REGISTERED COMPANY NUMBER: SC323S49 (Scotlandl
REGISYERED CHARITY NUMBER: SC38296
Re ort of the Tnrptse8 ond
Unaudliod Flnanclal Ststsmgnls
End8d 30
ber
CommunSll•¥ Llm
Llmtted b Gua
Com
L￿d18Y Pthms Llmltsd Chart•red Amnt
28 Presctht Street
HalSfax
W85tYortshlre
HX12LG

Contents of the
TEnd
temen
Paue
Report0f¢￿Tru￿te
Ind•ptndtnlExamln•rfs R•port
Stafementof Flnanclal Actlvltl8B
Balance Sheet
Notss to the FInanc￿l StatomBn14
to 14
Lwed Statementof Flnanthl Actlvltle8
15

Prioi'commllnities iimit¢d
tb¢ Trustto
for the Year Ended 30 S¢
embel'2
Tha tru61ees gie 8180 dlre¢Xors ofthe ￿l￿ty foT Ihe p￿p￿e9 ol Ihe Comp￿185 Act 21XJ6, F¥esent thalr rwt
the ffnancw statements ol Ihe dTÉrity for the ￿tar ended 30 September 2025. The trust8e5 h8ve adop￿ ￿ provis10
of Ar￿untir￿ and Reportirva by chari￿5.. StateThenl of Re(t)mgnded pr8￿￿ appllcable to chMriUe5 PtEparing Ihg
acuunts ￿ ac{))rdan￿ bylth Repcdro Stanthtd ¥JpJvNe UK arKI Republic of It8land IFRS 102)
lèffectiV8 1 January 20191.
OBJECTWES AND A¢TWITIES
Objectives and alms
Th& obj8Cts of th• charity 8r8 to ￿rther th& thncerrtenl of eduthn of thè WI￿1¢ in matters rthlkng to Inanri
managemeni8ryJ responsbility, savings and d8tstuntr￿.
To athle￿ this objeca, the charity s818 tri..
i. To en￿￿r￿g$ Sntrea8al memkwhip of cr8dit unlons by fomiul8tsTrJ a prc*Jrwnme d e(*Jc4tbn, pre*tbrkS 8+KI
ks.
ii. To er*b￿ to (knkjp and vnpn)ve thek sknls in mwaglro Ihelr L)wn finan￿ thKugh rromboT6hLD of a rrpdit
unlon.
. To peop￿10 ￿dar*Try th8 benefits ofrn8mber8hlp to a credft uriw.
r4. To el￿ti￿ly prcffloie lh8 88ryus of aBdtt LfftIc￿S by spealirg to groLPa VAthin ts lcd (￿nIn￿lIty are most
offin￿￿81 hdp
v. To krnote Ihe benefiisolLYedt un￿>Th ￿M￿erShiP to Inartkglty 8xduded gwApswlhni lh8 local CJJnvnunty.
To W￿luC10ngoIn￿ rn8rk8l re8e8rch th6 ffflarKkql nee(ts in ts l)caltommunWI
Th8 slrategle5 employed to athwo Ilk ctharltys objectl¥es ATO to grAwn￿ate r8BeN66 by fund rdslng and
then uging th888 fund$ to achkw the ch8ThV8 obS8ctlw.
Refe￿ce h85 b8en made to thè gLth￿ c￿l￿d C￿rfty Comnlssknn* ￿mOr81 gutdanc¢ on wbllc L*n6fft
vh*n ¥8Vi&4iry th& aim5 8rKI obje￿Ve$ aTrJ (n plsnniro Ih8 ch8ritys fuluTe #ctMtig3. In partkn19r the trustees con8idw
planned aetknttes ￿11 contributeto the glms end o*'e¢b¥es have sel.
8lunfflcanta¢llvlll•s
The charity has used t1￿ tknation8 and grants rncelved ts) f￿d an tyoyee has acbj as a $fthwls ty>c(dlnator
k) assist in edwatitin TO￿ting to finondal managem8nt.
STRATEGIC REPORT
Aehrevamonts and perfonnance
Charltab19 actlvttl
During the ye6r thè charty has fithds wlith are kj b& used b Ilxid Is oble¢tivos 018ducaticn kn respoct
nancial management ty ￿tin1•r￿j to ￿￿10Y a sd￿)1? ry)thknotor to 8ssis1 h 8du¢2tl)n relthg tr) ffinanda
M￿￿ent .
P4ge I

