BEGISTERED COMPANY NUhllBER: SC422036 {Scotlalld}
REGISTERED CHARITY NtJMBER: SC043103
REPORT OF THE TRUSTEES AND
FINANCIAL STATETrIENTS
FOR THE YEAR ENDED 31 AUGITST 2025
GARNETHILL SYNAGOG￿ PRESERVATION TRUST
D M fvlcNaught & Co Ltd
Chartered Accoun1￿71$
166 Buchanan Street
Glaogow
Lanarkshire
GI 2LW

L SYNAGOCU% PRESERVATION TRUST
TKNTS OF THE FI
h'ClAL
TATEMEN
FOR THE YEAR ENDED 31 AUGUST 2025
Page
Report Of the Trustees
I to 2
Jndependellt EI#miller's Report
Stitemetht ol Fin4pci#l Activities
BalAu¢¢ Sheet
Notes to tbe Fin8ndal St&temeDts
Det&il¢d Statement of FiDaDd￿ AttL•Atle3
12

GARNF.THILL SYNAGOGUE PRESERVATION TR
ST
REPORT OF THE TRUSTEES
FOR THE YEAR FNDF.D 31 AUGUST 2025
The IMsiets wllo are also dIr¢clo￿ of the charily for the purposes of th¢ Cornpanie5 Act 24J)6. present th¢ir r¢port with
the fiDaiitial staleiiienL* of the ohariry for the ycar ended 31 Au8USt 2025. The tNsle¢s have adopted the Prov￿5]Dn5 of
Aciouniing and tleportin& by Chariiies.. S￿lement of Recotnin¢ndfd Practice applicable 10 charities preparing thcir
at¢ount5 in accordance with the Ftnallcial Reporting Stsndard applicable in the UK and Republic of Ir¢land IFRS 102)
(e￿e￿liVe l Jatiiiary 20191.
OBJECTtVES AND AcrtVITIES
Objectives and
Tlie objecti￿￿ of the eharii&ble conipany are as follows..
To adv&iKe herilage Iluuugh preserving for public b¢n¢fit th¢ historical. cuhura], arCh￿te¢ll￿al and con5tNrtional
herildge that eNi8is in tlie building fonnuig Garnethill Syiia8ogue, Glasgow and the Jewish prayer house at Ihe Wesiem
Neiropolis, Glasgow,. and.
To support or &qslqt otliei charitable body (without di5plakning Ihc primary objective &bovel where the provision
of such suppoit may conirihuie iowards ensuTiiig the Ongoing aCLdPalioo and us¥ of the building formin8 Gameihill
$￿agOgUe, Glasgow.
ACHIEVEMENTS AND PERFoRm￿NCE
Charitablc 9Ctivitie$
The Pattyiei)Iiip of Garnethill s}k￿808ue Preservation T￿￿1 and the Scottish J¢wi$h ArGhivcs Centre has continued,
rather slowly, to progr¥55 the Delivery Stage of Phase One re the creation of a Scottish Jewish Herilase Centr¢ within
Garnethill Synagogue.
VIIYA￿'C1AL REVIEW
Principal funding sources
Thc ¢harithble company's principal funding 50urce5 are don&tions from GHG a contribution towards wnning costs frotll
SJAC and a flat r¢nt IL%S faciiiring CO*lS.
Reserves pollty
Th¥ Board ha¥e in place a wliey whereby an amount ¢quivalet)t 10 rnvo yeArs' total inconie is alloc8￿d to a Designated
Emeigen¢y Fund.
FUTURE PLANS
GSPT will COlllinu¢ ¢0 provide a place of woisliip for GHC and provide space for SJAC that will allow it to further
expand its scTrices within ihe framework of tlie d¢v¢loping Heriia8e Centr¢.
STRUCTURE, GOVERNANCE AND MALYAGEMENT
Gov£rDing document
Th¢ cliarlty is ¥oiitrolled by its goveming documtnL a deed of thvst, and con*itutes a limited ¢offjpanyJ limited by
gLigraniee. &¥ defined by th¢ Contpatiies Act 2006.
Recruitme41 and appollltmÈJJt of nem. tru51ees
The board of Ilie cliatithble roiiipaiiy. in keepins with ils Articl￿ of AssociatioJ4 Ean consist of a m&xunum of s¢ven
dircviors. The seven e.iisting directors wer¢ nominaied by Garneihill H¢brcw Congrtgation.
In the e￿etti of the T¢>ign8tion of one of the seven txisring directors, a new director will be rc¢ruited from th¢
congfegaiion of Gam¢ihill Hebrew Congr¢gaiioll, and appoinied to the wst by the Gamethill Hebrew Congtegalion
EAecuiive.
Orgini5ation&l structure
The Board will meet a minimum of four tiires each year.
Page I

