REGISTERILD CHARITY NUMBER: SC048005
REPORTOF THE TRUSTEIIS AND
UNAUDITED FINANCIAL STATEMEDll
FOR THE YEAR BNJ)J£D31 DECEMIIICR 2t124
Back To S¢hool B*nkEfi8t Renfrew&hir¢

Back To School Bank East Ronfrewshire
CONTENTS OF THE FINANCIAL STATEMENTS
For Tho Y8ar Endod 31 Decamber 2024
P•gÈ
Report oftbcTru8t
I to 2
Jndependemt Exowfrrt¢r'8 Re￿)rt
stat￿￿￿nt ofFlnanclal Actlvlt
Bal￿£e Sboet
Note8 to the Flllancl81 StAtemettts
6 to 10
D¢tail4d stit￿eNt of FIRaRclal Acdyltlos

Back To School Bank East R•nfrow8hlra
REPORT OF THE TRUSTEES
For The Year End8d 31 DerRmbor 2Q24
The tntstsB8 pre8ert thoir ieport wlth the fthancial stateinents ofthe charity for tkn year vttded 31 D￿mber 2024. Th
tr￿te¢S have adoyl¢d th¢ provisio￿9 of Ac￿￿ntIng and ilepurting by Ckn'iti&8.' Ststsment (&f RecoMMth￿Qa PraLtico
plicAblv to Glitllities Prtparing thcir acwuRts in arKordan(* with tbe FIllmd￿ RO￿ting Stth opplicable in tho
UK dnd Repub]ic of Irol¥ll￿ (fRS 102) (offertlY¢ l Jarniary 2019).
oJi.tvvrTvriS AND ACTivfnES
Objeetfvej
Tho ethos of Back to SchoolBank FLqt RenfreM'.%hire 13 to rais¢ and Inaintain Self-esteB￿, pride, self.m4WL dignity
in childron livi1￿ iti poverLy hard8bip... siwly by providing a brand.Jew unlfonn. We Tyork i)n &refEr1￿1 h&814 nnly
childirll rcmaiTY anonymous to us througbouL We operate on a referra] system with local support
hools th¢ local rouuGil sorvi￿￿ alld social work dcpat*nonts antj L)ther support agencie8 8s CitlzenB Advlce 8md
F8mity Rcsourec Cwtru, W¢ &lBQ recciyc rcforn]8 dirrctly from SGbools and Third Sector orgaJJisatiollJ 8lld other
ch8ritioB such 08 Childrffl 1st and Womens Aid.
ACHIEVIIMENT AND PF,RFORMANCE
Charitsble aelfvttleJ
We [ell￿￿ ill part￿ershIp with the locai Ho￿1￿8 Association and hfftve been sllc¢essthl in winning ￿riouS awwd& as
palt of that parhKt%hlp. This adda even more to our r￿0£￿ItiOll as lllte8rai ond JEliqbl¢ supwt ￿thh] o
cominunity.
Oir founder,
bohalfof our aGtivltie8 at Batkto SchoolBank Ba81 Rcnfr¢wshir4 was awarded Citizoll
oFth¢ YeBr 2023. A mueh.appreciat&l towwd8 runtinutd workhcrc in tho cotnmuntty.
FINANCIAL REVIEW
FfDanciRI pojluon
Ow muin sowrKs of funding are donations from the publir, cvrpordtf b)di0s Attd loeai orgallis&tton4 Alld grattts from
thnding k￿dIes. During th? year donatiDILS. Dlts Nttd fiJJtdra1sti￿ a￿1vitI6$ amount¢d 10 £4B.563 hety>ins to m¥¢¢ our
hariws Fo]yuDit￿rllts in providing nmy 5Ghool uutf0ll￿B aTrJ 8UPPtio ns well &q ¢ov¢ring costs fvr th¥ w6mi3rA alld
otIKr runlli￿ costs and eyp¢ns¢8.
EX￿ndS￿r¢ in 2024. yct a￿lt5 incrL'Y5ud in lin¢ with the in(xt48e pricos ri5e8 and iti refettal numbers gnd ￿nO￿ntod th
.156. Tkn fiitLd5 gEnffi&tBd prDvid¢ ullifornLS and es8onti81 swlies (D children E&8L R¢ntsew5hirc bui thc in¢r¢&8¢
in Cl￿t8 rofwrnl iiumbets thattho 8ollrdi for 18 fui on-gain8 pro￿&5.
er¥&g polley
The trtth'y pollcy Is to retai￿ 3 month8, Wortb of norn)al operating to M￿'t (Xb1￿￿1￿lle￿ts llttd kn covor any
un¥xpe¢t¢d expettdilwe. Three tt]¢)nths ext￿ndItuTe t￿ollUts to £12,OOQ' rc50rvoy ￿[r¢￿tlY Stalld *£21.128.
FtrruRE PLAf4S
lkn remit each ycar is unthanged. to ￿￿tIn￿O wlth work to help ￿leY12t¢ h8rd8bip 8nd povety and Its impa(* on
schoDI children, by tho gimple actofproyiding a SIn￿t￿oW school uniforjn.
We contlnue to ottract locol attd national IV and radio and LY0￿1¢aSt and print nKdxA wvgrag¢. Tbe publtcity 4nd rni8e
in profile enc¢)urag¢s donors and rA)lllribittions from proviou81y unknowll quhrtwy,
Uur hank of dedlcated voluntea¥ r¢rnains comrnittcd to BaBk io S¢hoolBank East lionfrow8hiro and havo bccA rfthl
fDGilhAtiiig th¢ organisotionftl den)ands of th6 inLreayed WO￿load. We colltiuuo to build Ilnkg to loc￿ schoolB and 8f%lU
and our number of tr[￿rnI organi3aiioD8 ha8 ￿￿Ta88¢d yct aguin. We continuo to l￿d aro oommttt¢d kn ¢nguring th41 0
sryvice is as atce4sible ￿ wk&811)l¢ to thoyo who hllve tho ne&J for IL
siryiiJrriJRV. GOVERNANCE Af4D MANAGKMBLYT
GovernTng documwt
'Tho cliarity 18 coiitrolleAI by Its gov¢mlng OXW. adeed of trw¢aDd ¢£￿tI11ttes alluniticorprtedchartty,
REFERENCE AP4D ADMtNtSTRA'fivE DETAIIS
Re8t%tered Cl￿r$ty number
SC048005
Page I