Yior Communlties Limited
rt oltheThiste
foi. the YearE
ed 30 Se ternlJer2025
STRATEGIC REPORT
Flnan¢lal revtow
Flnanclal po4lUon
Durlng y8ar the charity has recelved grants 01 £5000 from Ihe Jewrt Fund kn Soclal Ju$l￿ to asslst vrith thp cost5
ol the srhoolB co-ordinator to pr¢)mote the Credit Un￿n proiect ror A pwb)d of srx monlh5. ThiB tÉen treatsd as a
r8stiicted fvnd 8nd th8 nyMi88 r8C81¥*l ha¥e all t*8n expwKlod durry perfod oltheBe a(¥xAJntg.
A grant 01 £3,000 was reedved from th8 BrA)St smaR gran¢8 *Jnd l a psrtn8r5hip t*￿en SIV Chil¢*en's app&, Comlc
Rdief and the Ccqrs FoundatiDnl.This was lo A$￿t wlh Ih8 CO8ts of thÈ Jur¥or Squ6rtEts 5chod progTrmrno aNI ha
atso tr￿en treated as a restr￿￿ Ag8ln *1 re£4v6d have ￿￿n eXF￿d￿d durlng Ihe perirxl of these
aco)unls.
In Ihg prewous year wre hvo grarts RL*8rtson Trust to £29)O, £SCKS h respect ol
cost increa8K aTrJ £2000 frc•n the RobartsoTrTJust"W99 grants'yund. Bothgrants ￿re unr6Strlcte¢S.
In 21Y23 there was a grant from Lolhk?n Cwnc41 L*d8r Fund of £1430 This was a resffi¢tsd fvnd ar]d Vd5 lor the
wrcha58 of r￿c))mp￿1er equlpmentThi5 grsnt 15 bE￿g WTNten off In lkne ￿th depredalvjn on those
ith8 purth8￿ wlih the60 l￿d$.
There h8V8 been {br￿tiOnS from Caladon￿ti Credrt Unlrm Ihl$ year 01 £11Iy28 12024 £9246} and no other donati¢
rer2l¥ecl In eilhEr￿￿.
Tho main eXpe￿rture has been on ts wag88 pa￿ b the sclwJLIs efyQrd￿tOr t￿ther %*ilh other admlnL8tratNe
expenses indudng promofjonal mater1&. Total experwJrtur8 forlhe yearwnounied to £12574 12024 £120431.
TIy5 ha5 ￿Ulled In an exct53 of Incorr￿ overexwditura 01£84S512024 defic&01￿c1)Mts ov8rexpeTrJiture of£2g61.
Princlpal fundlng 80urc
The primpal fundiThJ 8ouro$ aregranlg at¥J dL￿atic￿&
R•8&Tve8 poIItty
chariW5 Fc4i¢y Is io expernl th8 majority the In¢xYng recefvgJ on ns thadtable 014edFv6s a￿1 not holj la¥gg
rosoive5. Th reservos held at Ihe end of the year wrre £6343 12024 neg8Ive £1121.Thls cortsi8ted ol unresth"(tsd
re$8Nas of£577112024 r￿gatiV& £970) aNI reslrlctad of£57212024 £ 8581.
Free re68iveswem £5771 12024 n￿atIve £970)
The reslrkted fund now in aeeJyJn¢s 8t Ihe year er￿ ￿late£l to a gtant fpcew8d in 2023 of £1430 knm the W88t
Lothlan t￿Jnu1 Leader Flmd for th8 wrthase of equprr*rtThe grant been used to buy a new laptop
computer.Th8 wanl is tsng Wrttten off In Ilna dwreaaI￿n thal I￿ 8nd thds at £57212024 £6581 at lh8 y8
end.
Gtsing roncorn
Thg truslegs h#v8 Cons￿e￿I F*)Bttion ward1￿ 90in9 ¢>Jncem .Th8 tNstee$ hove Iwked et fwasts ￿mI &re
saIbf￿d that the charity will have fjmds to continue to operate 86 a go[￿ COn￿r￿. Th2y have rtt￿Ved
assurar￿S from the board of the Cdedcfik8n Credt Union that t￿Y ￿Ver any costs In the pS￿d n exc88s or
nd1ruldc￿&Ilons reL￿Ve￿ ar¥J 80 Ihg tharfty I￿11 have thquat8 re8oU￿8 to rA)ntinue ts) (4>8raie for ts foreseeable
rtur¢.Addllon￿ gr8nt fundlro l& belng scught 8fKI kn gthlllon expeThJiture ￿11 not ￿ aulhoriwl unless 5ufficK8nt fund5
8r8 in Ha¢e.For these reasons Ihe tsu5t8e5 continue to ad¢W Itr￿ goiry Cor￿8￿ b8515 for th8 preparalk)n of thesa
finaKlal 5tstements.
Prlnclpal rtsk8 And un¢ert•lntle8
ThE tru5te8s have a duty to klenlfy and IhB risks to th*ty 1$ *yposed and to 0514)IBh syst8m¥ trJ
mlllgate Ihose rlsks. Intemal rfsks arè mlnSmi8ed by the [M￿eMentat￿ of p[0￿dUr￿B for th8 8uthorfsation of au
Ir8nsacJon8 and prqects and to enswg C(mp1w￿ legLI￿￿¢3rt.
Extemal risks r8lak largety to lunding as 8 resutt of the eCon￿1C dinate ￿U￿r¥d in di1fK￿ttrES In the tharity
5UPPOrtirvJ its projects espoualty lh8 r8csni d¢Mnturn in lh& •corthiy charlty h85 SoL￿t to mknlmbe thefje
rfsks with ts gsslstancé of grants 8ThY by not committbvJ to fu[￿11vj pr4￿ unknB 8ufficlent re80urc8s are kn ￿8¢e
118150 ILNJk to d￿erSIty fund￿ ilyequired.
The pro￿ureS are peri￿1%1￿ to ensure tw sdll me•t Iho napd5 oflhe tharty.
Futuro plan8
The charbty continue to oTh￿nUe to frjnd an employFo *Atho work wfth scho(As to aS8￿t In edu¢JlSon lera￿n9 10
n8n¢ial manag8Thnt.. Thg trusths will alw look to obtoSn fundr#J from dher lo Contin￿ thb chatlty¥ wotk for
Ihg forogeeable luiure.
Pa8e2