GARNETHILL SYNAGOGUE
RESERVATI
N TRUST
REPORT OF THE TR
TEES
FOR I'HE YEAR ELYDED31 A
UST 2025
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Company ttttmber
SC422036 {Scotland)
R¢Ki5tettd Charlty number
SC043103
R¢gtsiertd office
'0 D M M¢Naught& Co Ltd
166 Bu¢h8nan Street
Glasgow
012LW
Truitees
Mr B S Goodm4n
Dr S D Siegel
Mr A Silverdale
Mrs C A Singerman
Mr M C Langrnan
MT M F hlail
Mr S Stein
Hon Life President
Chairperso
TT¢rtsurer
Mitiule Se£retary
Direcior
Diretior
Director
12ppoinled 11912024)
Company SEeretary
Mr A Silverdale
EDdepeDdtnt ExirniDer
D M McNAuKht& Co Ltd
Chan¢r¢d ALcoLtntan
166 Buchantn Street
Glasgow
LanarkshiTe
GI 2LW
Approved by ord¢r of the boatd of trust¢es on 23 April 2026 and signed on its behalf by:
Mr A Sil*erdale- Trusts¢
Pa8e 2

INI DEPENDENT EXAMtNER'S REP
RTTOTHET
GARNETHILL SYNAGOGUE PRESERVATION
TEES OF
I repon on the ac¥QW)ts for the end¢d 31 Au8llSt 2025 set out on pa8es four to ¢l¢ven.
RespetÉiYo re5pon$ibilitiets of trustee% and exllmintr
The ¢liarity'S Iru51¢es are responfiibl¢ for the preparation of the ac¢oun15 in accordat]c¢ with the terj￿S of the Charities
and Trii<iee Inv¢.slni¢ni (Scoilandl Act 200£ and th¢ Charities Atiounls (Scotlalld) Regulations 2tJ06 las ameiidedl. The
chaiity's tru>l¢es consider That th¢ auOiE requir¢meiit of Regulation 10111(al to 1¢) of the Accounts Regulations do¢$ not
apply. It is niy r¢5POlisibility to th¢ accounts as required under Section 4411}Icl of the Act and io state whether
p&rticular mattcts h8Vt comc to niy allention.
Tlgsts of the IDdependent exam5ner'¥ report
fvly ekaiainAiioD w.a5 carried out in akn¥ordancc with Regulation I l of the Char&iie$ Aeeounts (Scotland) Regulations
2006. An t%￿nillatIon ill¥ll￿¢s a riview of th¢ acciiiiniin8 TeMTds k¢pt by the charity and a comparison of the accounts
prtStnted with dios¢ records. It allo inclLides consid¢[al￿on of any unu&ual ittms or di5closur¢s in the accounls. and
scek'irtg explanat10115 froitt yoii 05 triisltts concern&ng any such maii¢r5. The procedur¢s undertaken do noi provide all
tlie evideiite that would be required in an audit. and consequently I do not express an audit opinion ort the vsew given
bv ihe ac£ounts.
Independent examiner's statement
In col￿e￿liOn with n)y ¢Xdniinaiion, no matter ha$ come to niy attention
11) whiih Bifveg reasonable cai)5t to Etlievc that, in ￿lY mal¢riai re5pecL the requireni¢nts
to keep accounting records in accordan¥e with S¢clion 44(1)lal of the 2005 Aet And Regulatsott 4 Of tile 2006
At￿Ount5 Regulationb, and
to prepare accounts which ￿Cord with the accounting records and to ¢Otnply with R¢gulèiion 8 of the 2006
Accounts Re8ulalions
h&ve not been tnet,. or
(2) t¢ which. in Jny OPiDion, atteiiiion should be draiw in order to ¢nable a proper uaderslanding of th¢ accounts to
r¢achtd.
Shiart A McBidn. BAL¥ CA
The Inslituie of Cliarttred A¥iountaiils of Scotland
D M ￿l￿Naught & Co Ltd
ChiTrrtered A¢¥Olllllaiils
166 Biich&nan StrcL4t
Lanark-Iiir¢
GI 2LW
23 April 20?6
Page 3

