
Any reversals ol impairment are re¢ognised immediately, lo the extent that the reversal does not
result in a carrying amount of the financial asset that exceeds what the carrying amount would
have been had the impairment not previously been recognised.
Llmlted by guarant80
Craignish Community Company is a company limited by guarantee and accordingly does not
have a share capital.
Every member ol the company undertakes to contribute such amount as may be required not
èxcoeding £1 to tho asgots of the charitable company in the event of its beiiig wuund up whlle he
or she is a member. or within one year after he or she ceases lo be a member.

Craignish Community Company Limited
Company Lirnlted by Guarantee
Notes to the Financlal Statements feonfvnu￿)
Year ended 31 December 2025
Donatlons and legacles
Unresiricled
Funds
Reslricled Total Funds
Funds
2025
Donatlons
Donations
Tax reclaimed on gift ald
5,000
1,250
449
81
5,449
1,331
Grants
Grants
6.250
530
6,780
Unreslricled
Funds
Restricted Total Funds
Funds
2024
Donatlon$
Donations
Tax reclaimed on gift aid
Grants
Grants
2,000
2,356
4,356
3,000
5,356
3,000
7.356
2,000
Investmènt Incom&
Unreslricled Total Funds Unreslricled Total Funds
Funds
2025
Funds
2024
Bank interest receivable
634
634
98
98
12

Craignish Community Company Limited
Company Limiled by Guarantee
Notes to the Financlal Slalements (conllntsed)
Year ended 31 December 2025
Expendlluro on charltable a¢tlvltles by fund type
Unreslri¢ied
Funds
Re51ricled Total Funds
Funds
2025
Core activities
First Responders
Talamh an Righ
Wildlife projects
Support costs
1.566
1,339
2,694
2,905
2,694
1.223
2.789
1,223
6.822
4.033
Unreslricled
Funds
Reslricled Total Funds
Funds
2024
Corè arlivities
First Responders
Talamh an Righ
Wildlife projects
Support costs
2,545
1.339
1,284
1,198
966
3,884
1,284
1,198
966
1.040
1,040
3,585
4,787
8,372
Expendtture on charltable actlvltles by actlvhy lypo
Activities
undertaken
dire¢lly Support cost5
Total funds
2025
Total fund
2024
Core activities
First Responders
Talamh an Rign
Wildli18 project$
Governance costs
2,905
2,694
2,905
2,694
3,884
1,284
I,J98
966
1,040
8,372
1,223
1,223
6,822
5,599
1,223
Taxation
The charity is a charitable company within the meaning ol the Finance Act 2010. Accordingly the
charills activities fall within the exemptions from laxalion in respect ol income or capital gains
afford&d by tho prgviEionD ol thts Corporation Taxes Act 2010 and the Taxation of Chargeablo
Gains Act 1992 to the extent thai such income or gains are applied lor charitabl8 purposes. As a
result. there is no laxalion charge in these accounts.
13

Craignish Community Company Limited
Company Llmited by Guarantee
Notes to the Flnaneial Statements (contlnu•d)
Year ended 31 December 2025
10. Net In¢omel{exp&ndltur61
Nel In¢omellexpenditurel is slated after charginglleredilingl..
2025
2024
Depreciation ol tangible fixed assets
1,339
1,339
11. Independent examlnatlon loe8
2025
2024
Fegs payabl? to the indcpondent examiner for..
Independènt examination ol the financial slalemenis
1,223
960
12. Staff co8t8
No salaries or Y4ag¢s hav¥ pald io employees, incluoing the Oirecters, during the year.
13. Trustee remuneratlon and expenses
The charity Iruslees, who are the directors of the company, were not paid and did not receive any
remijnpration benefits in kind or r•imbursoment ol cxpcnses in their capacity as trustee duiiiiy
the year. No Iruslee received payment lor professional or other services supplied to the charity.
14. Tangible Ilxed assets
Freehold
property
Plant and
machinery
Total
C08t
At 1 Jan 2025 and 31 Dec 2025
D•prè¢l8tlon
Ai 1 Jan 2025
Charge for the year
At 31 Dec 2025
Carrylng amaunt
At 31 De¢ 2025
66,672
26,771
93,443
6,695
1,339
6,695
1,339
8,034
8,034
66,672
86,672
18,737
20,076
85,409
Al 31 Dec 2024
86,748
15. Debtors
2025
2024
Prepayments and accrued income
58
51
14

Craignish Community Company Limited
Company Llmlted by Guarantee
Notes to the Financial Statements Icontlnts￿j
Year ended 31 December 2025
16. Credllors: amounts falling due withln one year
2025
2024
Trade creditors
Accruals and d&ferred income
360
1,600
1,960
1,499
1,499
17. Analysls of eharllable funds
Unrestrlcled funds
Al 1 Jan 2025
At
Transfers 31 De¢ 2025
Income Expenditure
General funds
13.914
6,884
12.7891
18,009
Al 1 Jan 2024
Ai
Tfanslers 310ec 2024
In¢ome Expenditure
General funds
14.251
2,098
13,58SI
1,150
19,914
15