PtrloTCommunilie5 Llrnlted
Re rt of the ThistetB
lorthe Year Knded 30 S¢
¢Tnber 2025
STRUCTURE. GOVERNAN¢e AND MANAGE%IENf
Govemlng do¢um•nt
The charlty is a company Inth(I by guaratrtee. ￿￿[pOrated on 11th May 2(KJ7, reg&iet8d number S￿23549 arx
glsiered as a charity on 1st June 2017. The company waB establL%hed by a MeMOran￿m ol ABsoda¥on *hlth
est8Nished the ol¥"ects and pDwers of Iimit¥J comp8fiy and 18 govemed by rfs Artict8s of A8soci8tK)Tr. In th8 evenl of
Ihecompany ￿l[]g up lh9 merrthr$ 8re iequiledto cofttrknute atnount Th)tox(xethg £1.
RetnJltm¢nt and appolnlment of n•wtr¥Jst•es
To become a twstee ol Ihe tharity you tnust dBli¥pr to th8 corryany gn app1ka1￿ lor m8mb8rship. No ￿r80￿ Can
bewrr* 8 trusie8 untess they aFPr￿9￿ by ts Cwncl of Manag8ff*Tht There wo thr￿ thI￿tc(GItsU$tee5
and noextsmal trnBle88.
OryAnl8atlvMI itrutturè
The charity i8 run by Coundl of manapnent accetrfthg tts ol ts Ccmterry m*e 8U dedsions
teg8rdir¥J 51rategic rnatteTS ar￿ e￿nd￿lTe.
Indudkjn and traknlnp of n0wtru6ts•8
A ￿11￿ Inducling aThJ trainirvj InJsie83 has t*en 8ThJ training ¥95¥*)ro wll te given to w truslee¥ lo
farrilla￿ thomse￿￿ with the tharity 5nd th8lr Obligati￿$.
Key management ￿mY￿ent
A￿￿e￿ath)n of$toff is governpAI ty mathet rntos.
Rdat¢d parti
The twst88s of Il* 811 rdaknJ pathg are 8180 all dlr8(Iof8 of C8kgthnkn Cr8dSt Union Lkn)Ited
)n3￿J £11026 I2￿24 £9246) to the c*arity during the ye&r.The Credit Union a150 chorged them 8 £10 memt&shlp
fee In both the ¢utrent and premol￿ years.The charity receivgd a div#J8nd from tha Cradit Union of £112024 £1).
No rnonknawère b CaK8donlan Unlon atthe yeor end (2024 nill.
REFERENCE AND ADMINISTRATIVE DETAILS
R¢glst•red Company
SC323549 IScollaThJl
R9g1ster￿1 Chorfty number
SC38295
Rggl$l¢r•d offlcg
2A Sh￿1 Walk
mondbank C•ntr•
rusto
EH54 5EH
Yriwtee8
Mr8 N MaoJillivray
WYhom50n
B Hudson Ir8siqn8d 23,4.26)
J H Mcclay lapp)inted 23.4.28}
Company Socrgtsry
Ms J Snrfth
IndepBndent EY￿rnIn0r
Da￿ C Adams
LiTh1￿Y Adams knmited Chartar&lAccwntanLs
28 Pres(a)tt $￿et
Hallfax
West Yorkshwo
X12LG

