RTr-C.ISTERED CHARI'I'Y NUMBEI R: SC04i695
Report oltkncTrustecs and
Un8udited Financial Statements lor the Year Ended 31 March 2026
(or
Maurice & Nicola Taylor Charitable Trust
StcvcThson & Kyles
Chartcrcd Accoutllants
25 Sandyford Place
Glasgow
G3 7NG

Maurice &. Nicola'fll)'IDr CharitAI)Ir Tntst
Contenls ofthe fimatscial St¥Étemenls
for the Year Ended 31 .Trlarcb 2026
Refcrcncc a￿d Administrativ¢ D¢tsils
Report ofthe Trnstees
Independent Examiner's Report
Stgterncnt ofFinanti21 Activities
Balattee Sbeet
Cash FloTrv Statetnellt
Notes to the Cash Floiy St#ttmeDt
Notes to the FIRaNcial Statemeuts
9 to 14
Detailed Statement of Financial AetiYitie5
15

i aurice & Ni¢012 Tarfor Charitable Trust
Rcfej'ence and Adniinistrativc D¢tdi15
fvr tlic I'Lyr Elldcd 31 NqaR£li 2026
TRUSTEES
Nicola Joan Taylor Beal
maun.ce Vinc¢ni Taylor
PRINCIPAL ADDRESS
Vicloria Chambcr
3rd Ftixjr
142 We5( Nile Str
GLASGOW
GI 2RH
REGISTERED CHAEUTY
NUMBER
SC04i695
INDEPENDENT EXAMINER Skvenson & Kyles
25 Sandyford Place
Glasgow
G3 7NG
Page I

Igurree & Nicola Tavlor Charitable Triist
Report of the Trnstee5
for the Year F.ndLd 31 Marclt 2026
Tjic Iruslecs prcscnl thcir rcrth ivith the financial s(atcmenls of the charily for year ended
31 MaTdi 2026. The truslecs hivc adopled tk provisions of A¢countiiig and Rc￿[liN1¥ by Cliai'iiie5.'
Sia(emeni of Recommended Praclicc applicablc io charilies pffpring ihcir xcounts in c1ccoidan¢c willi ihe
Financial Rcporting SÉandard applicable in the UK and Republic of Itcland (FRS 102) (effecti￿ l January
2019)_
OBJC4 CTIVLI S AND ACTIvifIES
Objectives aln)s
Thc objecliyos and aims of the TnL* aTE for ihc I￿￿rI[ ol I1￿ piiblic ift Scotland to support PlOjCCts itl the
areas of d)e adv8rtcment ofreligion. the advancemertt of health and the advaT￿ement of ihe arts. hei'itage.
ciilture or 5ciencg.
GrantmdikiNg
The t￿SleeS consÈdei iequcsts for SUP￿￿ fv proieas whtch arc in 3ccordance wilh the objcctives of I
trusi. The ITuslees rnay <kcide to sw)pon other projects iwhich mert ihe InL51's objcciives.
ACHIEVEm￿s AND PERFORMANCE
Charitablc actiYiti25
Durtll(T the year the TTr￿ r￿c￿Ved iTKome of £53:750 12025- £6.250) and Vd5 able to provide grant
assistance of £41779, (2025 - £24.560) to Yatious org2nisation5 deiaÈled in Note 3 to the Fina￿¢]￿1
Sialements. After (ther expenses thi5 Icft a sutplLL% of £9J48 to ￿ added to Teserves broughi fonvatd (2025
deficit £19.270).
FINIlNC]AL REVIEIV
Principal funding sources
The prin¢ip81 fijnding sourcE 15 donattOn4 from Nieola Taylor Beal, Iwlco
Reserves polic).
The charity has considcred Ihe reservcs required and have tskcn inio account ¢￿Ir Currenl and
liabilities. The level of futute gtani hnding det¢nd5 on theirbeing suffici¢nt r¢serves.
srRUCTURE. GOVERNANCE AND ￿AGEMENT
Governing document
The charily is controlled by its governing a deed of twst 3nd con51ituLes an unincorwjraled
charity.
Recruitment and appointment of new trnstee5
The tnjstees are those appoiuied under the tmsi DeLYl and s￿1 othcr person (if any) the s￿110￿ or (he
SUTvivor of them shall app)ini by ￿>1]¢¢ itk ￿￿tIllg time to titll
Organi58tiong1 strUc￿re
The irust is njn by the trustee5 who mect regularty on a rnonthly IAsis to considcr the progtss of Ihc
and rcqu¢sts for support.
Induction traiRillg of neiv trustees
On app)intment new twstees sign a model tntstcc declwdtion ststcmcnt commilling them to the &Yving of
Ihcir time 3nd experiise. There is a fonnal Ènduetion process including an iniital meeting ivith existing
Iruste&8 including guidance OD T￿pOnsibIlItI￿￿ as a oTh1 the gryd￿ making proEWL* of Tnjst.
Page 2

