ItF.GtsrERED COMPANY NUMBER.. 5CJ61695
REGISTERED CHARnY NUMBER.. SCO40818
r￿￿al Svaernen
onkl Tnt#
*AF36JLSV•
CCW*tr41ES tr￿lIsE

fxrrn
ients Dftht Finartial StatE
foTthEY
RepDrt OflhtTA￿￿5
IndÈpEndtnl ExaminErfs Report
SratefflentofFinanti￿ Aetivmes
alRnce She
Natt5 wthc ￿n4￿ClaI Swemen15
Dewied StaLeMtnt of ffinantial ActrwiDes

WWDFARM EDUCATIONAL TRUSTI2￿25)
TRVSTEES ANNUAL k8POkT ANDACCOUNTS THÈ YEARENI)EDJI ￿1￿u5T￿l2S
copfrACT ADDR&￿.
l Burns Grovt, GlffnocKGl*sgowG46 7HF
IK accordance ￿ryth ihe con5DtytioTr. the ap￿nD￿nt of TnL*tt￿D*￿c¢ors is recommendtd by an Ap]knnlmtm5 PAntl ty the B(¥rd of
rectorsifrnsttts. on the of req￿rtd skills artd tAIXritrtt. ￿ ensvrt ttAxLg efftrnV¢ Bobrrnance. ApwnDneNs are made ￿th
Lo the skills ￿¢￿35￿ry U) T￿￿'s¢￿Tr￿bkFWp}X$￿d effeaityt owerri8hL
CHAIITfABLE PURPO￿..
rpllrp)su.os rtcorded in owconstituDOn.4YethefollowitsB:
Tts*ivart£t tu￿.*10￿ cultwE. herif4C andBliwon fortheF41bJic iYDEfitarnTht8the Te&dtnts of Renftewshirt the
Mirtotiiy Ethnic Mwlim Comrnurnty.
To and rnUAI hanknony f¢rtht ￿NiC1%￿fit ￿deDts oFEa* Renfrewslirr.
Over the year 11 September 2(ll4- 31 *O251. & ranÈt ￿17￿. culwrnl and soci￿ xtiviiies and evtrt% wr.re
dtliveltd In furthetaJKt ofthE TTuY'5thari￿1e. K•y a(¥vitic5 ifKlu&iJ..
Coniipu*ioTr ofthe WEC )Syll&s ftt SchOo>sclas￿ r￿l￿S a￿d f￿th.bl￿dedtthonI￿o pewal
devtlDrfftntopp)rtuniti¢$.
d¢liv¢ty iifiglgthic Afi% ondcrnfij Woi*sTrivyb fwPA)y* knd 4￿j Wimer themed worksws. the
Ramadèn WoTksknp4rtO tht In¢r￿&VE Hall W(wk5hup forKidi
Iir launch of* h[$t￿..1ts.kindthlldrrn's workshop the AbratrthnNcfaith4 with rlrtd￿￿o￿II story of
M05es a￿leD￿j$J￿￿￿BUr￿rllllttdIng0f shaytd htriugt.

