REGWERED CHARITY NUMBKR.. SCIM6690
rtof
¢ Trustees and
UD4ud
ments for the Y￿r Ended 3
or
ht Rci&Tlrtto
ChaTits
dgtio
TBDunn&Co
fjround Floor (part)
80LK) Acalemy Busin*s Park
51 Gower Stre¢r
GLASGOW
051 IFR

The Ret&TI
Chaplt8
d&tio
ttthts ofthe FiDa
t Year End
¢l*l Ststerntnts
2024
P2g¢
Report of the Trustees
Ito3
Indep￿dent ExarniDetr5 Report
Sta¢emtrLT of FitWJCi21 Activities
Baltn¢e Sheet
Notes to the FitWJGial Stst¢ments
7t0 10

eRel
Cburltsble Fo
dation
ort of the Tntstets
e Year Ended
The trusteespre5¢nt their rcport aIon8 with the financial artangementsforthByear ended 31 July 2024.
Cowtlthtio
The Charity is a Scotti$h Charitable Incorporated Or8ani5ation eSCIO'). It wlls regi5ttted itt its currertt lega] fotm on 7 July
2016. This SCIO is asingle tserstru¢tute tnd as suth the tntstees art nembets of the charity.
Appolntmettt of trts$tees
Th¢ charity's I[￿￿teeS can 0￿Y be kn51ees if they Ire fill mejnbers ofthe SCIO. The mininum rtU￿ber of Charity thlstees is
thre¢ and Shall in¢lud¢ the Ch￿n￿all of the SCIO. The appoint￿ent of new tn¥tse5 is r¢served to the tru5te¢s its office. New
Irust¢e5 are provided with opportunitiesto rtteivc trgining in r¢J8tionto their duli¢s and responslbilitiesas djarity Iwstee
Objectlvcs and attiviti¢s
The deed of trust provides for wi<k.reathing chatttable objects, affording the charity tru51ees the power and flexibility to
apply the income and capital of the trust fund, by Erants, for the ben¢fit of charitsble obje¢ts and pwposes, in any
part of the world. Grants are award¢d 10 charitable orgmisttiODS in accordance with theprinciples set out below.
The trnsi's primary forus is on...
-The advancement of health,.
- The t¢lief of those in need byr¢ason of oge. di&ibiliry. fill￿¢1?1 hardship or other dI3Edv8n￿8e.
AthlEvements and perform8Dtt
This is th¢ seventh period of attivity of The Reid-Timoney Charitable FoundaiiDn. During the yw, the Foundation's foGu5
W35 pri￿arilY on prOvidu￿ financial supportthrouÈh grantgiving lo idetttifjed ¢ausB5 in line with th¢ Foundation'sprinciples
and obje¢uvc5. Th¢ Tnjstecs roThlinue to revi¢w alld assess addithonal cau5CS tbat rnay benefit from the Foundation'5 futsJrB
fin8n¢ial SUPPWL
Fln#uciaI reviEW
The fitwi¢l￿ 5taiem¢nts for the year are s¢t out in pages 5 tt) 10. The statement of fit￿cial a¢tivitie5 on page 5 r¢fl*ts
income for the ye4r of £39.156 (2023.. ttct expenditure of £94,926). The n¢t income for the y¢ar is mwnly due to inttr&%t
rrfeivable on a loan mad¢ to a rclated pm. The charity remains in a strong fuJ3n¢ial p051tiotL
Key manag¢￿ellt p¢rsoDnel
The trn*ees ¢ompJise th¢key mHna8ementperstrnneJ of theentity. Nv InJ&ees received remun¢r&ion duringthe period.
Reserves poll
It is thc policy of the ttust lo maintain unrestricted reserve5 at a level suffi¢ienl to ¢oveT donations and general running costs.
Rcserv&% a5 at 31 July 2024 included cHsh of £1.810.223. IoAn interest re¢etvable of £￿.934 and bank int￿1 receivable of
£4.927.
Page I