Maurice & Nicola I'4￿¥10r LI￿rItable l-ru5l
RLPOrt ofthe Trust¢es
for 11)e I'e#i" Elided 31 March 2026
Ai?provcd by orde4 of board ofirLksiecson 5 Augyst ?026 and si¥ned on its bchalf by..
Nicol<i Joaa Taylor Beal- Tws
Page 3

Independent EIArniNer's Report to the Trustees of
Mauricc & Nirola Tavlor Ch#rilablc Tnjst
l ftport on ihe accounts for the yL￿ L￿dL￿ 31 Marcli J? 26.4cl oul on ￿ge$ fLipC 10 fourteeji.
Respettii'e rL'.sponsibilities of truslees #nd exami￿Ly
The chatiLrfs ITUStees are restonsible for prcpardlion Ol-d￿ a¢cowiL% in accordance ivith Ihe Lerms of Ihc
Clur]IILS Bnd Trnslce Inve51menl {s￿l2[1d) Act 21M)5 a￿1 (he Cl￿nI1&% Acci)uDlg (Scotland) Regulalions
?006 ILS ainendcd). Tlic chariLy& trustees ¢otsider thai the audti rcquiretr£nl of Regulalion 10(IMal to 1¢) of
(]ie Accounts Regulations does not apply. It is my res￿[l81b]ll(Y lo examine thc accoiints Bs Ttquircd under
Section 44(IXc) of ihe Act and to state wh¢therparticulai nkA(lers have come lo my altCEJIiorn
Basis ofthe independent ex2miner's report
My examiiialion was catried oiit in accordancc wilh Regulation I l of the Charilies ACco￿AlS (Scoilundl
Reoulation% 2006. An examination itKllldes a rcvicw of Ihe accounling [￿OrdS kepl by ilie cliarily and a
comparison of the accounts prowllcd with those records. li also Èneludcs eonsithrdti0i1 of aiiy unu%ual iierns
or di￿10St1￿S in the £ic¢ouTrts, and scekinE explanaiiorfj frotn you as Itusiees concerning any such mallers.
Th¢ prnccdures iLndeEtsken do not providc all ihc c14the thai iyould ￿ ￿Ulted in aD audi4
consequently I do noi exp￿ an audit opinion on the view given by the ac¢ouDts.
Jndependent examiner's statement
In connection iviih my examination, no matler has comc to Tny aiienlion:
{]) which gives me rea50nablc ca￿* lo itlieve ihaL in any matertal les]￿CL requirements
lo keep accowjtitjg reeotds tn accothrKe with Se￿1{￿ 44IIXa) of ￿ 21M)5 Acl and Regulation 4 of thc
2006 Accounts RegulatiODS' at
to prq)arc accounts ivhtch accord wtth thc accounting I(￿rdS aNJ to comply w'ith Regulalion 8 of the
2006 Accounts Regul￿10n$
havc noi been met. or
(2) io which, in my Opinio￿ attention should be drawn in older th enable a proper Unde￿tandIng of Ihe
accoynts lo k ￿Ad)ed.
Douglas Marshall C.A_
Tlic Insiilutc of Chartered Accountants of Scodand
Stevellson & Kyles
Chartered Accountanis
25 Sandyford PIKe
Glasgow
G3 7NG
5 August 2026
Page 4

