Docusign Eryvek>pe ID.. ACFDF962-1 F684D69-80FE-9E200688C16D
REGISTERED CHIIRITY NUMBER: SC045461
ort of the Tru$t¢¢s aTrd
Ullaudlted FlnAnclRI
¢atem¢nts for the Year Ended 31st MArch 2025
for
Orchard Grove Kinder
V4rten
Rogerson & Goldie
Chartered Accountants
29 Portland Road
Kilniarnock
KAI 2BY

Docusign Env8lopa ID.. ACFDF962.1 FB￿D69-8OFE-9E20o688c16D
Orch#rd Grove Klnder
arten
Contents Df the Finxndal Statement
for the Year Ei nded 31st Mar¢h 2025
Pag¢
Report ofthe Trustees
Independent Examlner's Report
Statement of Financlal Actlvltle8
BAlftnee Sheet
Notes to the Fln8n¢iAI StAtements
Detalled Statement of Flnanclal Actlvities
10

Docu*vJn Env8lap8 ID,, ACFUF962-1FB84Deg.8?FE.9E200688C160
OrcbArd Grove Klllder
#rten
or
fnr tlie Yerlr Endcd 115¢ Trlarch 2025
Th¢ Irustfjs prcscnt thcir report with Ihr finanbial slalernenli of the chaTity for Ihc ycai- ciidcd 31 sl March 2025. Thc
'ustee8 have adopted tli¢ provisions of AcGQiU]ting and Keporting by CTh4ritie8,' StatettLeTLt of Recommended Pra¢lice
applicable to charities pr¢paring tbeii. ac¢ouThis in abcoidance with the Fiiiancial Reportilig Stand2rd applicAb:¢ in the
UK Èlnd Repiiblic ot. Ircland (FRS 102) (etreL'Live l Jimul￿ 2019).
014JLCTII'ES AND ACTIVII'ILS
char1t￿ble purposos
'I'he advanL¢Ln¢iil of cducllrion of pre-Bcbool cliildrell ￿ld the provision of rwLEationai facilities, or the oi¥anisatioii of
rL'crLalioThul 4LtiviliL'¥, wilh Ihc objccl of iniprovin8 the Londiliotis uf life for ibe persons lor whoL]) thb tULililie8 or
activitics orc primarily iiitthidod.
FTNANCIAL REVIEW,
Rlxcrvcs policy
As a resiill of the deficit of £26,582 diiring the period, the trust held uttrestrietèd re8ervcs of £377,198.
Th¢ policy is lo E]old Jninimum Ltseryes of iix Inonth.4 running ¢08L8 toge¢]1￿ witl) ai)y potential reduudauoy ¢o,8ts and
lh¢ tnLS'le¢s Lo>nsidei' IhaL (he iu)restri¢t¢d ftiuds 01 £377,198 to be sufficAellt to Colltmue lo fulfil th¢ clwitable obje¢liYes
for tl)e for￿Ceabl¥ tiiture.
STRLTCTIIRE. c.olr FRNANC.V. AND mA￿AGEMENT
('iovernlng docurnont
'I'he churity is ¢ontr()Il¢d by ils govornin¥ docuiiienl, a deed of trust and Collstitules an unincorporated d]arity.
REt4'ERENC'E ALYD ADMINI%'TRA'I IVL Db'l'AII,8
Regi¥ttsred Charlty Thumber
8CNfj461
Pri114'1
Trii$teei
Indi'pendenl F.ximlner
Ri)gcis0Tr & (Toldic
Chai'lered Accountants
29 Ponldnd Ru8d
Kilni&niock
KAI 2BY
Appi'DVLxI by urdgr of ilic boArd of iiNsteey 0112 SLplciiiber 2025 and yigncd on its bL.IwlL' by,.
Pagc I