The Intr￿UCtion of an ongoing pn>grammE of ftmkle.led seminars.athtrES5ins P￿)¢>7 day4trO*y r￿llerS4￿d E￿Il￿n9 3
wpptyrtTrve sp¥e foT to engage 5tek gwdarKe.
The contsnll&ion of'meet the WEC Imam" ￿lOW1n8£0￿#￿lY NYrteT5wse¢kroDfidential alvice and tA5toral
Bui￿re. e%*nded 5E5SiQD5¢knn8 Ramadan.
Regular fwth.basedAnd CrOnmth￿y￿th￿ties(r￿uinthed th￿￿th(￿￿theYcIrl￿ liy t￿theTFuM.s charithwe purpose5.
A key d¢velopmentdllnnE this period was tht progression and thnis*attof *plannini Wh￿l0￿f¢raF￿oP05ed spo￿h￿l7 extension dthe
rearof ihe build]n%. The PfW581 i5imtnthd ioim]*tht the quolity glltsbility of yce foreli￿1￿8 athvlltesarwl users And
r¢I￿lThs Subjttl to thy sawr0ryplan￿llÈP￿￿5s.
The Trust rcmains Lutiiiilitted to MLin￿nINg tht utban Èreenspte In8lEw￿ Aven￿￿ In liTre eAbblished traffjc nwtrnent
m¢¥urts. Itcts$tOiiriTW5toow* frgfft 11(thiee helpiD8ty nwern￿En tht SUfftyJndu￿
The Ceniye opcrdte5 undET an estsblished Traffic ManaEthert FIAJL indudinl a'J Car Park Overfiow Policy-. Mewarding during
prvdictable peak attyvt On.9¢¢ mw8ery￿nl Trse arransemenES are kept undtr fe8ulaf to SUPPM Safp and
reswn3ibl¢ site Oper￿]￿
The C¢rttrt tortillut$ ￿ nuke ￿¥#It wkmg av*knbie w 5UPP)rt l(Yal 5cknI dropoff and t1ck.up acti￿[Y durinl ￿ak ￿tt(th. Trege
Tf4n8erne￿￿ assi# in faciliwiD8 orderly vebicle rmvement in tbe ￿0￿n&￿tart￿ Tht T[￿1[ also Gowtilvth tDwth5the mWTW)anc¢ and
Yestrf>nsible useofthe nethy publicur rArk. Suprthitt8 *idÈre(Imrnwiity acress.
ov￿1, 202dk25 h*5 ivh x yurof ymi￿d¥CFV￿t deliw. DpeNionDI overri8FAand Mea￿edf0￿ATd plwming.
For the fjnanus) yeor endtd 31 2025. the did re(*iwe Ally or expenses. TnLStees served tntirtly on
wo1￿￿tary rtCei¥td no fin￿(La1 d￿ringthIs ￿(￿J. All tyusttt5 contint*d th wolurneerththr time toenswc effecove
Ernance ovtrsi8hl of Ibe'fr¥#'5 aCIiVWXS.
RESERVES
The Tru* cutrrtKly hilds a bhlaDre of aFvoxiTha*ly £1.469.272. thch ￿11 bE used rarry coDtywin8 mairfenAnce of the
PTem15es. addition w meetsng ruAninE Wsts during the c(xninÈ yw. Re5eThrs r4inMined at o level a)n$￿Ted apPTOpn￿ i
Operation￿ Stsbility and pl1nrtd￿yL￿es.
The WEC ThJ&*& *aff and volurrteus are indel￿ed10 the Rprrsu*ativttE fortheireDntirMLinÉ WV>TL
In thi y¢ar. thE Truyees V•ill CDnliDW ty eD8age the c(xnmufAty to SuKpJrt &ve1o￿eDi of sws. ed￿*10￿1 Ènd
farnily acllwiiies. including pro8fAmmts tor w(then. older andThthr.aryJ.i(dther 8rrALPS. FJteTh￿ funding opwwits¢5 will CONiDue
to ￿t￿P10¢d to supp)n¢thtstiotwi. ￿VIr(￿ne￿￿ sThiwellbebn8iThiiabtrt
ADnu•l Tr￿ Report f•r I4￿￿.￿P￿r*TQd bytr W 4TTvSltes￿ IS Vtb 2426
Slped 04 bEh￿t￿tr BTr*T
R•thl¢L Thqirpt¥sthxllSFeb2426)

Tnd
&idenT Examtn&s
the T￿￿[
T rwrron iheEccounts far the ￿r tndtd 31 August 2W25 sd paBts fi* to t*tlvL
Respettive respwslbllldes ottrW5tees attd ey•Miber
The charl￿$ trtLSttts Are responsible for the preparatton of im *¢¢<￿¢t with Ih¢ itrnss Df the Chariii
The charitys tn￿lee$ ￿sIder ihai Ehe audii r4uiremeni of Regulation IIKIX&l to Icl orth¢ AtcouTrt5 R¢sulaiion5
noi apply li is my resP￿SIbilIty to txamine th¢ *c¢wnts a5 Nuirtrj undrr 44IIKcl of the Ad and to
%rnt¢ whether parii£ular matters have come to myaEtenticm.
B*s1s of tht Independen¢ èxamSJb¢v's re￿
fvfy txamination wa5 ca￿1¢0 out in ac￿dance wilh R¢gu)atiM I I nf the. c￿rItI￿ A¢<oLthti {Scoll￿Nd) Regul&Li(Nix
2W6. An examination Trncltsdes a rtvivw of the act￿ntIng rwds k¢pi by th¢ charity #nd a comprison of the
accoJnis. artd sttking explaAaiilirts trvstEt5 ￿t¢￿ing a￿Y such matterk The prwedures undertaken do
provide all th¢ ¢vithce that wypjld bc r4uiTfyI in an audit, arld cmsequefLTly I do eApres¥ ¥n audil opinityi oil
th¢ view 8ivoI by the acccunts.
Independent tx*nbJntr's stxtemeot
Tn wnnection wilh rny examination. no has comc to my '.
to kety acc&]niii18 rtcords in a¢ctydartt¢ wTrth 44IIXal ofthc 211)5 Au and Regu14rton 4 of th¢ 2(#16
AcC￿nE5 RegulaiioD5' and
to prepare aCCOllniS which ac¢ud with the ac¢ththtin8 tettyds and to cthhply wilh 8 of the 2Crt16
Accwnts Regul*iion$
havt not beth (
EO Whic￿ in my Qpinirrf4￿tl￿￿ sh￿Id I￿ drkwn ITh to thublt¥prtytr Und#s￿di￿$￿f theac£ounts ro
t* re&ehe
d/
BRENDAN D MCNULTY fccA, TNDEPENDENf EXAMINbR
The A$striAtion ofChartv¢d CertIfi￿t Accountsnts
15 Fe￿￿2026