Prioi. Commu]Ji
les Umited
i of the T Steeg
forth•Yefir Endéd 30 Se tembei'21llS
REFERENCE ANDADMINISTRATIVE DEfAILS
Credtt Union
Cal8dDnlan Cr£(fit Unlon
2A Shrel W81k
Almondsb9nk Centre
Graigshill
LlviThJslon
EH54 5EH
STATEMENTOF TRUSTEES. RESPONSIBILITIES
trustees Ivtho are also the dir8Ctors of Prior COMM￿ltIeS knmited for the wrFQ588 of ￿MpanY lawl a¥8 rB5ponslb18
lor prgpsring th8 Report of th9 Twstses and th8 fin8n(Aal statemenb in aCCo¥dan￿ wlh aw4rc814e Jw aTrJ United
Kingdorn Actountirg S18rK18rds IUnit8d Kirgthrn Gewally Accepted A(xJxJnbno Prod￿1.
Crynpany law req￿ts5 InJsts8s to pre￿re fin8nrial State￿￿￿ fcf each fiTran¢lal year. Ur¥J8r Ihal law, the Injsteeg
have oleL*ed to w8pare the $18tements in aCcOrdar￿ h￿th UnNed KIn￿JL￿ Ggngralty knc¢ktsJ Accounting
Pr8Ctir* (United ￿n￿l￿rn Accounbnu Stsndatds 8nd applicatrAg lawl.
UNJer (x)mpany low the trust•t# rnU8t nc* approve thè finArKA81 slaknerts they are satsfie(I Ihat they gwe a tru8
and fair w6w ol tho 8t81e of alfairs of Ihe charitable (x)mpany and of th8 Irici)ming resoLKC8S and *irAUon ol
resoLrn. including the Incorno and expwditure, of the Chants￿9 company for tho1 perknd. In weparir¥J thosè finÉncJal
St8t8rn8nts. the tNsiees are roqulred to
sekct suitsble a(t(KJnbrvJ polia85 snd t￿n appty Ihem consl$tanUy',
the methods and prlncytes In the C￿rille$ SORP.,
mako ju<*ernenls and 8stsma185 thatare reasonabfa and prudent.,
eP8re the finanrial Btatements c￿ the conc8m b861$ unless it is inapprcptsto to preswne that the charltqUe
companYw￿l continue in bu51ness.
Th8 trusiaes are rgspon8iblg for ke8pno prO￿*r 8¢0)Unl￿ re￿rdS ￿lch di5do8e wth rea￿￿8 8CCL¥ary al any
m8 the find￿ts1 po8ltlon ol tt)e charitat48 ojrfflpgny arKI to enab￿ th8m lo ensurb that the finand81 slatsmaTrts ojnpl
with the Ccrnpanies Act 2006. TW are afso resyJn5ibl& for saf8guardSng the asse￿ of th7rItab￿ conw8ny 8fKI
her￿ fortaking t9850n8b￿ steps forthè end detection of fraud ot￿r I￿e9￿L9nthe￿.
This t8POrt h88 been prepared in ￿rd81￿ with the swial provtsl¢Jn5 of Part 15 ol tho CCMpa￿es ALI 2(Ke reloll
to ¥nall companie5.
R•port of the Irustses
diTectorg, ￿.
alin
a ￿rateg[C rBwrL ffjproved by order of thg boanl of Iru5te8S. 88 Ihe wmpany
d s&3ned on th8 b08rd's behdlty.
MrsNMa
Page 4

nde
iident E
e Trustees of
l ¥eport M the a(thunts for Ih8y8ar 8nd8d 30 S8pknber2025 set oulon pagas six to f¢urtoèn.
R•$pectlve re8pon$lblllUe8 of trustees ond examlrnT
The charity's trustees arg resp)nsa)k for Ihe weparation ol IhB accounts th acccrtan¢e wrfh Ilp tgrms ol the ¢hailb86
and Truste8 Investmonl (St￿￿￿) Acl 2rK>5 the Ch&rities ACc￿ntS IS¢olandl Reguktions 2006 las amer￿ed).
th8rity5 trusta88 rxJnsKkf Ih8t requlrement ol Regulat￿ 1011llal lo Icl of the AcccAJn*s Ragthations doe8
not appty. It is my resp￿811 xlity to ex8min8 the acrA)unts 8$ requk6d unc16r Sod(on 441111¢) of Ad 10 5t2tg
whath8r wticuL8r matters have o)me to my attentlon.
Ba81s ol Independent ex8Mlnèf$ r•pDrt
&X8rninatDn was out in with RagU￿titin 11 of the Charftles AcL))unt$ Iscouandl Regula1bns
20￿. An examillatK)n thd￿18s 8 revvw of the 8ccounkn'Tra reGotd5 kept by the charity a compallson of Ihe accounts
prt*ntsd with those recoTds. M also tr)cJwJes conslderation of any ￿uSual itgms or disc4osure$ in the amnts, and
seeking explanats"L￿S f￿rn you a& InJ8lees &)ncemin9 any $uth [nait9￿. The FXoL￿dur85 urx18rtaken do nol prov*Je all
th8 evIJ8n￿ Ihat wLwlJ t* rw]ulrwJ in On audi( a￿[ cons8quenYy l (tr) expr98s an audit (ylnm on the view oiven by
tho actounts.
Indep8ndon¢ 9¥2mlngV$ 4tat•mont
In t1)nn￿l￿n￿$1h my eKaw4natKJn, matter has ecmeto my atten￿On'.
111 ￿l¢kn gNes me Tr8$onat4e cause lo bell￿ thal In any material t85PgL*, Ihg wuirgmgrts
keep aeeountiro records in accordance with Section 4q1118l of the 2005 Ad 8TrJ Regu18tion 4 of Ihe 2006
Armjnls Regulaltons., aThJ
to Ptepwe accounts records and LD COErWy wlth Regulatlon 8 of ts 20
Accounts Regulatfons
I￿Va not been met.. or
I towhlth, kn my 0￿￿on, attentjon 6￿￿1(1 te dravm In Inlar to gn8t* a kwer under6tsrnling ofthe actounts to t
re￿￿d.
l am Indep6￿ont of th6 d)artty In 8L%ordant8 wth th8 8thlc81 requlrements that rebvant to my Indapondant
13xamination of finan¢A81 statsments in the lJ<. indudlr¢ thtr FRC* Elhkal St8fKl8rd, 8nd the proms10￿ 8V8iIBtrA8 for
small ent41res in ¢ir<*￿star￿e5 as Set out in not8 15 to thanrial statsments, and I hav• fvlfill•d my ouwr 8lhical
reSpo￿￿ll￿a$ In accorda￿£ requlremgnl&
D8vid C Adams
The Irtsilluts ofcharterad A¢(x)wrtants kn Eroland arKI Wales
LM8yAdam9 Lknrted Chartered Accountsnts
28 Pl88r￿tt st￿et
Halifax
styorkshlre
FLX12LG
Page 5