Do¢usign Env•lop8 ID., ACFDF962-1 FB84D69.80FEJaE20C688C16D
elldent Ex4miner'.9 Re
)ort tn the Trii&te.es of
orc.hard Cjrove Klnde
rten
I report oil the aGcoun¢S for tlie year eiided 3 1st Marckn 2025 s¢t out on pagcs threc lo nine.
Tl]¢ ¢.iarily's trust¢¢5 responsiblc for the preparatinii of the aLcount8 iii accordance with the terms af die ch￿ltieS
and TrUs￿e Invcstmenc Iscotlaiid) Act 2U05 ￿ld the Charities A￿OUnt$ (Scot]L￿d) Regulalioiis 21K16. '1'he charity's
trusfres Collsider that the aiidit reqiiirement of Regiilation l O( l)(a) (c) ot tkn A¢¢ounts Kegulationg doc8 not dpply. It
is tny respons'ibility to examine tl)e aLL'OUtitg L8 requii'ed under Section 44(1)(c) ot- the Act and to sli¢ te wheththr
partlLulllr hai'e cotne lo Iny attention.
14thsiy of tlie llldLpendLni exthmliier's report
MJ. examiii&tion was carlied oiil ui 1lL¢vr(l￿ce with R¢b7ulalioii I l ot the Charities Accounts IScLiiliind) Re￿71&11￿n8
2006. An ¢x4riiiiiatlUll iLILliiclLs li rtvieTh' i)f tlic accoiiiitii)g records kept by the charity and Et Coinp&rI￿UA of the o¢coiiiits
PL'cxLiiiLd with tlio3c rocords. It hlqo includes ¢oiisideralion of ¢iny unligu￿1 itcin.% or disclosur¢& in the accounts. and
accking explAnations froni }'uu I'n151￿& cDncLniing any SULFI maii¢r8. The pro¢edures uiidertaL"en do uol prnvide all
tlie evi(l&muL thal w(iuld bc rLquifL(l ii) an audiL, and ¢￿1$eque1]tlY I dts iiut ¢xpress an audit (>i)ininn oli tli¢ view given
by thL acL()Iinl8.
lnil￿pendOnt e%4miner'N stAtement
In Lonnection with ifLy examination, no rnatter has come to m> altrntian..
(l) whi¢h gives me t¢&gon&ble caiL8e to believe thal, in any n￿t¢ri&l respect, th¢ r¢qLllrements
to kttttp accountiiis re¢urd& in accOrdt￿ce with bection 44(1)(i) vl the 2005 ALI and Ilegulalioii 4 ot. the 2006
Acciiunts Kegulalioiis,. and
to pr¢pb2fe 4iLLOLillts which al,￿rd with the ac¢oiintiiig record& attd to comply wilh R¥¥LIIMLiOli 8 of tho ?01)6'
A¢¥tTriinli Regulalioii$
av¢ not been mLt' ur
(2} to which. in my upini()n, èLll¥ntiun fiholild bc druwn in order to enable a proper iinderstan(ling of th¥ %L'Lount8 to bc
ru'thchcd,
R()b)Lr.si)ii & (Toldie
(.":harlered Accoiiniants
29 Portlan¢l R(ia(I
KiltTl8lllVLk
KAI 2BY
2 September 2025
Pag¢ 2

Doeuslgn Envslopè ID.. ACFDF962-1 FB84D69-80FE-gE200688C16D
Orchard Crove Kinder
Arten
Statement of Fin4nci41 Actlvltles
for the Yeir End¢d 31st Lllarch 2025
2025
Total
funds
2024
Total
funds
Unrestricted
funds
Restricted
funds
Notes
INCOME AND ENDOWMENTS FROM
Donatiolls and legacies
159,561
276,969
436A30
416,884
Other Iradiiig activities
531
531
580
ToÉiil
160,092
276,969
437,061
417,464
EXPENDrruRE ON
Charitable activities
Charitable
186,674
276,969
463,643
428,909
NET (EXPENSES)IINCOME
(26,582)
(26,582)
(11.445)
RECONCILIATION OF fiUNDS
Total fund$ brought forwird
403,780
403,780
415,225
TOTAL FUIYDS CARRIEI D FORWARD
377,198
377 198
403 780
Tlie nolcs form part of these financial statements
Page 3

Docuslgn EnveloFe ID.. ACFDF962-1 FB84069.80FE-9E200688C.16D
Orcliard Gr
Inder
Arte
Balance Sheet
.11st NIirch 202
2025
Totsl
runds
2024
Total
fiinds
Unrestricted
funds
Li¢strict¢d
fund8
Notes
CURRENT ASSETS
Debtors
L&sli Élt ballk and in hand
470
383,773
470
J83 773
391
410
384,243
384343
41 Ql,673
C'REDITURS
Almiiurils talling due withiii onc ycar
(7.045)
(7,045)
(6,89.3)
NET CLRREiYf ASSETS
177 198
377 198
403 780
TOTAI, ASS￿.1,,8 T.,F,SS CIIRRF,NT
LIABILII'ILS
377,198
177.198
403,780
NE,T A,SSFT8
377 198
377 198
403,780
FUND,8
IlnresiLlrted funds
K¥striLled Luiids
377,198
403,780
TOTAI, FLIND
377 198
40.4 780
'I'he fm&illcial stiit¢m¢nib werL' appi'ovcd by tlic Bu￿.11 <) I. Trnqlcc8 Riid outL)orised tor ibsu¢ un 2 Sept¥rnbci 2025 and
w¥ro %lbTricd i)i) I1.￿ bLliuif liy..
The notes form parl of the5¢ financial ststements
Pa8¢ 4