THJLL SYNAGOGU
PRESERVATI
NTRU
STATEMENT OF FLY. AN
IAL ACTIVITI
FOR THE YEAII ENDED 31 AUGUST2025
31.825
I'oial
fJiids
31.8.24
Toial
funds
Unrcs1rLwtsd
fi]nds
Restrici¢d
fund
Not¢5
INCO￿￿ AND ENDOWMENTS FROM
Donations and legacies
38,643
38,643
35.011
Inve51meni itJcom¢
Other tnconi¢
15,075
15,075
14,975
Total
53.718
EXPENDITURE ON
CharitAble ACti￿dea
Charitable activities
44.697
44.697
48.784
r4ET INCOME
9,021
9,021
8.907
RECONCILIATION OF FUNDS
Toial funds brought fon&2rd
411.911
403,0(
TOTAL FUNDS CARRIED FORWARD
420 932
420 932
Th¢ notes fonn part of thes¢ fin&n¢ial sut¢Lnenrs
Pag¢ 4

CARNETHILL STrT4AGOG
PRESERVATI
UST
ALAISCE SH
31 ADGUST2025
3 1.8.25
Totsl
fi)nds
31.8.24
Total
funds
Unrestri¢*d
funds
Restricted
fund
Notes
FIXED ASSETS
Tanblible ass¢ts
320,000
320.00
320,000
CURRENT ASSETS
Debii)rs
Cash at bank
823
100679
823
100,679
101.502
101,502
92,451
CREDITORS
Amount5 fallillg due within one ye&r
15701
1570)
(540)
NET CURRENT A8bETS
100.932
100 932
TOTAL ASSETS LESS CURRENT
LIABILITIES
420.932
420,932
NET ASSETS
420,932
420 932
FUNDS
Urtrestricttd funds
420 932
411.911
TOTAL FUbU)S
420 932
411911
The cliarilable coiiipany 18 aititl¢d io exe￿ptIon from audit under Sectiott 477 of th¢ Compatties Act 2006 for the y¢ar
¢nd¢d 31 A￿Ust 2025.
lkne m¥nibers hai'c not re41iiired the coiiipaiiy io obtain an audit of its financial srai¢ments for the year ended
31 Augu￿ 2075 in a¢rordance with Secrion 476 of the CoTnpanies Act 2006.
The trusleei atknowledge their r¢spoD5ibiliiies for
(al
ensiiring thai the ch￿ilabl¢ wi7mp￿Y keeps accounting rewrds that CQTnply with Sections 386 and 387 of th¢
Coiiipaiii¢s Act 2006 ￿ld
pieparing fiiiancial staienients whirh give a true and fair view of the stale of affairs of the charitsble company as
al the ¢nd of e1￿h finan￿la1 year and of its surylu5 or deficit for eaknh fmancial year in accordance with the
TeqUIr￿li¢nts of Serlions 394 and 395 and w11i￿h oth¢rwi<e comply with the requirern¢nts of the Conipani¢s Act
2006 relaling to finAn￿la1 5tal¢menis, so far as Èpplirable to the charitable ¢onipany.
Ib)
Th¢ nol¢s forjn part of these financial statements
Pa8e 5
Continued...

GARN
THILL SYNAGOGUE P
SERV
ST
BALAh'CE SHE
31 AUGUST2025
con
iDue¢J
These fJnan¢i3151ai¢ni¢lllS hakt bttn prepared in arcordance with the provisioll5 #pplicabl¢ to chariihble ¢oInpanies
subj¢clto the sm811 companies regime.
Tht fJngn¥ial slalen)¢nts were approved by the Board of Trustees amd audiori￿d for issue on 23 April 2026 and were
signed on its. behaifby:
Mr A Silverdale. Trusle¢
The no*$ fom part of these financial statements
Pa¥e 6