rm Educaiion
fFin
Dciol ACti￿ti
forthe Year Ended 31 Au USE ￿25
31.8.25
un￿Sthcted
fund
31.8.24
Tothl
funds
N￿e$
INCOME ATr4D ENIK)WMEins FROM
Ll>naiions and Itgacits
170.255
IfA).408
EXPENDTfuRE ON
Operational ro#$
7,082
23,727
(kher
111.449
73.750
Tot*1
97.47?
NET INCOME
51.724
62,Wl
RECONCILIATION OFFUNDS
ToLg1 furtds brwghi forward
1,417.548
1.354.557
TOTAL FUNDS CARRIED FORWARD
1.469.272
1.417.548
ThenrttsfoTm of these fiparKial statem
Po8t 5

farm Educatso￿lT1usr
BalRnc
She
31_8.25
Unrests]¢￿rf
fund
31.&24
Total
funds
N¢xes
FIXED ASSETS
TanÉible assws
1.368.920
1,344.OY
CURRENf ASSETS
Debiors
Caxh at b￿lk aihl iii knIMI
995
IV4.553
995
2.464
105,Y8
83.459
cRE￿￿oR$
Amoun1& f#iling dL* wiihin onc year
15.1961
(9.9451
I￿.552
73.514
TOTAL ASSETS IE&S CURRENT
LIABILITIES
1,409.272
.417.548
Nff ASSÉTS
1.469.272
.417.54
Unrestricted fund5
1.469.272
1.417.548
1.469 272
1.417.548
Tht chantsble cOm￿nY is entided to e¥eThMion fr(￿ audii undcr Sttbon 477 of the Conipijits 2￿6 fur the year
ended 31 Augu5r 2025.
meTnbrT5 ha￿ required the c4xnpmJy an I￿)Ll finartial s￿eMe￿IS for the yellr ttrdEd
31 August 2￿1$ in x¢ordarKe ¥￿th Stctiom 476 of tht Cofflpanits 211
Tbe mLsiee$ atkntswledge thEirTt5rX)Th￿knIIbt5fOr
ensuring ihai the charitsbk ¢ompany kteps xcrwnli￿S that comply with Sections 386 and 387 of i
Companies Act 2(MJ5 2nd
preparinÈ finarttial wh5ch give atDJE and faiT view of the staLe of affAif5 rftht ¢hantsble ¢tyDpan) a5
at Iht tftd of e*h finallrial ycaT and of its sulplus OT deficii for t8ch finaiitsal yrar Uli￿13nce wilh th2
T¢qUiT•nellrs of Sectyon5 394 and 395 3ThE which othtmst ¢ornply with the wuitrtnent5 of ihr Companies ACL
RlaDngtoflna￿1&I ￿alements. 50 far as ¥olic•ble to thE chgritablE t(￿[￿ny.
Ibl
The form tArtof tk%t finarKial stareTherts
ntinu2(L..