Docuslgn Envelope ID.. ACFDF962-1FB84D69-80FE-9E2D0688C16D
Orehard Grove Klnder
artell
Note$ to the flinanci￿1 Statement5
for the Year Ended 31st March 2025
ACCOUIYTING POLICIES
Basis of preparing the financial 8tatements
The financial statetnents of the chai'ity, which is & public benefit entity under FRS 102, have been prepared in
Lcrordance with the Charities SOiiP (FRS 102) 'Accounting and Rq)orting by Charities.. Statement of
Recommended Piactice applicable to Ch￿l￿¢S preparing their accounts in accOrd￿]Ce with the Financial
Reporting Standard applicable in the UK and Republi¢ of Ireland (FRS 102) (effective l J&iiiary 2019),,
Financial Repotting SiaLidard 102 'Th¢ FiTJancial Reportiiig Slaiydard applicable in the UK aiid Republic of
Ireland, and ibe Charities and Trustee Iiivestntrnt (Scotland) Act 2(105. The financial statements have beejj
prepar¢d under the historical cost convention,
Tliis is tlie first year that tlie conipany has presented its financial statements in accordllnce witl) the provisions of
Section l A "Small Entiti¢8" of FRS 102 issued by the Finf4ncial R¢porling Council. Tlig last financial statements
uiider pi'evious UK GAAP were for the period ended 31 March 2016 and the date of Iransilioll to FRS 102 was
therefore 8 February 2016.
No clwiges were reqiiired to the financial 8ta¢¢ments for the year ended 31 March 2016 previously reported
under UK GAAP.
Inclime
All in¢oine is recognised in the St&tement of Finuncial Activities once tiie charity has entitlemeiit to the Funds, it
is PLobuble tliat the income will be received and the amount can be measured reliably.
I xpendlture
Liabilities are recognised as expenditure as soon os there is a legal or ¢onstructive obligation committing the
charity lo that expendittii'e, it is probabl¢ that a transfer of economic benefits will be reqiiired in s¢ttl¢m¢nt &nd
the amount of the obligation can be rn¢asured relittbly. Expendittwe is accounted for on an accruals basis alld kns
beell cl&ssified under hoadings diat ug81'egate all cost i'elated to Ihe Category, Where costs cawiol be directly
a¢tribiiled to particul￿ headings they have beerA allocated to activities on a basis consistent with the use of
resources.
Taxation
Tlie charity 18 exempl from tax on ils cbarithbl¢ activities.
Fund Aeeounting
Unrestricted funds can be iised in &¢cordan¢e witli the charitable objectives at the digcretion of the tni8tees,
Re81ricted funds can only be l￿ed foi particular restrlcted purposes within the objects of the charity,
Restrictions arise wheii speci'fied by Ihe donor or when funds are raised tor particiilar irsiricled puyposes,
Further explanation of tbe nattire and piii'pose of each fiind is included in the notes to the fLnaLicial statements.
OTHER TRADING ACTIVITIES
2025
2024
Fundraising events
531
580
P&ge 5
ontinuÉd..-

Docusign Envelope ID.. ACFDF962.1 FB84D69_8DFE_gE200688C16D
Orchllrd Grove Killder
rteii
Notes to the Financial St&tement$ eontinued
for the Year Ended 31st Mareh 2025
TRUSTEES, REMUNEIL4TION AND BENEfiITS
Tliere were no ttiistees, remuneration or other benefits for the year ended 31 st March 2025 nor for the year
ended 3 1st MtETch 2024.
Trustees, expenses
There were no tnisl'ees, expenses paid for the year ended 31st March 2025 iior for the year ended
31 st Marcli 2024.
COMPATL4TtVES FOR THE STATEMENT OF FINANCIAL ACTIVtTIES
Unr¢slricted
funds
Res11'ict¢d
funds
Total
funds
INCOME AND ENDOWMENTS FROLVI
Donations and legaiies
144,199
272,685
416,884
Other trading activities
580
580
Total
144,779
272,685
417,464
EXPENDITURE ON
Charltable activities
Churitable
156,224
272,685
428,909
NET INCOME
(11,445)
(11,445)
RECONCILIATION OF FUNDS
Total fuDdJ brought forwArd
415,225
415,225
TOTAL FUIYDS CARRIED FORWARD
403,780
403 780
DEB TORS: AMOUNTS FALLING DUE AFTER MORE THAN ONE YE< AR
2025
2024
Other debtors
470
391
P&ge 6
contiuued...