ullltles L5mltt
IAI AttivitTes
gn liicome Exp.enditure Accouxt
for the YeHI' EDded 30 Se tember20
eo
3th9.25
Total
30,924
Total
funds
Unrestri¢t¢d
fund
Re#ri¢t
funds
OME AND ENDOWMENT5 FROM
Dona￿0￿ aNf leg8cre
11.028
B.000
19,028
11.746
In￿Stmen1￿￿rne
Total
11.029
8,000
19.029
11,747
EXPENDITURE ON
Ch8rMabk 4¢tlvltlo8
Gener81
4.288
8,286
11674
11043
NET INCOMEI(EXPENDmiREI
6,741
12861
6A55
(2961
RECONCIUATION OF FUNDS
Total fund8 brouthl fornard
1970)
11121
TOTAL FUNDS CARRIED FORWARD
5,771
572
6.343
(112)
CONTINLNNG OPERATIONS
All inc￿n8 aTrJ has orben from c4)ntinuhig act￿￿0$.
The notcsforn partofthe5¢ financtlll stat¢ments

munities
ce Sheet
tmbtr2
30
30.9.25
30.9.24
Totsl
funds
Untestricte
nd
Rostrieted
furtds
ruMd¥
Notes
FIXED ASSETS
Tanglbb 88sets
10
572
672
858
CURRENT ASSETS
433
6A73
433
6,373
Cash atbonk
6￿06
Q806
CREDrroRS
Amunts tslling ￿lhI￿ yg8r
12
{1.035)
11.0351
(970)
NET¢URREMT ASSETSI(UABILITIESI
6.771
47n
(970)
TOTAL ASSETS LESS cuRRETr￿ LIABIUTIES
5,771
872
(112)
NET ASSEYSIILIABILITIESI
6,771
572
{112)
FUNDS
Unrestrlcted fuThSs
Re$trict8d knd8
13
s.n1
(9701
TOTAL Fi￿Ds
11121
The tharlable entided to exemty.on fKm ufvyer Section 477 of the Cc￿￿rieS 2Cth for t￿ year
eTrJ8d 30 sept￿bar2￿2s.
The rnembers have Ml requlred tt￿party to ct>tAin an audr( of its fin8rKial ststhents for th8 year en(knJ
30 8eptember2025 in accord8nc￿ with S8dion 476 ofthe Cwyyes 2(Kl6.
The trustees ¥cknTh￿￿gO th8tT r8sponslbffllttes for
IA)
8rK8uring that the ¢*aritaNe ¢ornpony keeF6 a¢eJMmtiig records lh* wth Secti￿3 386 387 of lh8
Companl&s Act 2006 and
prepgriro finanraal s¢alwnents vthlch gfve a true and latr wow ol stats of affairs of the chatitabl0 company as
at thg of eath finandal yBsr and of its surplus or d￿rAt for each finanaol y8ar in wJrd8nce wth the
requltements of Sections 394 and 395 whth othwwse comily with the rwuiretrwrt5 01 Compan￿5 Ad
21th relating to ffinandal statemEnts. so￿￿85 applicabb to thg dwritablg C4Jmpany.
(bl
These fina￿la1 statemgnts hav8 been prepared In wfth Ihe prth￿￿)n$ Sp￿￿5￿A8 to cry8ni8s
sub￿rIt0 the smau companies wlmé.
8PPto¥td by th8 8Lwd ¢1 Trusleos aJKI authorisgj Iy 188
j.were s￿d on trohalfby..
N Margliv
Tr not¢5 forn7 part of thesefinancial statements
Pag¢7