bl Follnd
Dytof the Truste
rgr the Yexr
ded 31 Jul 21ll4
Plans for flltur¢ petiod
Th¢ Gharity se¢ks to produrc the Ex5t financial rcuTh an acceptable Itv¢l of risk 3rd continu¢$ to adopt an investrnejtt
objettive 10 gtherttE ￿ ac(wable réttm on these invcstmcnls Trver the medium to long term. after ￿penSe& The Me￿iT£
of infl3140n most relevant to the charity's ¢xpthdilure is the IJK consumer pri￿$ ind¢x. This Inveslment objective should
4Uow th¢ Gh4rity to mainthn ovu the rnedium kn long tBrtD Ebe re&1 v￿ut of the m, Pdhiltt fjmding tk destred
level of annual expBndirure.
TheTru*¢¢sO￿slthrthalthere are DO rnal¥ial unce]tsnd£5 3bolltthe SCIO'S abijiwto conunue28 a goiDg conc
REFEMENcXAM)AD￿q1￿￿TRATry￿wTAr￿
R*gkterÈd Ctsylty Nuthbtr
SCO466￿1
Bathk¢r5
Royal Bènk of Scotlartd PIC
36 5t Andrews Square
Edillburgh
EH2 2YB
IDdepelld¢nt ex#￿iDer
TBDUr￿&Co
Ground Floor{rwrtl
8000 Academy Busine¥ Park
51 Oower Street
Gla4ow
G51 IPK
P4¢2

The RtlO-Tlmo
Ch2rltsbh Fo
orto
th¢Tr
e¢s
tar E ded 31 Jul 2024
Tryrtet8' r￿p•￿sIbIlitIeS In relatlon tts th¢ t￿$￿¢￿al slat•Ments
Thc ch￿tty trustees 4re rc5ponsible for preparing a trustee's awjual r¢pr*t and fJnan¢iD] 51altments in ac¢ordan(% with
?ppli¢able14w and United KiD8dom A￿oUnti￿8 St4ndard5 (United Klng¢Jom Gen¢r&lly Accepted Ac¢Duntin8 Prictietl
The law applicabl¢ to charitie5 in Scotlend requires Ihe Gha¥ily Iru5tees to prepare fiJLanrial statements foi ea£hyear which
give a tru¢ and f￿r vieiv of thc state of of the ¢haTity and of the In￿ming resotsrces and application of tawuw, of
the charily for thatperiod. In prepatitig th¢ fmanclal srat*nen4 the tru51ees required th..
SelBCt witsble &¢¢Dunting polide5 gad appty them consthndy-
Observe the rnethodsand pr￿CIpleS in thc appliuble Ctwiii¢s SORP.
Make judgemthts and &ttimatesthaf are reasothAble and prudtnl
State whcther8ppIiLzblea¢cLxJnting Stslldardshave becnfouowed, wbjECtto anymateTiai departswe5dy5alose41 and
explained in the financial statErnBnl¥,'
Prepare the financid staternents on the going concem ￿10 unless It is jriw)prorria* to PTWUm¢ Ibe cbyriw
ryll ¢ontinue in business.
The I￿*e¢s are responsible foi kEeping ptoper a¢courttinK r¢¢ords that dlxlose with re￿O￿able accuracy at atsy ti¥n¢ th¢
fiJ)en¢ial wition of th¢ Clwity and ro enable th￿n to the fuj8￿1￿ Stslenents ¢o]nply wtth the Charities and
Tru￿te InveSDnem {Scod&ndl Act 2005. Ihe Charity Acwunis (Scollandl Regulations 2006 las zmtndedl. Thry Hr¢ UL
restx>nsible for safr8uatdiD4 th¢ ￿¢1$ of the GhllTSty taknng rwonthle steps for the rrtewtion and delt¢ion of fraud
and other rygularitio.
Approved by the tru$itts ¢)n 25 April 2tr25 and SIS￿ on th¢ir behalf by..
2S Awil 2W25
Page 3