Mauricc & Nicola Tdl5'lor Cliaritable Tru&rt
SÉalemeiit olFinancial Actiiffitie5
for tlie ￿tar Trthdcd 31 Adarch 20?6
2026
UiTrresiricted
rund
2025
Tolal
fimds
No
INCOhlE AND ENDOWMENfs FROM
Dui)Ciliot￿l und le¥<tcitS
53,750
6,250
LXPLNDITUllk ON
Charitable uetil'lties
CliaTilable donations
42.779
24,)60
Other
1,623
960
Total
44,402
25,)20
NET INCOfvIEI(EXPENDrruRE)
9,348
{192701
RF.COI%CILIATION OF fuNDS
Total fiEnds brollglil foThYard
17,642
36.912
TOTAL FLJTrlDS CARRIED FORWARD
26,990
17.642
The no*s fom) part of th¢5e fujanciai &atements
Pagc 5

Maurice & iyicolg Tdvlor Cbaritablc Ti'u5t
Ba11d nce Slieet
31 Imarch 2026
2026
Unreslriclcd
fuiid
2025
Total
funds
NotCS
CUR￿1 NT ASSETS
DebiiJr.%
Caqh at bank
24.500
2.490
13,7iO
3.892
26,990
17,642
I ET CURRII NT A&sErs
26.9
17.642
TOTAL ASSETS LFSS CURREivr
LIABILITIES
26.990
7,642
NET ASSETS
26,990
17.642
FUNDS
Unieslr5Cted funds
26.990
17.642
TOTAL FUNDS
26.990
17.642
The financial statements were approved by thc Board of TnLStee$ 2nd authorised for issue on 5 Augus( 2026
and wo[¢ signed on its behalf by.
Nicola Joart Taylor Beal- Tntstee
The now fomi partof th2se financÈ21 s&iemenls
Page 6

Mauricc & Nicola Ta)4or Cliaritable Trust
Cash Floiv StJtL&mtnl
ror thc Year Elided 31 Mh arch 21126
2026
2025
Note5
C&sh tloi%'s frotn tsperatine 2¢tivitie5
Ciisl) guiciaLed from oJKra(ions
IX P£iid
9J48
{10.750)
(192701
11.2501
Nei c&5h used operatino aciiviti
11,402)
(20.i201
Cliange in Mli and casb equii'alents
ill tIIL r¢portiiig period
C2sli and caslj LquÉvalLDts ¥t tbe
be&rinniMg of the rtporting period
(1,402)
120,520}
3.892
24.412
Ca?ih rasli equivalents at tlie eRd
of the rLPOrting period
1490
3,892
The not¢5 forw part of these financial ststenKt
Page 7

hqaurice & Ni¢ola Tgylor ChAritable I'ru5t
Notes to the Cash Trloii. Stutemenl
for the YeAI Ended 31 March 2026
RECONCILIATION OF Nrf INCOMEI(EXPENDITURE}'I'O N￿.1. CA.SH FLOW FROM
OPERATING AcfiviTIES
2026
2025
Net incomel{expeDditure) for the reporting pertod (as per the
Statement of Financial Aetivities)
Adjustments for.
9.348
(19,270)
Nel cash provided byl(uscd in) operations
9,348
(19 ?701
ANALYSIS OF CHANCES IN NET FUNDS
Ai 1.4.25
C&sh floiv
Ai 31.3.26
Nct C2sb
Cash ai bank
3.892
{1.402)
2.490
3.892
{1,402)
2.490
Total
3.892
(1,402)
2,490
The no(&£ forni port of these financial