farn
N￿e% io the ￿￿￿1￿191 Striem2nts
forthty
Ar
ndtd31 Au
25
ACCOUNTING POLlCtFS
Basis of prep4TlTr< the fiD4ncial Aatemtnts
The financial staiements of the Charits￿t ¢(Anp￿y. which i5 * pthli¢ benEfii rntiiy wder FRS 101 hovE b2eTr
prepared iti ac¢ordan¢e the cl￿￿111¢$ SORP (MIS 1021 Accounring and Rewting by Ch2rities'. &atemtnt
of Re¢ommendtd Prauice applicablt io charitiES pRparinE their x£(xthts In accordantt Financial
￿PplICablC in ilie UK aiid Rrknknlii uf It￿1&71{5 (PAS 102) lefftthvt l J2huary 2OIy)'.
Financial Rerffttng Stsndard 102 Tr Financi￿ RewrunE SL￿dard spplicablt En the UK Republic of
Ireland, gnd Comp8Mie5 Act 2Th￿. Th¢ fjnwKial *atemert% have PTPPTPJI iiThk•.r fhe hIS￿riCal cos1
convention.
Income
All in¢ome is recogm5¢d in tht Sw¢n*niof litt*￿4] Acti￿17e5 on(r the charity hAse￿￿tleme￿ to1￿ funds. it
is PFobAble ih#i tke irt¢0￿￿ will ￿ Tt¢cived andthlamsxmi can bE TEliably.
LiabiliDcs are rEcognised a5 expendiiuTe ￿ SIMM AS there is & ItEal or ¢￿S￿*11¥t cknligaDon ¢OTnrnitEin8 the
chaniy io that expenditure. it 15 probabk thAt a transfer of ¢con(xniC iyrtfits ¥￿11 be ￿q￿lTed in 5eitlemeni and
(he am0￿1 of the d>liE8tson can be mtasiETtd Ytliably. EKptn(biwt 15 for op aN accruals ba￿& and has
betn Glassified undtr thlli oEgT¢gtyrr All rt￿￿¢d to category. Where uLNTK)i be directly
attributtd to partiCul*r hradirtgs thty havr beeTh alkutd io ￿1￿lIeS on a con5iStrrt wilh the use of
reswTces.
Tgntlble fixed •wts
Dew¢i*iw 1$ pro￿￿Ed J tht follo￿nE annu¥ rnes order LO write off exh a$5et over ils e*im4ed useful
Fi%iurt$ andfittiDBs
15% rm red￿1￿£
Tax4tion
The £hariiy is exemtrt fm coypwation EaA on itsthaTithlt
Fund accounting
Unrestricied funds can be th5ed in a¢cordan¢e ¢barityble (knJ"e¢tr￿5 *the 1th5crrtion of the thLSte¢s.
Rtstric*d funds can ohly be ￿$¢d forptDtyJlar rtstyic*d ￿rythIn the obFcts of the ¢h8)ity. ke$tn¢ti￿$
arise when ythfied by IF* dowoT wl*n fvnds art r￿Sed forjmrticularttstncitd Fxup05es.
FwthtreAplaDautyb of the a￿1 PUTP>St of exh furKI is inclthditt ro finwKi#l 5trtement
T￿ngIble hxed wets
Premises refuthshmenttosts haye i*thi c4*olised
Page 8
ntinued...

fam Ed￿ational TnL
lothe￿D
f rtheYearEnded31 A
st 2025
OPERATIONAL COSTS
Raisi￿ and leg￿leS
31.8.25
31.8.24
Supwrt ¢oys
5.012
OTHEB
31.8.25
31.&24
costs
117.462
96.311
PIET INCOMFJffjXPENDITUREI
Net 1￿mr}{ex￿nth[U1eI 1$ wied afteT clww"nW{¢rEdrting):
31.8.25
31.8.24
DEpreriation- owDed a55tL%
As in prtv]￿5 year5. Ihe m￿reeS did rrccive any remuneraD(￿ OT tAptnses dUn￿g this yeaT. All trU￿CeS
Ontinued (o donate lOw￿th the ￿ttI(b￿￿ fcnovuion in adthliort to v01wi￿nng theiT bTDE for eN5uring
best govern1￿Ce.
ThvTr wett expenses rAid for the year ended 31 Augu# 2U25 ncr tor ¢he year ended
31 Augu* 2￿24.
COMPARATtVES Folt TIIE STA1EMENf OF FINANCNL ACTtVlTlfS
Unresm¢teO
fund
INCOME AND ETr41X>WMETrnS FR(hM
DonatioD5 and legacies
I(￿.468
EXPENDITURE OT4
Operaiional costs
23.727
Other
.477
NET INCOME
RECONCILIATION OF FUP4DS
To(al fund5 brou8ht fon¥fyrd
1.354.557
Page 9
conDnLfd...

nalT
Notts to the financial S*iemen
tOT
Ye
T￿nded31 Au
U51 2025
COhlPARATJVES FOR THE STA1FMEKf OF FINANCIAL AcrtvrriES. continued
Unre￿￿cttd
fund
1.417.$48
TAf4GIBLE FIXED ASSETS
PrnpErty
TtfUTtrAshn￿nl
tA)n8
& improvements leasehold
xlyre$
and
Totsls
COST
t I SeNemlKr 2024
Additso￿5
1.16&758
25.435
168.671
20.W27
520
.358.356
25.955
At 31 August2￿25
1.194.193
168.671
21.447
.384,311
DEPRECJATtON
At I September 2fj24
Charge for ye¥
14.322
1.069
14.322
At 31 Au8uM *(Y25
Tr￿T MOOK VALUE
At 31 Augusi 2tr25
168.671
6.056
1.368.920
At 31 Augus12￿4
1.168.758
168.671
6.flJ5
1.344.034
DEBTORS: AMOUN15 FALUNG DUE I￿1]N ONE YEAR
31.&25
31.8.24
Prepaid charEC$ &
income
995
995
Page 10
cOntin￿d...