¢Ddenl Examiner'5 Rt
The Rel
ri
Ort to the TTU5tee5 or
V¥ulld¥t
I OD the acco￿15 for th¢y¥4r ¢nd¢d 31 July2024 wt out Oll PAECS fiveto M.
Respective respo￿15b]ll￿¢j of trwtees ¢xJJnin¢r
Th¢ charitys ttU5tee$ are res[￿￿51bIe for tht preparation of the ac¢ovtsts in acco￿8￿¢t with the terns of iht Chuities and
Trustee Invtskn¢nt{SrotlJ￿dl Act20Q5 thE ChuitiesAccounts IScoll8ndl RegulRtions 2006 (ts zmendedl. The charity's
tru5Ece5 consid¢r that Ihe audit requirement of Re8lllation lQll} la) to Icl of the 2006 Regulations docs not apply.
IL is trny Te5PDnsibility to ¢X￿nin￿ Ihc atcounts a5 rtqutr¢d undrr s￿1*0￿ 44(Illcl of th¢ AU and to sratE wbdhu particular
Jnatteis hawe come to My itt¢nlion.
B*sis ￿rthe independeAt e￿mItter.$ report
My cxaminstion carried out in accordance withR¢8ulauon I l ofihe Charities Accounts{S¢o¢thndl Regulations 2006{&%
2mendedl. An ex￿l￿ation inGludes areview of the &Gcounting records kept by the chatity Dnd a ¢o[npwi￿n ofihB aCc(￿nts
pr¢5¢nted wilh those [￿ordS. It 1150 includes Consideration of any unu5u&I items or diKlosures in th¢ accoutst8 seekiDg
explaDations frotD you as trtSStees CODcernin8 any rnattrcrs. The procedures undert8kBn do not provide all th¢ ¢vidt￿e
that would bc required in an audiL and cotL5qu¢ndy I do notexpre￿ an audit opiniorL the view Wvett by the&cO￿nI&
Jude￿ndent examlneV$ stafrmtnt
]nthe cour5¢ of my ex0ML￿ti￿ no matterh￿come tty Tny attention:
whith g[V￿ mc r¢osonablc cuu3E to believ¢thaL D) any Materi￿ rw¢¢t, the ieouirethents
tokeep a¢¢ouDt￿g ￿ordS in •ccord8tttewith SeGtion44(IXal of the2005 Aci aTra Regulation4ofth¢2006
Accounts Re8ulwion$; a￿d
ro weptre accounts which &ccord with tlle accouniing reLords and tv Co￿p]Y with Re8ulation S olthe 2006
ounts Regu18ti0Tr5
have llol bEen met.. or
121
to whltkn. h] my optnior4 atythiiDD should be drawn itt order to 8 PTOW undBE5tuTrJing of the to E¢
r¢xh¢d.
LLA
TBDunn&Co
Grrtund FTroor Ipthl
8000 Academy Busine&8 Park
51 Gower Strea
GLASGOW
G51 IPR
25 April 2025

rid-TimorLe
aritablt Ftrullda
sts
fort
entof Finan¢tal Activltlts
YearEnded 31 Jul 2
24
Expendable
endOw￿ent
fi￿d$
Expend8ble
endowm¢nt
f￿d5
Totsi
2024
Note5
Inc•me From..
Invesitnents
Int¢restreceivable on Ivan
2023
20209
23,934
20,209
23.934
7.855
7.855
Totsl
44,143
7,855
7,855
pendtthrt On:
Char&l8ble a¢tivili¢5
Inv&stmenl Mat￿geMent wsts
Bank tharge5
Governance ¢osts
12
3.727
120,706
16,649
loo
1.020
120.7
16.649
13
1260
1,260
1.020
Totsl
4.987
4,987
138,475
138.475
14
35.694
35.694
Net Mov¢ttLtJkt in Ftsnd$
39.156
39.156
194.9261
194.9261
Recollci]iattoll of Funds
Totsl Funds Brought Forward
1,798,788
1.798,788
I.5￿,714
1,893.714
Total Funds Carried Forward
1,837,944
1.837,944
1,798.788
1.798,788
The statEmeni of fjnanciai a￿1vitiES include5 8Jl E&U)sand1055 re£ogniwJ ill the yqar.
All iD¢otDC Hnd expajditure detiv¥ from eorttinuing ￿tiVItie&
The note5 ¢m pages 7 to 10 forni part of thcsc finaDGial 5katements