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REPORT OF THE TRUSTEES
For The Year Ended 31 December 2024
VUNDS HELD AS cusfoDIAN FOR OTHERS
During year the ￿,601 th8t w35 held for Pai8l¢y Back to Scbwl BaAk Bft¢k to &hool Bank G]asgow gpFn¢
on th¢irbdwlf I￿villg no baiauK hvld krt dL¢ ¢nd oflhe y¢ar.
Appr¢tv¢d by orts of tbe board of trugtee8 on 4 July 2025 ots its behttlf ty.
Pg8e 2

INDEPENDENT EXAMINER'S REPORf TO THE TRUSTEES OF
BACK TO SCHOOL BANK EAST RENFREWSHIRE
I repth on Ihe aowunts for Y￿ eodod 3 1 D¢r<miw 2024 8et out on paw fow to to
Respectfv• re&poll5Lbllltl¢s o[tru￿￿ and txAmlncr
The cbaritys tTusE¢e8 are reswblc h. the prqJaratLvn of the acCo￿t9 in accordwe thg lert))8 of the Charldos
gnd Trust¢¢ Illv&%tthent (Scotlalld) Act 2005 and the Clwltld¥ A¢￿Urtts (S¢otknid) Regulatlow 2006 (as gjllonded). Thts
¢haritys trustees Consider that the ￿dIt wutroneni of Ilegulation 10(IKa) to (c) of1he Arwunts Regu]ation5 doed not
appty. It Is my re9ponslblltty to exam￿)¢ the aLaxiun(s as requlred Sectiijn 44(1)(c) of the Act and to state wl1¢d
partic￿ar corne to my attontion.
B4sts of th¢ Independent examltset's r¢port
My examination WY5 i￿ri￿d out In aetM)Td4WO With 11 of the Charfrf¥y A¢wunts (S¢otlwl) Re8ulatlons
2006. All exami￿11￿￿ irL¢lude8 a r&viow of the aceountiug records kept by th¢ c]wity and & ¢Dmparlxon of the accouiits
pmentod with those re¢wds. It also Includes ￿)nsIderatIon of arty unusual ItCrnA Dr disclosures in the ac£ounts. and
soeking ¢xplaLations from you aA trustees concernln8 any such matters. Tho proc4duTes imdataken th not providv all
thc evldenoe that wpuld be required in an sudt4 aftd CoDseqU￿ I do nol ¢xpres5 an audit oplnion on the vlew given by
Jnd4)endent eX&n￿ner'S stht¥metkt
lllEoDnectiOEL withw oxAtllkn*ioffj tto mattsr IMB come to my thntsith:
{1) Ykni¢h glve8me r¢880nable cau8e ty b¥li¥ve iknL Kn alry rllat&lal regpec4 the requiremeots
to ko¢p M¢WUlltIng record8 th a¢¢ordattce whh S•ctlon 44(1)(a) of the 2005 A¢t 4nd He￿latIOtt 4 of the 21106
Awoutts Regulffttions,. and
) preparo whkb accord accouTrting iEcwds and to compty with R¢gulution 8 of ￿le 2006
Acroullls R¢gulatfions
bNve J)otbeett ttic£ or
(2) to wmch, in Jny opjnlon, attentlon should be drawn in order to enable a propu undent￿dIng of the A(tollnLi kn be
4 Juty 2025
Pag¢ J