W￿dfarrn Educ
lion
N￿e5 io the
for the Year E
¢eThen
. cortinued
d31 A
31.8.25
31.8.24
OtheT Iwns (stt nctt 101
CTediior5 & xcrued chaTzes
5.196
9.945
10. LOANS
An analysis of tht of loÈns ispven below..
31.8.25
31.8.24
Amounis lalling due (mt yearon ¢Jern¥rwJ:
LA>On'. N AhTned
11. MOVEMENT IN FUNDS
NeL
movenrTri
IDfw
Ai 1.9.24
31.8.25
Unrtstrideo fwM15
General fuDd
1.417.548
51.724
1,469.272
TOTAL FUNDS
1.417.548
51.724
1.469.272
Net ynovernem in fvnds. irt¢ludtdin the atrJ¥e are as follows..
ktsour£ts
MOve￿m
in fund5
UDre&tTiCted fun
Gener¥1 fund
170.255
51.n4
170.255
51.724
compardtive5torrnovtn￿I In fubds
Nei
At
31.8.24
Al l.Y.lj
In f￿ndS
Unr¢s¢tLcted foJHIs
General fulld
1.354.557
02.991
.417.548
TOTAL FUNDS
1.354.557
62.991
1.417.$48
P48t 11

tar£n%nis- corni
ear Ènded 31 Au
ust 2025
ii.
MOVEMEFif IN FifNDS. continued
CompTativt net mowenKni in I￿11￿￿0 in thc at#)vegrtgs followr.
Incomin8
resources
ResouT¢e$
Movejytrtt
in funds
Unresttlcted f￿HL5
Generdl fund
I￿.468
197.4771
62.991
TOTAL FUNDS
IfA).468
62.991
A cwyert ￿ar 12TDDllth3 wioryvdr 12 ctyDbI￿d 1$ 15 follows..
movemeni
ITh fuDd5
At
31.&25
Ai 1.9.23
fun
General fund
lJ54.557
1.469.272
TOTALFUNDS
1.354.55?
1.469.272
A Currtrt yeAr 12 monihs a￿d prior year 12 ￿0￿￿5 ¢wbit*d rte1n￿emtmt7fi fund& in the a
as follows..
Rt¥ws Movemtrrt
expended
in funds
Unrestricted funds
General fund
330.723
1216.(K)81
TOTAL FUNDS
330.723
216.WJ81
RELATEDPARTY DISCLOSURES
Thcrt werr trW)saoions forthe yearenthd 31 Atsgult 2025.

farm
l Trust
Deiailed
f the Yair
teme￿¢ f
31.8.25
31.8.24
INCOME AND ¥NfK)WMENIS
Donalions and If¥Hfie5
DonaDpll5 Teceivrd
Class Actsviuts
Hall ReDI
166.580
156.048
2.510
1.865
170.255
170.US
1&).468
EXPENDITURE
OtlKr trndin&Wdj￿tLLs
Fixtutts And fiuin
Supwrt cfjsts
Waterc￿rge$
Insutanct
Light & helll
Telep￿lle
General expen￿5
Wages
Re￿1¥$ & maiDteD3ll
S￿rn￿e c0518
7.775
6,862
4.404
21.273
24.037
450
2.237
28.255
8.740
3.687
5.573
356
217
2.229
24.
2.914
2.837
Motorexpense5
s￿b5¢￿￿on5
Hygient
450
1.227
3.362
565
789
Bwks & Li*YatLtrt
Meals & rtfreshmenE5
2.240
93.270
73.236
Fin•nc
Bank clwst5
223
G•verDance
Prole55ional fees
Consultancy rtts
Atcounthncy fees
1.620
17.5fK)
21.197
23,(K>9
'I'(*BI resThLTres txpeth
97.477
Nel In¢tsn
$1.724
62.991
This ￿sE docs rrtftyin psrtof rw￿￿ryf￿rtart1l1 ￿A￿tme￿I
13