GARNETHILL SYNACOGUE
SERVATION
UST
NOTES TO THE FINA
L STATEM
FOR THE YFAR ENDED 31 AUGUST 2025
ACCOUNTING POLICIES
Ba%is ¢bf prepsring the fma]JcS2l statements
The final)￿la1 Slalcmenis of the cliaritable comp￿lY, which is a public benefit ¢nlity under FRS 102, have be￿7
prepared in accordance with Cliatrilies SORP (FRS 1021 'Acctsunting and Re￿rtIng by Charities,. Stalenient
of Re¢omin¢nded Praclice applicabl¢ to cliariiies preparin8 their accounts in accordan¢¢ with the Financial
Repvrtiiig Siandétrd appliknablt in the UK and Republic of Ireland IFRS 102) {effe¢ti*e l Jaiiuary 2019}',
Finall￿18] Reportlllb st￿]d9rd 102 Tlie Financ￿] Repofting Standard applicable in th¢ UK and Republic of
Ireland, and the Companies Aci 2006. The fiothcia] staiem¢nts have b¢en prepared under the hislorical cosi
COn￿e1]tIOn.
ID¢ome
All iii¢ome is iethgniltd in th¢ Staiement of Finaiicial Activities onc¢ the charity has eniitlem¢nt to th¢ fund5, It
IS Probable that the in¥ome will be recei￿ed and tlie amount can b¢ measured reliably.
EXp¢￿dIt￿rtr
Liabiliries ar¢ ￿c0s￿1sed as expenditure as soon as there is a l¢gal or ¥onstru¢tive obligation committing the
charity 10 that t.Kptnditu￿, it Is probabl¢ thai a transfer of c¢ononiic benefits will be requii¢d in £ettlement and
the attiount of thc obli891ioii cali be mta4ured reliably. E.xp¥n(fiturt is actounled for on an acknfu21s b&%is and ha%
been clas>ified under hegdin8a that aggregate zll cost related to the Cdi¢gory. Wh¢r¢ Costs cannot be directly
amributed io particular headin8$ ihey have b¢¢n allo¢ttcd to aciivilie5 on a ba5&S C(TrtLsisient with the use of
rebodrce5.
Taxgtion
The cliaiity is exenipt from Ciirpordlion tax on its chgrt12hle actiwities.
Furtd 4¢eountlllg
u￿c)Irlltcd funds can b¢ 115ed in accordance with the charitabl¢ objecliv¢s at the dis¢r¢lion orth¢ trustee5.
Reslricted fijnds can only bc use4J for particular restri¢t¢d purposes wthin the objects of the ¢lLarity. Restrictions
arise ivh¢o spvcified by Ihe donor or when fuiids are raised for p&rticular r¢slricled purposts.
Furllier explan81ion of die naiure and puJpos¢ of e4ch fiind is in¢liided in the notes to the financial 81aittJJients.
INVESTMENT INCOME
31.8.25
31.824
Reiils received
14,975
TRUSTEES, REMbNERATION AND BENEFITS
Thei¢ were no trusie<s' rcJiiun¢i4lion or other ben¢fits for th¢ y¢ar end¢d 31 Augu$t 2025 nor for the year end¢d
31 Augu￿ 20.4.
Tru5tees' expenses
Th¢r¢ wtre
31 Augusi 20.4.
trLiSle¢s' expen5e.s paid for tile Jear ended 31 Augusr 2025 nor for the year ended
Page 7
continued...

ARNETHILL S
AGOGUE PRESERV
TION
RUST
NOTES TO THE FINANC
STATEMENTS- co
FOR THE YEAR ENDED 31 AUGUST 202?
nued
COMPAIUTIVES FOR THE STATEMENf OF FINANCIAL ACTIVITIES
UJJr¢%tri¥led
funds
Restriited
fijnd
Toial
fund5
INCOME AfqD ENDOWMENTS FROM
Donation5 and legacies
35,OLI
35.011
Invtslm¢nt income
Other incomc
14.975
14,975
7,705
Tot81
57.691
EXPENDrruRE ON
Cbaritible aedvlties
Chasiiable activit￿e$
NET INCOME
8.907
8.907
RECONCILIATION OF FUNDS
Tolal fund5 brought fOr￿￿d
403,004
403.004
TOTAL FUNDS CARIUED FORWARD
TANGllBI￿ FIXED ASSETS
Hetiiable
land and
biiildiiigs
COST
At I Seplembcr 2024 and 31 August 2025
NET BOOK VALUE
At 31 August 2025
320 000
Ai 31 Ausust 2024
320 000
Pag¢ 8
oniinu¢d.-.

GARNETHILL SYNA
E PRESERVATI
RUST
OTES TO TH
AINCIAL STA TEMEIYTS- c
Ff)R T14E YEAR ENDED 31 AUGUST 2025
DEBTORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
31.8.25
3 1.8.24
Prepavments
823
CREDITORS: AMOUNTS FALLIYI G DUE WITHIIY ONE YEAR
31.8.25
31.8.24
AccNed expeiis¢s
570
540
OVEMENT JN FUNDS
Net
moveni¢nt
in fimd5
At
31.8.25
Ai 1.9.24
Unrestricted fo￿d5
Geneial Fund
Designated Emergency Fund
Boiler Room Re%eTre
343.911
68.000
2,021
345.932
68,0th)
7.noo
9.021
420 932
TOTAL FUNDS
9,021
420 932
Net MO￿tment in funds. inrluded in th¢ aboie are as folloi%s-.
In¢oming
rtwurces
R¢source5
expendc4J
ovement
in funds
UDr¢stritted fuJJds
G¢n¢ral Fund
Boiler Room Reserv¢
43,718
io,o(x)
(41.6971
2.021
53,718
44,69
TOTAL FUNDS
53,718
Pa8¢ 9
cotttirtu¢d...