Back To School Bank East Renfr8W3hire
STATEMENT OF FINANCIAL ACTIVITIES
For The Yoar Ended 31 December 2024
2024
Total
fimds
2023
Total
UnreAtrlcted
fund
Rwtricted
fund
Not08
INCOMK AM) E14DOWMENfs FROM
Donationy legaclas
38,932
9,631
48,563
81.390
EXPEf4DrruRE ON
Raising fI￿d9
216
216
216
Charitsble actlvltk8
Provision of UnifoM8
54,941
8,999
63,940
59.457
Total
55,157
8.999
64,156
59.673
NET INCOMFJ(EXPENDfruRE)
(16.225)
632
{15J93)
21.717
RKCOIYCILIATION OF Fi)EIDS
I'otai funds brought for¥vard
20,488
16233
36,721
15,Q04
TOTAL FUNDS CARRIED FORWARD
4263
16,865
21.128
36.721
The fornk part of the9¢ financiRI statements

Back To School Bank East Renfrewshire
BALANCE SHEET
31 Dgcombar 2024
2(Y24
TotsLI
fi]nds
2tr23
Tothl
fimd$
Unregtrithl
Rejtrictrd
rund
CURRENT ASSETS
c4lhatTr￿
4263
IA865
21.128
41382
AnY)￿llt6 falllllg due withkn ODe
(5,661)
4263
16.865
21,128
36,721
T(YfAL ASSLTS LE&% CURRENT
LIABILrrIJ£s
4263
16.865
21,128
36,721
NET ASSE
4263
16.865
21,128
36,721
UllrestricF.cd tht)(L8
R¢stric¢d tiintLq
4203
16,865
20.488
16233
T(YfAL FUNDS
21.128
36,721
The fitwirial 5tatNnMts were 4pptov¢d by the IIvdTd of TTwlee5 ￿ 8uthoris¢d for i38u¢ on 4 Jllty 2025 gnd wr
sigti¢d on its beh41t'by.'
Trust¢£
TheDok4 fontL Part oethese fit)aotial statements
Pag6 5