Tht Rel&Tlmo
ari
bl¢ FoundwllL
At3LJul 2
p¢ndablr
Expendable
doMryn¢ni
funds
Tol•l
2024
Notes
2023
Fiyed 15sets
Invtstsn¢nts
14
Curront x$$Èts
Debtor$
Cfish at B9nk Hattd
28.861
28.861
1.60ts.OOQ
l.600.OaQ
42
Credit•TS:
Amtrunt$ Fallittgdue within l yeAr
16
N¢t¢wr¢nias9ets
1,837,944
1,837,944
1.798,788
1.798.788
TLthI Assets IE&%CUTrettt liEbiliM¢5
1,837.944
1.837,944
1,798,788
1.798.788
Net xEets
1,837.944
1,837,944
1.79&788
1.798.788
Fund$
iieskn¢tèA
ExpeDdable eJJdowme4rt Iljnd
798 788
798
Totil fllnds
17
The fiT¢ancial startsnents wertappTovcd and duthorised for i5sh* by the Board of Trus1¢¢5 25 April 2025 and were signed
ox iro beh￿Tf bv".
The n0*5 on pAgrs 7 to 10 fc*m of these fJn•n¢i4E 5la¢EmEllts
Page 6

-Tirnone
ritsble F
datioll
ote5 to tTrLe
or the Ye*
5ngncial Sts*¢Tnent
cd 31 Jul 21124
Basi5 of prepzrdtion
The financial sratements of the ¢h8rity, which is a publi¢ benefit entity underFRS 102. havebeen prepared Tn accordance
with ihe Charities SOKP (FRS 1021 'Accounith¥ and Reporting by Chatilies.. Statement of Recommended Praui¢¢
applicabl¢ 10 d]aTities preparing th¢ir accounts in accordat￿e with the Fin9nci￿ RBporling Siartdard applicable in the UK
and Republic of Ireland (FRS 1021 (effective l January 2019)., and the Financial keporting Standard 102 The Financial
Reporting Standard applicable in the UK and Republi¢ of Ire]end'. the Ch3rities and Tru5t¢¢ Invesknent IScot13ndl Act
2005 8nd the ch￿ItIeS Accollnis {Stotland) liegulations 2006 las amended). The financial statements have bEen prepared
under the historical c05r convention.
Financial reporting Stsndard 102- reduced disclosure exemptioL
The charitablecompany httstaken advantageofthcfollowing disclosureex¢mprionsinprepariM8thE5Bfinan£i4ithen
as permilled by FRS 102 The FI[w￿la] ReporEillg Stsndard applicable in the UK and R¢publi¢ of Ire18nd':
Therequir¢ments of Se¢tton 7 Stat¢ment of Cash Flows.
No matcrs&1 wioryearerrors hsve bEen Id￿tified in the reporting period.
The presentation Gurren¢y of th¢ financial statements ￿the Pottnd Sterling (£).
GoiuE Conce
The trustees consider thatthere are no material UTrCWThDJlies abouithe SCIO'54biliry to ¢()nt￿￿e as agoittg conc¢rn.
R¢eoEnitiorL of thcome
Income is included itl the Staiemettt of Financial Activities once the SCIO bas entidemem to fthid¥, it is probable that the
ulcome will be receivedand the account Gan b¢ measuredre]iably. lJKome ￿ accounted for on an accruals b45iS.
Natsre purpose of
All fund5 ¢umdy held by the Charity are deerned to be expendabl¢ thdowrn¢nl fvDds. fvnds may b2 wed at the
discretion of the trustees to furtherthe objectives of the Charity.
Grants dollatto
Grantsand dotMtiOD5 Bre ottly included its thestatementof Fina￿lai Activiti¢5when incomeTwnition ¢rit*ia
aT¢meL
ExpeDdlthr¢
Liabilitie5 are re¢ognised as exp￿id}L￿re as soon a5 there is a legal or¢onstructive obligation commiltinE thechHrity to that
exp¢nditur4 itisprobable thata￿tt8feFotCc9n0miCbBnef1ts will be required insettlementandtheamounl of the obligation
can b¢ measured reliably. Expenditure is accounted for on an ac¢rual$ basis and has been GJa53ified under hcadings that
a88regate all cost related to the category. Where c2nnot be d￿eCtlY atrributed to particular headings, they have be
aIlo¢ated to activities on a b￿1$ ¢onsist¢trt with the use of resour¢¢s.
Taiado
The¢h￿l￿ is exempt from cotporation tax VD Lts Ch￿1¢&bleacti¥lt1e￿
The note5 on pages 7 to 10 forni part of these fLnanGial 5t8tenJents
Pag¢ 7