Prloy CotnThullitits Litnited
oteB to tht Flnfftjh
forthe Year Ended 30 Se
emb¢r 2025
ACCOUNTING POLICIES
Ba81$ of prnparlng the flnanclal stat4n4nl8
Thg fjnanclal statwnenls of Ihe tharitsble (aynpany. which 15 8 wblic b8n8fft entity Jjnder FRS 1￿2, have teen
wepsr8d in accordance %*ith tre Charilles SORP IFRS 11r21 'A¢Cowt￿g Reporting by Charities.. Sta*em8nt
of Re¢rmrnende(I Practice gwIica￿e to charili8s proparfng accounts in ar£￿ar￿* wSlh ts Fin￿al
Repoffjng StarKlard 8pplkable In ts UK and RBpubJl¢ of Irejand IFRS 1021 {eflecM 1 January 20tg1'. Flnand41
Rwtirg S¢aTrJard 102 F4HnLyal RepNUrvJ Slandard applkable In the UK Bnd Repthlic of Irdanrf the
Companth ALI 2006. ThE finamal stAiwnents have prep8r8d urKl8r ts hi8torical CAJStcLJn¥*n￿n.
In¢om•
All Is wnlsed in Statement of FInanc￿l Actswti88 onr£ th8 thadly tta6 entlmemgnt to the fvnds. It
YObab￿ Ihatth8 income wll be tpeaved lh8 amount be fflea5u￿d reli8bly.
Grant Incone 15 mcogn15wJ ￿ the ￿Corne expenditure acwjnl so as to maich ihem wlth th& experdlbfft lo
which tlw aT8 intgnded to wrtribute￿d cornpty %4ith any condths attachett to thesr recelpt.
Expendlture
LI8birit￿$ sr8 tgUJgnls￿ as exFeNJliure 88 800n as IheTe B a bgal or t¥Jnthdve Ob￿atiOn t1￿Mittl[￿J th8
tharity to that exp8n(Siture, ft ig wobBble th818 tral￿fer of e¢on<mitt ￿nefits wll b8 f8quKed In Set￿ement a
the ￿¢unt tsf ¢)Uig81ion c8n be mèasured tBliaNy. Expsrnliture Is 8co)unted lor on an acctuals basls arKI
has b8en classifi￿￿ under Ikodlngs that agw8gBte all cfjst tdated lo thè tategcry. Vth8re costs camot
iredy attrbuted to headlngs th8y hove been 8llek8ted to 8GINili8s on 8 baskry Q)nw8tent with the ust
of resouth
Tanglbl• flxod aEg•ts
Deprerialion is provMled at lh8 Idkjwlng amual rates in tu wrile oll @ach a589t over its 88￿mated u8th1
ife.
CL¥nwter gqvipmgnt
20% on ¢ost
Taxauon
Th8 charty l¥ exempt from torporAlon tax on tt8 th8rttabb
Fund ae¢ounting
Unre8tryEted fvnds rAn te usad acc1)rd8r￿ tharilaNè ot¥ectiVÈ8 allhe dBvdion clthe bijstees.
Restiict8(J fund8 Can ot￿Y be ￿ed &)F partiojlar restrithd purposes Ihe obleds Df the ch8rity. Resfrirlor
aris& w￿￿ specffiedby the donor cf funds aro ra[￿ Icw psrtlcJJl8r r8stric*d purpos&s.
DeWLB of restrthl fund8 in the Th)te819 the acrxjurts.
Pon8lon ¢o$ls and other po8t-rdlr8m8ntb•noflts
Tho tharil8ble company operate5 a defi￿d contrlbulbn pension 8th8m8. Conlributlo￿ payaLYo to
tharit8b* pen%on scheme are charged to the Statement ol Flnonoal ActhwI￿s in Ihe porknd to whth
Ilw r8late.
Goln9 COn￿rn
Th8 truste￿ have wnsKlered IhB Frf)sltlon rgJ8rdlro eonom .Th6 trusts85 h8V8 looked at fowAsts aThJ
are 8atisf￿ that Ihe charity WAII h8ve Suffic￿nt ￿ndS to continua to opernte as a g0Sng tsJn￿rn. Th8y h8¥e
recelved sssurances fvom th8 trt)ard of Ihe CatedonSan Credit LlnioTh U)at Ihoy NMII Ltvar any costs In Ihe ln
excess of fvndingldonaUon8 r£c8lv8d 80 th8 L*arity WAI have adequ9te re80urc*s to ¢xntinue to Ok*r£te for
the foreseeable futuTe.Addillonal grant ftxwjlng b bwng sought and in ￿dit￿n eXpendIbJ￿ ￿11 not be auth￿￿ed
unless sUffiC￿nI fi￿d$ a￿ In pl*E.For thesa r8ason& lh& truste86 ts)nb'nu8 to adopt the going conc*m b4$1s for
th8 preparotkn of Ihp5e finarrial 8taiemenls.
Flnan¢lil Instrnrnents
The chwlly only ha5 ffnarrial a88ets and finanda It8blllbes of a kknd Ihal qual￿ a5 bgslc finanaal h)strumènlB.
S9$ic finondal kn1ti8lly tsLY)w188d al trartsactrjn vdue $ubwuèntly m8asur8d 8t ihelr
8￿￿Men1V￿1Ue.
Poge
o]rtitEued..