Oocusign Envelope ID.. ACFDF962_1 FB84D69_80FE_9E200688C16D
Orchard Grove I<inder
rten
Notes to the Flnanclal Statements . contlniied
for the Ye&J' Ended 31st March 2025
CREDITORS: AMOUNfs FALLING DUE WITHIN ONE YII AR
2025
2024
Othei. creditors
7,045
MOVEMENT IN FUNDS
Net
movetnent
in funds
At
31.3.25
At 1.4.24
Unrestrlcted funds
General ftind
403,780
(26J82)
377,198
Restrlcted funds
GCC Staff Costs
GCC Provision of Seivices
TOTAL FUNDS
403,780
377 198
Net movement in fvnds, incliided in the above are as follows,.
Incorning
resources
Resources
expended
Movemwit
in funds
Unrestricted fuJid8
General ￿nd
160,092
(186,674)
(26,582)
RestriLted funds
GCC Siaft Costs
GCC Provision of Services
15,049
261920
(15,049)
261920)
276 969
276 969
TOTAL FUNDS
437 061
463 643)
26 582)
Comparativ¢s for moY¢m¢nt In funds
Net
Inoveinenl
in funds
Ai 1.4.23
31.3.24
Unrestricted funds
General fund
415,225
(11,445)
403,780
Restricted funds
GCC Staff Costs
GCC Provision of Setvices
TOTAL FUNDS
415,225
11,445
403,780
Page 7
continued...

Docusign Envelope ID.. ACFDF962-1 FB84D69-80FE-9E200888C16D
Orchard Grove Killder
rten
Notes to the Financial Statements - continued
for the Year Ended 31st March 2025
MOVELWIENT IN FUNDS - contlnlled
Comparative net movement in fLmds, iticliided in tbe above are as 'follows:
Resources
expended
Moveillent
in fuiids
resources
Unrestrlcted funds
General tuiid
144,779
(156,224)
(11,445)
Restricted lunds
GCC Staff Costs
GCC Provisioii ol Services
13,741
258,944
(13,741)
258,944)
272 685
272,685
TOTAL FUNDS
417,464
428 909)
11,445)
A current year 12 niontl]s and prior year 12 months coinbined position is a5 follows;
Net
movement
in fui)ds
At
31,3,25
At 1.4.23
Unreytrictèd funds
Gener1¥ l ftind
415,225
(38,027)
377,198
Restrlcted fund8
GCC Staff Costs
GCC Provision of Services
TOTAL FUNDS
415 225
38 027)
377,198
A current y¢aL 12 months and prior year 12 month8 ¢oinbined nel movement in fiinds, included in tiie above are
as follows..
Incoming
resources
Regources
expended
Movement
in funds
Unrestrfi¢¢¢d funds
Geueral fiind
304,871
(342.898)
(38,027)
Re51riLted funds
GCC Staff Costs
GCC Provision OE services
28,790
520,864
(28,790)
(520,864)
549 654
549,654)
TOTAL FUNDS
854,525
892,552}
38,027)
Pagc 8
continLltd...

Docusign Env81op8 IO.. ACFDF962_1FB84D69.80FE-9E200688C16D
Orehard Grove Kinder
Arten
Notes to the Fini)nclal Statements . continued
for the Year Ended 31st Miireh 2025
RELATED PARTY DISCLOSURES
Tlier¢ were no related party transi< ¢tions for the ye&r ended 31 st March 2025.
RESTRICTED FUNDS
Olasgow City Council ￿￿1]IS were received for staff wages,
Glasgow City Coun¢il fees were received for the supply of Services.
P&ge 9

Docusign Envelop8 ID., ACFDF962-1 FB84D69-80FE-9E200688C16D
Orchard Grove Kinder
artell
Detailed StAtement of Financi￿1 A¢tivities
for the Year Elided 31st Mai'ch 2025
2025
2024
INCOME AND ENDOWMENTS
Dona¢lons %nd legacies
Giauts
Fees
15,049
421481
13,741
403,143
436,530
416,884
Other tradlng aetivities
Fuiidr&ising events
531
580
Tot#1 incoming resources
437,061
417,464
EXPENDITURE
ChArltable actlvltlej
Wages & NIC
Pensions
Travelling & trips
Refreshments & snacl($
Office expeiises
Equipment
Gifts
Repairs & rn&intenance
Premises Costs
Sundry
384,395
6,189
92
25,160
883
5,009
353,576
5,099
109
21,377
839
3,879
582
4,572
30,860
I,650
5,999
24,100
453,905
422.543
Support costs
ri InAnce
Bank charges
102
84
GovernanLe LlJStS
Legal & professional fees
9,636
Tot&1 resources expended
463 643
428 909
Net (expenses)lincome
26,582)
11,445)
This page does not forn] p￿* of the statutory f￿ancIal state[n￿tS
Page 10