GARNETHILL SYNAGOG
PRESERVATION TRUST
NOTES TO THE FINANCIAL STATEMEFiTS-
FOR THE YEARENDED 3
UGUST 2025
ued
MOVEMEFU IN FUNDS- continued
ComparAtRYes for movem¢Dt kn lunds
Net
motr¢m¢nt
in funds
At
3 L.8.24
At 1.9.23
Unrestricted fundj
General Fund
Designaitd Emergency Fund
335,004
8.907
343,911
68,000
401.004
8.907
TOTAL FUNDS
Comparativ¢ nei mov¢ment in fithds, included in the above are as follows..
Incotnin8
re5tsufLes
R¢source5
elpended
Movem¢nl
in funds
Unresirieted fullds
General Fund
57,691
(48,7841
8.907
TOTAL FUNDS
8,907
A current year 12 months And ptiOT year 12 rnonths combined position is as follow5:
ct
moveJn¢nt
ID funds
At
31.8.25
At 1.9.23
Ullre5tri¢ied fund5
General Fund
Designated Emergency Fund
Boil¢r Room Reserve
335,004
68.000
10.928
345.932
68,000
403 004
17.928
420 932
TOTAL FUNDS
403 004
420,932
Pag¢ 10
Continued...

GARhTTHILL SYNAGOGUE PRESERVATION
NOTES TO THE FINANCIA
ATEMENTS-
FOR THF. YEAR ENDED 31 AUGUST202S
OVEMENT IN FUiYDS- conilnued
A curr¢Trt year 12 inonihs and prior y¢ar 12 nionihs conibin¢d net movetn¢nt irt fund4 included in th¢ ab)ve are
follo￿.$..
Incoming
resources
Re50urce5
exp¢nd¢d
MoTremeni
in fimds
UDre51rletéd funds
Geiieral Fund
Boiler Rooill Rtkrve
101.409
10,000
(90,4811
10,928
7,000
111409
17.928
TOTAL FUNDS
17.928
As slaLed in the R¢port ofthe Trusiees. the Board have in place a polt¢y whereby an amoknrtl equivalent to
yeats, to￿1 income is allocdled to a Designaied Em¢rgen¢y Fund.
As ai 31 AugLlSt 2025, £68,￿0 been allocated to tlie Deqignaied Em¢r8¢n￿l Fund. This fund will be used
foT ￿1V fuhire enier8enby> significant repair works requited to tlie s}1￿8￿gUe QT flat.
Al.w. during the year the charity received donations of £10,000 which were ￿lOCated to a separate fiind. for the
puriK- 15es of planiied works to the boilcr rootn within th¢ sJtta808ue. As ai 31 August 2025. £7.000 unspent.
RELATED PARTY DI.SCLOSURES
'.& year £25.000 (2024 £27,5¢MI was donated to the diaritable cosnpftny by GaTn¢thill Htbiew
Congr¢¥atio￿ in re4pect of Tegular contributions towards the upkcep mainienarKe of the synagogue.
Garnethill Hebr¥iW c.O￿g[tb￿gI10n is a Tegisi¢r¢d Scvllish charily, which opKr41¢s from th¢ synagogue and
num¢roiis Tru51¢e5 in cominon with Gam¢thill SJ"nagogue Pr¢s¢rvaiion Trnst.
Pa8e 11

GARNETHI
L SYNAGOGUE PRE
RVATION TRiJST
DETAILED STATEMENT OF FJNANCIAL
OR THE YEAR EIDED31 AUGU
T 2025
31.8.25
31.8.24
INCOME AL¥D ENDOWMENTS
DonatioD$ And leyties
Donatio]Js
38,643
IDvestmeDt kncome
R¢ois received
15,D75
14.975
Otber income
Other incorne
VAT reclaimed
5.490
2,215
Total incotykne resour¢es
53,718
57,691
EXPENDITURE
Support ¢ost8
Management
InsutatKe
Li8ht and heal
Tclephone and ini¢met
Repairs and n)ainlenan¢e
6,645
16,344
1,124
17,014
6,387
17.209
1.580
23,068
41.127
GoverDallce tost8
A￿coUn1¥*ncY fee8
Legal and profe5&ional f¢¢5
570
3.000
540
540
To￿[ resources expended
44,697
48.784
8,907
This pa8e does not fortn part of the srawiory fin8tluial sthtefflett15
Page 12