APPENDIX 1
Ttustees, A,nnual:Report,for the.per.iod
Period start dale
Period end dale
| Month | Year
Month | Year
08
2024
12025
oscri,_
Day
15
To
Office of the Scollish Charity Regulator
Referehco and admlnlstration details
Charity name
Othèr names charlty Is known
by
Registered charity number
Charity's princlpal address
Haugh of Urr Nursery
SC10148178
Hardgale Primary School
Haugh of Urr
Castle Douglas
| Postcode DG7 3LD
Namos of the charlty trustees on date of approval of Truste95' Annual Roport
Trustge namg
Office {if any)
Dates acted If
not forwhole year
| Appointed 0311012024
| Appointed 0311012024
Name of person
(or body) entitled to
appoint Iru5tee (If any
Kotie Murray
Emma Jardine
| Abby Newbury
| Tom Jordine
Lindsey Hales
Sarah McKnight
Erika Botel
Donald Weir
Chairperson
Secretary
Treasurer
| Appointed 0311012024
| Appointed 0311012024
Anna Campbell
Emma Yates
Eilidh Layden
Sarah-Louise Beck
Samon*ha Graham
Resigned as Chair bul
slaying on Committee
10
11
| Appointed 0311012024
12
13
14
Fransiska Weir
15
Koryn Morshall
Appointed 0311012024
16
17
APPENDIX 1

Reference and administration detalls
Names of all other charity trustees during the porlod, If any, (for example, those who reslgned part way
through the flnaneial perlodl
Name
Dates acted if not for whole year
Resigned 0311012024
i Resigned 0311012024
Resigned 0311012024
Resigned 0311012024
Kirsten Miller
Elaine Bamber
Mary Wong
Emma Bryson
Structure, governance and management
Type of governing document
The association is a charitable unincorporated organisalion and the
PUTpose and adminislralion arrangements are sel out in the constitution
which was adopted on the 2510912013.
Trustee recruitment and appointmont Management committee members are parents of Ghildren attending the
I nursery who volunteer to serve on the committee.
Obje¢tlv¢o and actlvitle8
Charltable purposes
Our purpose is the advancement of pre-school education for children In
Ihe Haugh of Urr and the surrounding area.
Summary of the maln activltles
in rglation to these objects
In order lo achieve 115 aimslobjeclives the group may..
a. Raise money
b. Acquire and run buildings suitable for the group's activities
. Employ stsff
d. Engage external agencies as appropriate from time lo lime
e. Lialse with other private, voluntary seclor and local authority
agencies with a view to furthering the groups objectives
f. Open bank accounts and manage ils accounts as deemed
appropriale
g. Take out insurance
h. Accept grants and donatlons with a view to fulfilling our
objectives
Do anything that is necessary and lawful lo enable the group to
meet ils objedives.
Adhere to all policies, procedures and risk assessments.
k, Adhere to guidance by Care InspecloratelHMle as appropriate
Provide continu81 CPD opportunities.
APPENDIX 1

Achiov8m6nt8 and p8rformancg
Summary of the main achlevements
of the chaTlty during the financial
perlod
Development of woodworking kills for whole team through
training. resourcing tools and equipment
Development of woodworking area
Development of woodland resources and activities followlng staff
training
Redevelopment of outside play area to create large sand play
area, bankin9 and slide
Fundraising activities
Quiz
Calendars
Financlal review
Brlef statement of the charlty's pollcy
on 1os¢rvos
The loss of £392.44 on the general fund for the year has been deducted
from the fltnds resulting in the Nursery having unrestricted funds of
£196,945 al the year end.
DetallB of any dellclt
NIA
Donated facllltles and Servlces {rf any) i NIA
APPENDIX 1
Dèclaratton
The trustees declare that thoy have approved the trustees, report above.
Signed on behalf of the charity's trustees
Signaturels)
Full namels)
Position1g.g. Chalr)
Irerts L/r
Date
6.10.15

osc
Haugh of Urr Nursery
Recel ts and pa
SC1048178
ments a¢counts
Forthe poilod
ffo
og
2025
Section A Statement of receipts and payments
UnrèBtrlct•d
fuDrtB
A05ts1cied
lunda
Expondablo
endowthent
fund&
PoimanènL
0rbdowm•￿t
lund
Totsl fund&
currènt pDrlod
Total fundg 141t
ptrriod
itywYdat£
Al Rècelpl6
Unif¢rm
489
218
Fee5
2,38S
175,115
2.305
17S,11&
3,5$5
C)&G council fimdi
Re￿Ip1S frorn fundTalslng adivilies
D&G SMMSS
D&G Support lor Le￿Ir￿j
Inlé￿
tsross rqcelptFfrom Olhgr¢h3id4tl•
881
1,118
1,118
120
120
16Z
10
io
27
Sub total
179,66)
fj79,e63
170.167
A2 Rec•lpl* from 8$$el&
InVo¥lm¢nl $Jt#g
Proceeds fiorn gae(rffixÈd as£èt5
Procéadl from ￿(8 ofinvo$tmenlÈ
A2 Sub fol•1
rotair8colpts
179,663
179,663
170,667
A3 Payments
Expen5e8 lot fjJndialtsfrto*UvltrèS
Waoès Pon&ttyTr
was￿ and Ekelikily
Paytn¢nls fe1ating direrjty lo thgritsb
149,009
11,992
149,1100
11,952
115,19$
4,206
ql.489
60
1&A89
60
16,128
1,307
823
In6Ufan¢8 and Membeighip
Audil l indep&nd8nl exarninolKm
Pr8p8rallon of 8nnual accouTrls
Accoun18nGyFee5
Other
845
ds
60
60
1,610
1.010
A3 Syb total
IBO,OSS
180.055
146,788
A4Paym•nts rel&tlng to as80t•n(F
Inv•tstrnènt M0￿mentS
Puicliase801 fixed a$8•18
Purchaaeof invojlmenls
A4 Sub totsl
Tole1￿￿m#ftts
180.055
180.066
148,788
ASTran81er8 tol lfroml fund#
Ststrplus/(deRtlt) foryear
302