Back To School Bank East Renfrew3hlre
NOTES TO THE FINANCIAL STATEMENTS
For The Year Ended 31 December 2024
AccoiiffflNG POUCLLS
BASIS OFPREPARING THE FINANCIAL ￿￿TE1vIE
The fJnanci&l Ststen￿nts of the"clwity, whlch is & public benefit entity under FRS 101 have been pryared in
cordene4 with the Ch&rAtiey SORP (FRS 102) 'Ac¢ouLting and Reporting by Charities.. Statement of
Remmended Practlco swpiicBble to charitie8 preparing their accounts in accordaI￿e with tbe Finanrlal
Reporting 8thndaTd applicable in the UK and Republlo of Ireland (FK8 102) (eff¢¢tive l JRttDary 2019),,
Financial Repwting Standard Iff2 '1Th0 Fthaty¢id Reporttng Stalldard appliGabl¢ in th¢ UK and Rrpllblic of
treland, attd the Charitl¢s ottd frnstse Investsnent (Scotlalld) Act 2005, Tho fingDcial statements knve been
prepll￿d under th¢ hi8torica] c08t￿nyellt1O
co
All income is Te¢ogDiS￿l in.the StateM￿rt of FinanciaE Artivides th¢ ¢hfiTty hlls entitlement to the thDds. it
is probable thatthe inoome will be re¢eiYed th¢ #mount ¢an be mwurEdiellabty.
XFENDJTURE
Liabilities Bre recognis¢it &8 expenditur¢ as soon as there is 4 tegal ￿, Constructi￿ obligAtion coinmittlng the
rity to th&t expenditi]r4 it is prob8ble that & trallsfer of economic benefits will be required in Bettlerne￿t and
the amount oftho obliglltion con bomoAsured reliably. Expenditure iy ￿COUnt￿l for ¢)n an ac¢nwls basis and h&¥
been clossified under be&dings that aggrewdte all cost relat￿ to the cAt8gory. Wh￿¢ ¢o$ts cEJllot be ditutly
attiibuted to particular headtEJgs they hevo b¢pll allo¢&ted trj actÈvities on & b￿18 consistent with the UBe of
Tesour¢e8.
Gmta offtted $ubjectto conditions whioh have not beentt￿t Ht the year end date are ttoted a8 a commitsttent but
no¢Mccrued aB expenditur¥.
TAXATION
The charity is Trom tax on its dwitable a¢tivitlo1.
FUND ACCOUNTING
Uw¢stricted fu￿d8 u8ed in with the cbaritabl¢ obJ¢Gtive8 at dlseyrtlon of the trustees.
Re3tricted thnds cm ¢)niy be uged for p￿￿(￿l￿r t%stricted pu4xise$ within the obJ￿ts of the tharity. JiestrlctioA
arige Wh¢￿ ￿p￿]fiL%1 by the donor or WI￿ funds are rai8¢d for particul￿reStrIC￿l wry)0$￿.
Further 0xpl￿nation of the natyr8 Ittd purpos¢ of e•ch ftnd ts included in the note% to the fina￿la1 stJt&ttents.
HIRf. PURCHASE AND LEASING COhQIllTM￿s
Rentals p￿d under oppratiog Iwes aro chdrged to the Statement of FI]ja￿la} Activltiey straight line basis
over th¢ p2rlod ctfthe le4se.
DONATIONS AND LEGACIKS
2023
Don&tion8
8,324
40239
38.772
42.618
48J63
81,390
¢ontinued...

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NOTES TO THE FINANCIAL STATEMENTS - contlnued
For The Year Ended 31 December 2024
DONATIONS AND LEGAaKS- eondnued
Grnnts r¢¢eIVe￿ included iu the &lK*ve, ar¢ as follo￿.
2024
2023
Antold Clark
S¢otmid t￿1 L'ommuntyFund
East Renfrcwshiro Coullcil
Barrhead Housing A￿O¢lEt[On
2,000
500
10.000
7.395
9,631
6.108
2500
13,QOO
Peoples Postcode Lot
Turcan Connell
B1￿5k of S¢ottand
Other grants
9,941
5,000
5.000
9.782
40239
42.618
TRUSTRES, R]LMUNERATION AND BJLNJIFITS
'rhern w¢re tru8te6s' re￿W￿ratiOn or other benefits for the year ended 31 De￿ber 2024 nor for the yellr
e4thd 31 December 2023.
TRUSTEES. EXPENSES
Th¢re wtr¢ no truste￿ ¢xpw$￿ paid for Ihp year ended 31 Deeember 2024 nor for tILe y¢￿T ettded
31 Der&mb¢r2023.
COMPARATIVES FOR THE sfATI£MENf ov VINANCIAL ACTIVITIES
Unr￿trIctDd kntrictsd
nd
futsd
Totsl
INCOME Af4D EF4DOWMENTS FROM
DonatiotL% uud l¢ga¢i8$
62,058
19,332
81 390
EXPENDITURE Oly
B2ising fimds
216
216
Churltablo Nctivltl
Provision of Utsieorn
50,515
8,942
59,457
Total
50,731
8,942
59.673
NET INCOME
11,327
10.390
21,717
RECONCILIATION OF FUNDS
Total fi￿18 brwght torward
9,161
5.843
15,004
TOTAL FUf4DS CARREBD I¢ORWARD
20A88
16233
36.721
Page 7
continu¢d..