Prior
FiL)ahdal Stitemenf
h Year Ended 31J Se
ternber
DONATIONS AND LEGACIES
30.925
30.924
Donalcffls
Gr8nts
11.028
8,000
9,246
2.500
19.020
11.746
A gronl of £5.OCKI wa5 I￿￿ed from th8 Jesu* lu￿ for scciql justits to asgst wth th8 Costs ol Ihe $c*ools
co4(dlnafor lo promote thè Credtt Unlon proiecl for a p8md ol SIK mrmth8. This has been tre*d As a restrlcted
nd and Ihe monies r￿1¥8￿ hav8 811 been expended In ihe p8riod of these ac￿
A grant 01 £3,000 ￿N8d frorn IhB Boost small granL% l a pathe[s￿p trtheen STV ChihYr8n's appBal.
Ccmic Rdkf and the Ctsrfa FOUTKI*￿l.Th￿ Vfds to assfyt ￿ th8 ojsts of thjnior Squlrrets sthool
programme
In prethus year Ih8re wr8 urants re¢elth from th8 Rcberbrm Trusl 8mouth"NJ to £W in resp6rA of
01st of INiry and £2tXJO f￿ lh8 RO￿ts0n Trnst" W99 grants.. Both grants unr¥51rid&l.
Th8 grant from Wesl Lothlan Counul Leader Fund of £1430 in 2023 was 0 restricled fijnd was for th8
rd)a$e ol newequlpm8ntThts grdnt b bel￿ wrtt8n off in line wlh 1*preG18￿0Th on IhLEe
INVESTMENT INCOME
30.9.25
30.9.24
DfvKlarvJs roc*fvablo
CHARITABLEAC7MTIES COSTS
Svpwt
e05ts {5ee
Th)t¢ 5)
Dit¢¢t
Totals
GEner&l
11,484
IW90
12,574
SUPPORT COSTS
Genernl
1,090
Pa8% 9
continued...

rlor Communities Lirnited
e Finfinei*l StA
e Ye#i'
entS-
embet'2025
ed30Se
SUPPORT COSTS-continued
Support costs, Ind￿￿Ed in the above, are as folbJw8.'
Govemancè co¥ts
8￿9.2$
30.924
Totsl
aciivi¢i¢s
Gen¢rnl
AccountarKy
Ind¢p￿ellt Eyomination
457
633
330
659
1.090
989
NET INCOMEI(EXPEND17URE)
Nèt incom?Ilexp8rxlitur81 is stat£d after th¥gin￿{Cr8d[￿[YJl.'
.926
30.924
Dep￿latiOn. owned assets
TRUSTEES. REMUNERATION AND BENEFITS
There hvre no trustees. re￿￿￿ration or cth?r be[￿fitS fDr lh8 year ended 30 Septsmber 2025 for lh8 year
ended 30 SgPt8rnber 2024.
Trust￿. expem
There w8r8 no tr￿tea￿, 8xpnse8 paid th8 year ended 30 Septsmber 2025 nor frf the year erpjed
) SeplemtrAqr 2￿24.
STAFF COSTS
30.9.26
30.9.24
Wage5 aThJ salari8s
Other penwn costs
9,104
86
8.455
67
9.1B9
8522
The avor•3e monthty numberolempluy88s durfng th8 yearwas as fr)11
31x926
30.924
Schc4)Is cmrdinak
No ampwag rec•W wnoKtments In oxc*88 01£60,IJ
Page 10

Prior
mtsn
ited
o tILe
the Ye*r
tmber
¢OMPAK4TIVES FOR THE STAYEMEKf OF FWANCIALACTMfiES
Unresttided
fi]nd
Rrstric*d
fijnds
Total
nd5
INCOME AND ENCrf)WMENTS FROhl
Oopalions and legarAes
11.746
11,746
Inweslment In(x)m8
Total
11.747
11,747
ExpeNDITURE ON
Charltabte acttvltF•s
Gtnepdl
11,757
12.043
NEf INCOMEI(EXPENDrruREI
110)
(28fj1
12961
RECONCLIATfoN OF FUNOS
Total funds brought lorwa
1,144
TQTAL FUNDS ¢ARRIED FORWARD
1970}
{1121
10.
TANGIBLE FIXEDASSETS
Co]nputer
uipment
COST
At 1 CttoLwt2024 r￿d 30 Sept￿Iber2026
1rt30
DEPRECIATION
At 1 Odober2024
char￿ ￿ryear
612
At 30 Septenknsr 2025
NET BOOK VALUE
At 30 Seplgmbw 2025
572
At 3) saptsrnbW￿24
SS8
11.
DEBTORS: AMOUNTS FAWNG DUE IMTHIN ONE YEAR
3Q9.25
30.924
Prepayments
433
Page 11
cottunued...

ote5 to I
InAntlAI StAte
for tht y¢ai' Ended 30 Se
¢emb¢r2Q2
12.
CREtXTORS.' AMOUNTS FALLING DUE IMTHIN ONE YEAR
30.9.25
3Q.9.24
Accwed e%pen*5
1,035
970
11 PIOVEMENT IN FUNDS
At
movement
io fvnd5
At
30.9.25
Unrg¥trlGted fund$
Gen8ra tunrl
19701
6.741
6.771
Re8trlcted funds
IAÈs1 Lothlan Lea* Fthd
12881
TOTAL FUNDS
11121
8,343
Ngt MOV￿￿nI in f￿d8, in¢lud$d In ts *rNe are 85 folbws..
Incoming
resou￿¢$
Resourc&
expEndEd
Movement
funds
UnTwffi¢t•d fvnd$
Ggnora1 fvTrJ
11,029
14,2881
6.741
Restrlctod lunds
West Lothlan Collncil Leader Fund
Jesuit Fund for Sc¥>81 Jusotè
Th8 Bco5t Sm811 Grgnts Fund
12861
15,ODOI
13,0001
(286}
S.QDD
3.000
8.000
18,2861
{2861
TOTAL FUNDS
19,029
112,5741
6.466
Comp8rallv•8 for mov•mwtt In lund$
Net
movement
in Sjnds
Al
1.10.23
At
30.9.24
Unrè8trlcted funds
General ILThI
I￿0)
(io}
19701
Restrl¢ted funds
West Lothian Counryl Leathr Fund
1.144
(2B6}
TOTAL FUNDS
1296)
11121
Psge 12
continued...