The
-Timoll
Charit2
l Foulldatltsb
Notts to the Fi
n¢i*l Statemtnts
for tILe Ye&r R dtd 31 Jul 2024
Crltltal Judg¢th¢tyts t5timates
No %gnificantestunate5 a55umptions were made inPTepmg th¢ financi81 sratemejrt
Liabilitie5
L￿billty re¢ogllltto
LiabilitiC$orereGogDisedwh¢r¢ itis more iikejythan DQtthgtth¢re Ésalegal or¢onstructiveobligation ¢oJntDithngthe charity
to pay out Te80tsT¢es and the amouni of the obligation Gan be measuKd with Twonable c2rt&inty. Bxpendiiure is accounted
for on an a¢¢ruals basls.
io.
IDvestm¢Dts
Investments are illitially measured at ¢ost and subsequently at fairvalue. The statejngnt of fIn￿l￿ a¢tivtti&s ￿￿]￿deS thenet
goins and losses arising on reVaI￿110n 2nd disposals throughout the ye8r.
Invtstmentillcom¢
EKpeMdible
EDdowroent
FuDds
Total
2024
Total
2023
Divid¢nds and Interest
12.
Grani makfiDE
ExpEnd#ble
ErLdowm¢ut
Funds
Totsl
2024
Total
2023
The adv￿GeMent ofhealth
During the year £3.727 WBS don8t¢d to Gla5goiv ChildM'sHospitsl charity.
13.
Governance costs
Expend2bl¢
Elldowm¢nt
F￿ndS
Totsl
2024
Total
2023
Independ￿1¢Xamlller'S feE
Thcnotes on pages7 10 10 form partof these flnanr1￿ 51atenJettts

*ritab
datl
otes t tbe Fi￿9￿￿1a[
tar Ended 31
tstemen
UI 2024
l& Flx¢d #sset i11v￿t￿ents
IYBS Eqtsiths & Bonds
Carrying value at begillning of period
Additions
Disposal proceeds
Net gain on di5POS
150
150
IS Debtors
Duitng theyegr a loan of £l.600,OOOwas repaid by SARTlnvutDJetsts Limited. The loart interest teceivable of£23,934
Wdid on the24 Aptil 2025.
Bank interest of £4,927 earned ill July 2024 was re¢eiv¢d post y¢￿.etsd in S¢pte]nber 2024.
16.
Crtditors- Amoubts f¥JUthg du¢ wttbill one ytar
Exptndllble
Elldowment
Fu*d
TDtal
Totsl
2023
Accruals
17.
Alla1￿15 of funds
Iktwis of funds held and tDDvements d￿r￿E ￿Trent reporting period
Fund
Brou¥ht
Forward
Cgi115
Balallee
CHrrled
Fon¥ard
kxpendStllre
TraD5f¢rs
L•55eS
Expendablt
EndowmetLt
Fund5
Totaj Fund5
Detai15 of fijnds hc]d attd movements during previous rcportingperiod
Fwid
B#lance
Brought
Fonvard
Galll$
Ba]anc¢
C#rried
Fonvard
Expenditsre
TraLrfers
Expendable
EndowmeTht
Funds
Tot￿ Funds
Th¢ nortson paw7to 10 forjn port ofthe5e fit￿cial 5trtemertts

tid-Timone
'tsblt FoundA
Not to th¢ Financizl
forthe
ded 31 Jul
tnts
18.
Trustets rèmuD¢ratloD and bcllefrfs
Nontr of the tr5L#¢¢s have beth patd any Temurteration orr¢¢¢ived atty otber bEncfits from to etDpIDym¢nrwiib th¢SCIO or
arelattd entity.
Notru5tee ¢xpense5have beenin¢untd.
The notes on py 7t0 10 fonn part of thesE finall¢1￿ smtetnents
PagB 10