Maurice & Nicgla Taylor Chai'itable Trust
Notes to thc FRDancial StatcmeDts
for tlic I'ur Ended 31 Mattli 2026
ACCOUh'TING POLICI&S
Basis ofpreparing the finallcial statements
Tl)c fuJai)cial 513lcn￿ts of tl)c tharity, which is a public ￿ner]I enlily undcr FRS 102, have been
pretiared in accordance w'ith d)c Chariiics SORP (FRS 102) 'Accounling and Rcporting b}, Charilie$.'
Sialeineni of Rttommended Prdciicc applicablc lo thartiies pffparing their accounLS in accordancc
Wiil) Ihe Fiiian¢ial RcportÉng Siandard appliczblc in thc UK knd Rcpublic of Ireland IA.'RS 102)
(cffcclive l January 2019)., FinancÈal Repo￿1]g S￿￿[d 102 The Financial Reportin¥ Swidai'd
applicablc in t]]c UK aTbd Republic of Iw1a￿. and the ClwriLies and Trustcc Invo%lment Iscotland) Act
2005. The finaThcial ￿atcrn¢nts havc i￿n ptqMrYd under the historical ¢osL convcnlion.
Incomc
All income is recognised in ihc Stsiemcnl of Fin¥ucial Activities once tIK diarity has enlitlement to
Il)c funds, iÉ is Probable Ihai ihe income will be ￿¢¢iVed and tbe amounltan ￿ Tneasured rcliably.
Eipeiiditure
Liabilities are recognised as eX￿[Kill￿re as ￿on a5 tIKrc is a legal oi. CO￿8￿￿¢llve obligation
L0mMil￿n8 charily to thal Lxpendiiure. it is probable thai a Iran5fcr of economic b¢Refits will be
Icquircd in 5etilLment and the amounl of the obligation can bc rcliably. Expendiliire is
accou11￿d lor on an ￿c[Ual$ basis and has I￿eD cJ&&%]fied WKlei headings thai ag8r¢gate all cost
relaiefi io ulegory. Where costs cannot bc direcdy aitiibuted ￿ particular hcadings they have
been allocaL¢d io activitics on a IASiS consistcnl witll the use of re5¢)urce5.
Gra￿ts offered subjeel to condili(w ivhich havc not the year ¢nd date are noied as a
commilmcnt but not aectued as cxp¢ndiiurc.
Taxation
The chaiily is exempi from lax on its charitsble activitie&
FuRd accounting
Unrc5triCted funds c•n k used in aCcOrda￿e with ¢l￿ri￿bIe obFciiv¢s ai the diS￿￿tI1)n of the
ttust¢&s.
Rcslricied funds can only be used for pxrticuiar restricted purp)ses within the objects of the charity.
Restrictio￿ arise when SFrfifjed by thc donor or when fimds are raised for paTlicuiar rcsiricied
piirp05&8.
Page 9
conlitkued...

Maurice & Nicola Tavlor Charitsble Trust
Notos to the FIDaneial Statemcnts- continuLxI
for the Year Ended 31 Marclj 2026
CHARI'fABLE AcfiviTIES cO￿[S
Granl
fiMdingF of
aciivities
Ise¢ note
3)
Charitable doNtLons
42.779
CRANTS PAYABLE
2026
2025
Charitable donaiions
42.779
24.560
The total gfants paid to lnslitut￿)M dtsring thc year w&s&s
follo￿.
2026
2025
Outtv&d Bound Trusi
RSNO
15,000
1000
100
2,274
6,700
C2AcerResearch
Other donations
Maggre Centre
Reverse Relt
Action Medical Rcsrarth
Hospilality Action
St Aloysius College
Bealson ChÈrity
Swttish Jcwish Herit2se Centrc
Action Medical Rewch
Bencdeiti Foundaiion
Princes Trust
Strat¢lyde Development Fund
The King'5 Trust
600
1.560
300
200
4tM)
7.000
5,000
5,000
3.000
2(X)
1,500
151)0
1505
42,779
24.560
Page 10
continucd..

auricc &. Nicola Taylor Charitsble Trust
Note5 to the Fin2nciJI St#temeDts- eontinyed
for the Ended 31 Martli 2026
I'IIUS'l'Eb.S' REMUNEIiATION AND BENEFrrs
TberL" IVLR no tnJsLcos' ￿l￿U￿¢[aLl0n or 01h￿ Ixneftts fot the year ￿)(￿￿ 31 March 2026 nor for Ilie
year e]￿ed 31 March 2025.
Trustl￿, LXPLnts
Tl)ere ivere trusted eX￿nseS paid for the year cJNkd 31 March 2026 nor for thc year cixkd
31 Marcli 2025.
COTrIPARATIVES FOR THE sfA'I'EMENf OF Fif4ANCJAL AcfivITIES
Untestricied
fujid
INCOIMI AND ENDOWMENfs FROM
Donuions and legaci¢5
6,250
EXPENDITURE ON
Cliaritable theiivities
ChaTitable donations
24,560
Other
960
Total
25,520
NET INCOMEI(EXPENDITURE)
(19.2701
RE4CONCJLIATJON OF FUNDS
Total funds brought fonvard
36.912
TOTAL FiJNDS CARRIED
FORWARD
17.642
Pagell
con(inucd...