Craignish Community Company Limited
Company Llmited by Guarantee
Notes to the Flnanclal Statements {eontlnu*dJ
Year ended 31 December 2025
17. Analy¥ls of charltable funds (eoniinued)
Restrleted funds
Al 1 Jan 2025
At
Transfers 31 Dec 2025
Income Expenditure
Talamh An Righ Capit81
Fund
Roundhouse Capital
Fund
Talamh An Righ
Rov•nuo Fund
First Responders
Wildlife projects
Cromach Fund
Healy arts
Kilvar8è Stongs
Toddlers Group
S6,672
66,672
20,076
11,3391
18,737
685
4,924
24
ti85
2,311
24
81
12,6941
3,000
3,000
449
449
95,381
530
14,0331
91,878
At
Transfers 31 Dec 2024
Al 1 Jan 2024
Income Expenditure
Talamh An Righ Capital
Fund
Roundhouse Capital
Fund
Talamh An Righ
Revenue Fund
First Responders
Wildlife projects
Cromach Fund
Healy arts
Kilvaree Stones
Toddlers Group
66,672
66,672
21,415
11,3391
20,076
1,883
2,852
990
400
7SO
11,1981
11,2841
19661
685
4,924
?4
2.356
14001
17SOI
3.000
3,000
95,96
5.356
14.7871
11,1501
95.381
16

Craignish Community Company Limited
Company Limlted by Guarantee
Notes to the Financial Statements (conllnuéd)
Year ended 31 December 2025
17. Analysi8 of charltable funds (eonlIn￿￿J
Purposes ol reslri¢ied funds
Talamh An Rlgh Capltal Fund
Donations were raised in order to purchase a plot of land lor an original cost of £61,739, including
legal costs. In subsequent years additional lees lor design relating lo development ol the land
have been incurred.
Roundhouse Capltal Fund
Th¢ Roundhouse is a wooden round pavilion Structure Ihal acts as a shelterlplay space (Juring
playtime. Èvpnings and weèkends, and an outdogr classroom. It is expected to labl 20-25 years
with minimal maintenance.
Talamh An Rlgh Revenue Fund
The lolal donations raised in 2016 in relation 10 Ihe land purchase exceeded the purchase price
and therefore the balance ol luncss was CArried forward to uge against futurg costs of developing
the plot into the community play area,
Flrst Rèsponders
The fund is managed lo support certain medical emergency setvices in the Craignish Community.
Kiivare¢ siones.
A disbursement was received from the Natural History and Aniiquarian Society ol Mid Argyll. The
purpose is to uso th8 funds to interpret and champion the s¢ulplured stones al Kilvaree Chapel in
the wider context ot the Craignish peninsula.
Toddler8 Group
This fund was initiated from funds raised by a group of local parents. The purpose of the fund is
lo provide play equipment, activities and events lor young children and families in the Craignish
area and will Continue by means of fund-raising activities arranged by the organisers.
18. Analys1$ of net a$s•ls between funds
Unrestricted
Funds
Restricted Total Fund$
Funds
2025
Tangible fixed assets
Current assets
Creditors less than 1 year
N•1 asset$
85,409
6,469
85,409
25,977
11,4991
109,887
19,508
11,4991
18,009
91,878
Unresiricled
Funds
Reslricled Total Funds
Funds
2024
Tangible fixed asset$
Gurreni assers
Creditors less than 1 year
Net a$$et$
86,748
8,633
86,748
24,S07
11,9601
109,295
15,874
11,9601
13,914
95,381
17

Craignish Community Company Limited
Company Llmited by Guarantee
Management Information
Year ended 31 December 2025
The followlng pages do not form part ol the linanclal statement$.
18

Craignish Community Company Limited
Company Limlled by Guarantee
Detalled Statement of Financial Actlvlties
Year ended 31 December 2025
2025
2024
Income and •ndowments
Donations and legacles
Donations
Tax reclaimed on gift aid
Grants
5,449
1,331
4,356
3,000
7,356
6,780
Investment Income
Bank interest receivable
634
98
Total incomè
7.414
7,454
Exp•ndlture
Expendlture on charltable acllvllles
Light and heal
Insurance
Legal and professional lees
12801
699
1,223
1.339
3,694
147
700
586
1,040
1,339
4,595
112
DEFJf¥¥i<JliBn
Other costs
Donations and grants
6,822
8,372
Total expendlture
6,822
8.372
Net Incomellexpendlture)
592
19181
19

Craignish Community Company Limiled
Company Llmited by Guarantee
Notes to Ihe Detailed Statement of Flnanclal A¢tivitits
Year ended 31 December 2025
2025
2024
Expendlture on charltable actlvltles
Core actlvltles
Actlwltles undertaken dlrectly
Light & heat
Core activities - Insurance
Depreciation
Core activities - Other costs
Core activities- Donations & grants
12801
699
1,339
1,000
147
700
586
1,339
1,147
112
2,905
3,884
Flrst Responders
A¢tivilies undertaken dlrectly
First Responders
Tolamh an Rlgh
A¢tlvities undertaken directly
Talamh an Righ costs
Wildllfe prolocls
Actlvllles undertaken dlrectly
Ildllle project cosis
Governance costs
Independent examination le8S
Governance ¢osls - legal and other professional lees
2,694
1,284
1,198
966
1,223
960
80
1.223
1,040
Expendlture on charitsble a¢tivitle$
6,822
8,372