Back To School Bank East Ronfrewshiro
NOTES TO THE FINANCIAL STATEMENTS - continued
For The Year Ended 31 December 2024
CREDrroRS: AMouNfs FALLING DUK wrriiui ONE YKAR
2023
Trade creditors
Other ¢r¢di*o
5,660
5.661
MOVKMEEIT IN FUNDS
movement
in funds
At
31.1224
Al 1.1.24
Unrestrlcted fulld
Genernl fund
20,488
(IA225)
4.203
Restricted fuAdB
Kestricted
16233
632
16,865
TOTALFUNDS
36,721
(15.593)
21,128
Net movcm¢nl in fimd% incllldeA in the above are as follows..
lthcomln8
R¢sour¢es Movement
Ullrestrlcted fullds
OeneraL fimd
38.932
(55.1571
(16225)
Restrieted funds
Restricted
9,631
(8,999)
632
TOTAL Fuf4DS
48&63
(64,156)
(15,593)
CompArAtfves for movem¢Tht IN tuthd
Net
movement
At
31.1221
Atl,1.23
UnreJtrltted funds
(leneral bjlld
9,161
11,327
20.488
Rthtrlcted fund
Rostrtcted
5,843
IOJ90
16233
TOTAL Fuf4DS
15,004
21,717
36.721

Back To School Bank East Rgnfrnw8hlre
NOTES TO THE FINANCIAL STATEMEfrrfs - contlnued
For The Year Ended 31 D8eemb8r 2024
MOVEMENT IN FUNDS- eonthiu¢d
C4Mnp&'atlve net movemetrtln included tn the above are as follows:
Jll¢oming
resourc
Resour¢¢$ Mov¢ment
¢xpOJ￿ea
IA funds
Unr¢51rteted fund8
G¢n¢ral Ilmd
62,058
(50,731)
11.327
Rwtriettd Ilwd8
R¢6triotsl
19,332
(8,942)
10,390
TOTAL FUNDS
81,390
(59.673)
21.717
A ¢urr¢nt ￿ 12 Jnonths andprÈory¢8r 12 month8 Combit￿dpQ9ltioll iB ￿ follows..
Net
At
31.12.24
At 1.123
in fundg
Unrostriet￿I lond$
GeD8r81 fi￿d
9.161
{4,898)
4,263
Restrlcted futsds
R￿trIcted
5,843
11,022
16.865
15.004
6.124
21.128
A current yw 12 ]noTrths llnd prior y¢ar 12 months Combn￿￿ net movement irL fund4 included in th¢ abtsve 8re
as follows:
In¢oming Resources
regources
expended
Movement
Unrestrlcted tun6s
Genernl fund
100,990
(105,888)
(4,898)
R￿trICted fu
Restrlthl
28,963
(17,941)
11,022
TOTAL BUNDS
129.953
(123.829)
6.124
PA8e 9

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NOTES TO THE FINANCIAL STATEMENTS - contlnued
For The Year Ended 31 December 2024
RELATED PARTY DISCLOSiJRES
Th￿￿ wernno relatsd party trallsaGtLons for the year ended 31 Decemlxr2024.
Page IQ

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DEfAILED STATEMEKf OF FINANCIAL ACTivmES
For Tho Yoar Endod 31 December 2024
2024
2023
JNCOMK AND ENDOWMENTS
ollatlo￿ and legaeles
Donado]]8
8,324
40,239
38,772
42,618
48.563
81J90
TDtal r¢sourc
48￿63
81.390
Othtr *rading a¢ttv1É1&8
COMMI￿1(￿
216
216
ChArlthble 8ttivitlc8
Otkn op¢rntin8 lea8e8
lu￿￿anCe
I"elephone
Sundti
Gronts to ittdividuals
S.￿28
755
216
759
54,182
8.253
689
216
1,876
48.423
63,940
59,457
Tot41 r4WUTces exp*Yled
64.156
59.073
ry¢t (¢%peBdlthro)fineome
(15,593)
21,717
This pag¢ doos not formwtofthe 5tstlltory fjoottdlll StAt￿n￿?￿S
Pag¢ll