MAurice & Nleola Tarfor Chgritgble Trnst
NotCS to the Finineial St2temcDts- continueil
for the Y￿r ENdcd 31 M#rch 2026
DEBTORS: AMOUNfs FALLING DUE wrrHIN ONE YEAR
2026
2025
Tax
24,5(N)
13.750
MOVEMEprr IN FUNDS
Nel
nx)v¢ment
in funds
Ai
31.3.26
At 1_4.25
Unrestricted fun(Ls
General Fllt
17.642
9.348
26.990
TOTAL FUNDS
17.642
9,348
26.990
Nci movetneni in funds. included in thc atM)ve are as follows
Incoming
Resoutrcs Movement
reK)urces expEndcd
in funds
Unre51ricted
Gencrdl fund
53.750
(44,402)
9.348
TOTAL FUNDS
53,750
(44.402)
9J48
Comp*rative5 for movement in
Net
movement
in futmjs
AL
31.3.25
At 1.4.24
Unrestrirted funds
Generdl fund
36.912
(19270)
17,642
TOTAL FUNDS
36,912
(19270)
17.642
Page 12
conlinued...

aurice & f4ico12'fa)'lor Cliaritable TTUSt
Notcs to the Financial St4tctTrents- continual
ror the l'ear EndLxI 31 Imarch 2026
IOIIEMF.NI' IN FUNDS- coDtinued
Compardtive ncl lDovcrnc￿L in fuThls. ]￿lud¢d in thc abovc arc s follows:
tttoming RLSO¢Jtce5 Mm'einenl
expended
in Funds
Unreslricted fui)ds
GcnLr&l fund
6250
{25,520)
119.270)
TOTAL FUNDS
6,2iO
(25.5201
{19,270)
A current year 12 nioDths and prior year 12 months positloll Is &s folloiv&
Net
movement
in￿n
AL
31.3.26
Ai 1.424
Unrtstrietcd funds
Gcneral fi￿d
36.912
(9.922)
26,990
TOTAL FUNDS
36,912
(9.922)
26.990
A curreni year 12 months and wior year 12 Mon￿ combine4J net movcnicnl in fund& included in the
above *e as follows:
Incorning Re50uw Movemeni
OU[G￿ euynded
in funds
Unrcstricted funits
GeJ12ral [L￿d
(69,922)
(9.9221
TOTAL FUNDS
(69.922)
(9,922)
Page13
(J)nlinucd...

Mauriee & NicoIA Ta)'lor ChoritllbIe Trust
Notcs to the FIRld ncial StstemeRts- continued
for the Year Emded 31 March 2026
RELAI'ED PARTY DISCLOSURLS
Thc chariiablc trwt r¢xeived th)nations of £53.750 {2015 - £6,250) ftom Nicots faylor13e&l, Éw8lce.
Pagc 14

Mauri¢e & &Ni£ola Taylor ClIAiut3ble
Detsiled Sid1t￿len6 of Trinancial Activities
foi" tlie Ys)r 31 Marcli 2026
2026
2D25
II¥JCOIqE AND ENDOWMENTS
Donations and Icgll¢ics
Doiialions
Ciifi aid
43,(XK>
10,750
5,(K)O
1.250
53.750
6,250
Total ÉncomÉn¥ re50urco
53,750
6.?50
EXPENDITURE
Cliari¢ablc actii'itiLS
Gran15 10 instiiuiions
42.779
24,560
Support costs
Financc
Bank- charges
Goi'ei-nance costs
Accountancy and lenal fec5
1,620
960
Tolal re5(MJrce5 expended
44,402
25,520
Net incomel(exp¢ndtstu*e)
9.348
(19,270)
This page noi forni part of the slJtulory staiements
Page 15