PÈ14DIK2
Hau
h of Urr Nursp
Section B Statement of balances
SC1048178
u￿￿1￿cl•d
itsndg
R••lrlGltdfunrf¥
•naowmenl
fund
porfod
tèntthsle
B1 Co$hfu4ds
Cqsh aDdbankbala[￿5￿$￿rtQIy•If
1è7.337
107,337
SWMu$i1denci￿ qknénon reCe￿￿and
Cas* bank b4lan¢•* atèrtd Ot￿r
188,Q45
196.945
Actountlill
L411bwr
82 Invest￿nts
tIH4Y41P4b
L4dy•*
4 Ll*bJlliloA
Tot•1
fundlovthT¢hlbibMKyThk*l•s
L•&fytar
Bseontlftoent Iiatsfjlltl•8
Oath or
819Th•tuAk

Haugh of Urr Nu￿ry
SC1048178
Addltioiial aiialysis111
Analy91$ ofrecolpt¥¥nd pèym•nf6
Unr••lrf¢f•d
fuDrf¢
É¥p¢nd4bkl
T¢t4l¥aitporlod
8n￿k L)onatlons
I)VDO0￿￿oNh
ill kndrèwJchdfilyt)DJ￿￿¢n
rélèronc•
2 OraTrt•
RHlrlct¢dfvno5
Tpl4lPl&lpirfod
Ilrfès and GwowoyCMol
A&ANoildlGLW
smmss
Total
178.233
11•.233
referonc*
3 0fO88 letélpts fromolhgrrthorflabloactlvltt•s
R¥¢tffttodlundo
¢ndOWhiMI
lonea¢*At¢
120
2.380
182
3,155
21
WiapArOundFeÈ Inc41
Todthors
10
Add11￿￿31 SUPWf
448
JM30
3hJ
4.B42
4 PaymèDIB dltwwto ¢harltablo •¢tlvrfl•4
Expnditslv
ondowminf
pom￿n*￿t
ondowmtrrA
R•*lrfEt•dlund
To141Guir**
yot11￿￿1￿￿1Dd
*£
WaggSWP9rthknn conMbuikni
Rgrrtandutslityos
149,009
128,196
4,206
8,S91
?,474
T03
8,897
2N74
103
t30
sialionary3ndPo51ag
08
530
679
233
Phojw
È7
Ihio
2,402
64
$46
51
hèr
FufjdFYlslnD Fxpèn$Èi
Insurant4Jni•nibotih
2,231
846
023
180.065
141.79U

APPENDIX 3
oscr
Office of the Scollish Charity Rggulator
Independent examiner's report on the accounts
V2
Report to the Charity nam8
trusteeslmembers of , Haugh of Urr Nursery
Registered charity I SC048178
number I
On the accounts of the i
charity for the period
Period sla¥l dale
Month
Period end dale
Month
Y8ar
Year
16 | 08
15
08
2025
Set out on pages
jrememberlo Inrjude the pa
ufflbers of3dthlknnal 5h£eisl
Respective
responsibilities of
The charity's Iruslees are responsible for the preparation of the accounts in accordance
with the terms of the Charities and Trustee Investment (Scotlandl 2005 Act and the
trustees and examiner Charities Accounts (Scotlandl Regulations 2006. The charity Iruslees consider that the
audit requirement of Regulation 10111 Idl of the AGGounls Regulations does not apply. 11 |
is my responsibility lo examine the accciunls as required under section 44(11 Icl of the
! Act and lo slate whether particular mallers have come lo my allenlion.
Bas18 of Independent My examination is carried out in accordance with Regulation 11 of the Charities
examiner's statement .' Accounts Iscollandl Regulations 2006. An examination includes a review of the
accounting records kept by the charity and a comparison of the accounts presented with
those records. 11 also includes consider81ion of any unusual items or disclosures in the
i accounts and seeks explanations from the Iruslees concerning any such mallers. The
prO￿dureS undertaken do not provide all the evidence that would be requiied in an audit
and, consequently, I do not express an audit opinion on the accounts.
Independent examlner's In the course of my ex8min81ion, no matteT has come to my attention
statement
which gives me reason8ble cause to believe that in any material respect the
reouiremenl8'.
lo keep accounting records in accordance with section 44111 lal of the 2005 Act and
Regulation 4 of the 2006 Accounts Regulations, and
to prepare accounts which accord with the accounting records and comply with
Regulation 9 of the 2006 Accounts Regulations
have not been mel, or
lo which, in my opinion, attention should be drawn in order lo enable a proper
derstanding of the accounts lo be reached.
Date:
Signed:
Name:
Relevant professSonal
quallflcationlsl or body
Of f ice Manager
Ilf any): Kirkcudbright Development Trust
Address: The Johnston
st Mary Street
Kirkeudbright
DG6 4EG
09110/2025
nif
'Pl&ase delet& th8 words in the brackets If they do not apply. If the words do apply, 88t out Ihose mall&rs which h)vÈ ¢omo lo your attent￿￿ on the
following pa￿.