PrIorCommu￿1t￿e5 tArn
Notes lo the ￿nancial Stitements- contiTrued
forthe Yelr Ended 30 St
ember2025
13.
MOVEMENT IN FUNDs-¢On￿nu•d
ComparalN8 not movament funds. induded In Ihe 8bDve are as folb)ws.'
Jno)ming ResthJrce5 Mov¢rt)¢ht
resources
Unr8str1¢tod fund8
General fijnd
11,747
111,757)
1101
11•6trl¢tod fuwJ8
St Lothw Lgader FurKr
(286)
(288)
TOTAL FUNDS
11.747
(72,043)
129SI
A (ajrrentyear 12 months ar￿ PJiDfy8ar 12 monlh8 ¢￿￿ned poshbM Is as f(lU￿..
Nd
At
1.1023
At
30.9.25
UnYe$trlcted lunds
General fwd
731
5.771
Re8trlctsd funds
Wast L0th￿n Coundl Lea¢Yer Fw
1.144
{5721
672
TOTAL FUNDS
6,159
8,343
A eurrenl 12 monltro and prior year 12 rnonths comt4￿rt nBt mvemont in fuTrJ4 indud8d in Ihe ab￿ are
as folIc￿..
IrKorning RE50urcts
¢xpend
Movement
in funds
Unrestrlcted fund8
General hjnd
Z4775
(fje,045}
6,731
Ro8lrl¢t8d fund8
sl Lolhian ccXJ￿ll Leader Fund
Jasull Fund for Sock81 Justi
The Boost Smal Grants Fund
15721
{5,OLX)I
I3,0￿?
15721
3.000
000
18,5721
15721
TOTAL FL￿s
30.776
P4,8171
6,159
R8slrirAed fvjnds Ircm tha IA¥st Lolhlsn Cwndl Lead8r Fwd reth to 9rants rocdv8d In rospgct of c4plt4 ltsm8
h are belw ￿Illen off in Iln9 wlth (*redallon on those items
Tke restri¢teLI frJnd fvom the J85uit fund Icf social ju$tKe was to asspsl th8 C0515 of th8 ￿cl￿5 c￿rdinator
lo promot8th8 cred￿ Unlon pmje¢t for a pertod of slx monlh
￿$tr(cled fund from the Bc4)st sm911 grants l a parthershp batsveen STV ch￿ren¥ apwl, Comlc
Relieland th8 Corr8 F¢yJndaUonl Vds to 855i5t with th8 CDsts of lh8 Junk)r Pquirrol$ school prO￿ammO
Pag¢ 13
continued...

Prloi. Communities iAmlted
Notes tothe Flnlncifil
tAtemeNts- eontthlled
forthe YeArEnded 30 Se tember 2025
14.
RELATED PARTY DJSCLt)SURES
The trustees ol thg r*arity at8 811 r*lated part￿S and are gjso all dir￿r8 cl ca￿d￿nIan Credrt Urion Ltrnftad
whth donated £11,IJ28 12024 £9,2461 lo the tharlty duri￿ lh9 ygar.The Gredll Union also th8g8d IfEm a £10
membership 18e in both the ¢urrent weMOUS years .The charity r8cthd 8 dNvJEnd from the Cr•ll UThon of
£112W £11.
No rnonieswer8 owirg to ca￿on￿n Cre(S1 Urffon att￿ yearend12024 nll).
15.
NON INDEPENDENT EXAMINERS SERVICES
In common vAth many olher of sizo a￿1 nolure, w8 LBe our indeFeNJent ex8mIr￿rS to ￿epa￿ and
submlt retrjms to lh8 tsx and asslst tk8 wlth thè praparalton of fhg fnand81 stst0m￿ts.
Pag¢ 14

nor
ommu
mited
DttllTled Sknte
Atliviti
30.9.25
30.9.24
INCC4IE AND ENOOIWIENTS
Lbnatlons and legacl
Donatknns
11.028
9246
2.5(Kl
19.028
11,746
Inve￿ment Incorno
tl"wdends re￿VatIe
Total In¢omlng resour
19.029
11.747
EXPENDITURE
Charrfuble a￿1VItI89
104
8,455
67
387
320
io
359
1,170
286
Pgrtsk)n$
Irygur￿
Printing and ststk)nery
almlnlstra￿OD fe88
Travel ex￿n$85
Prom¢Jlional meterial
ComputereqU￿￿epreC￿8
428
10
3rJ
1.194
11A84
11.054
8upport ¢o¥ts
Gwornanco costs
Accountancy
lThlependènt Exonwwtv)n
457
633
330
659
1.090
Totsl re50urcLs expeTh*d
11574
12,043
l*t Incom•ll8xpendilurel
6,455
{296)
This p8g¢ d￿5 notfotrrL part ofthe statytory fmaThctal stattments
Page IS