APPENDIX 1
OSCR
Period start date
Month
Year
2024
Period end date
Month
Year
2025
Da
Da
31
From
To
S(ottish Charity Regulator
Office of the Scottish Charity RegulatOT
Reference and administration details
Charity name
Other names charity is known
by
Registered charity number
Charity's principal address
THE PEEDIE RETREAT
SC051289
Names of the charity trustees on date of approval of Trustees. Annual Report
Trustee name
Office lif any)
Dates acted if
not for whole year
Name of person
(or body) entitled to
int trustee (if any)
10
11
12
13
14
15
16
17
18
19
20

APPENDIX 1
Reference and administration details
Names of all other charity trustees during the period. if any. (for example, those who resigned part way
through the financial period)
Name
Dates acted rf not for whole year
Structure, governance and management
Type of governing document
The cliarity is adiniiiistered in accordance with the tenns of the
Scottish Charitable Incoryorated
Or%anisation coiistittitioll.
Trustee recruitment and appointment
The board illay at ￿lY time appoint ￿]Y illelliber to be a cliatity
iistee ￿ld iiieiiibers illay appoillt otber I￿e￿be1'S to be a charity
Tr￿tee at eacli AGM.
At each AGM tlie cliarity Inistees iniist i'etire from office,
however tliey ￿-e tlieii eligible foi- i'e-electioii.
As pei. tlie coiistittition, the illiiiiillum llU￿ber of Ch￿]ty tsustees
is 3 ￿]d the maximuin is 9.
Objectives and activities
Charitable purposes
To piovide tbe people of Orkney who suffer froill Multiple
Sclerosis, Cancer OT Motor Neiuoiie Disease, their faniily. carei's,
and siipport Detworks, access to a bespoke designed fiilly
accessible, coinfortable accoiiiiiiodation, witli i￿l0vatIve iiiobility
aids to ellSW"e the accollllllodatloll IS Sllltable for all stages of the
conditlolls. To be free of charge, for short stay respite breaks. To
suppoit those in need by reason of age. ill-health, disability,
fmancial Iwdship. or other disadvantage as a direct resiilt of the
challenges of their medical collditioll.
Building Warrant approved.
Grant received from Orkney islands Council for grant towards pre-tender
professional contracts and tender documents issued to 7 builders. Two
tenders received by tender date.
Evaluation of tenders and progress made on cost reduction.
Fundraising activities ongoing.
Thanks to kind donation the chaty opened a New2You charity shop in
Sept 24.
Ongoing engagement with the community to highlight Ihe Charty's aims
and objectives.
Summary of the main activities
in relation to these objects

APPENDIX 1
Achievements and performance
Summary of the main achievements of
the charity during the financial period
DeSI￿S progressed and Biiilding Warrant received
Grant received from OIC for ibe pre-telldering process and
eVall￿tIOn
TelldeiB issued to 7 local Building contractors with 2 retutned
telldei's. Both teiidets jiidged to be too expensive for the size of the
biiilding and iiiethods llivestigated to ty to rediice tlie costs.
Howevei tliis proved not to be possible with the oi'igillal design so
decision nlade lo investigate a Kit fi'aille design with illitial
Colltacts ll￿de with provideis.
Progressing with Title deed trall8f￿" to Charity. which call only be
coiiipleted wheii new design is approved by OIC.
Engaged with Staftitory, Thiblic and 3 Sector Services for
iiiipleiiieiitation of service delivery.
Social niedia iised exteiisively with re￿lIar posts to i)pdate success
stoi.ies ￿ld extelld Collllllullity suppoit
Webpage lll use.
Eiigageiiieiit witb local media to higlilight successful fi]ndraisiiig
activities. And wider cominiwity siipport.
Fi￿draIsing and PR at local events, incliiding County Sliow,
Vllltage Rally, Craft fairs, KGS and Stroimiess Academy YPI
projects. pi"eselltatioll to various Clubs alld organisatiolls, have all
beeii extielliely successful.
Received tlie iise of a shop on Kirkwall's malli sliopping street to
as we see fit witli iiilliiinal rent to ownei., this exti'eiiiely kiiid
offei" lias eiiabled lis to iiui a New2You shop Sillce Sept 24, this has
beeii a very siiccessfiil fiuidllig streaiii.
Received illaiiy dollatlolls alld evellts held for cbarity donatioll
llicluding, Fiieiids of Neuro, Music aboard Boy Ryan vessel,
Qiiaryfield Garden event. Jive Dance Night, NFUMIS - Donation.
Peedie Ciibby. Orkney Builders. (Jioy of Hoiiton Garden event. St
Magiiiis Cathedral. Skaill Hoiise Xn)2s fall.. Sammy Wilson sponsored
walk. ViTglll Bai]k. kni011￿]i0lis doiiatiolls.
Niuii¢i"oiis b¢qu¢arlllii¢llts foi w]ll'ch wc tsuly th￿}kfUl at a very
dirriciilt tiiiie foi fainilies.
Financial review

Brief statement of the charity's policy
on reserves
No reserves policy is in place yet as The Peedie Retreat is now
Taisillg fullds to collunellce the building phase, we are nearer to
building pi"ogress we will ensure Reserve f￿]dS Policy is ill
place.
Details of any deficit
None
Donated facilities and services {if any)
APPENDIX 1
Other optional information

Declaration
The trustees declare that they have approved the trustees, report above.
Signed on behalf of the charity's trustees
Signature{s)
OSCR will accept
digital or typed
slgnatures
Full name(s)
Position (e.g. Chair)
Chair
Date
2211212025

RECISTFRF.D CHARITY NUMIIF.R: SC015289
Tru
ni
for the YeAr F

rPe
le Ret
Ill¢
Iso
niibcIAI SIAlemen
ndtd 31 M*rch 202q
Report of tht Trn*te¢s
Independent Examlntr'y Re￿rt
lalemtnl of Fln4n¢lil Aellvltles
Ball Trce Sheel
i¥ofe* to Ihe FlnAn¢l•l .¢ililenienls
Del*lled StAl¢nitn¢ of Fln*n¢lAI A¢¢li'llles

The trusiee8 preseni ih¢ir rtwrt with the linoncial slryl¢mMi% of the ¢harity ihe year ended I l March 2025. The
Intsi¢es have adopied ih¢ provisionts of Accounling and Reportinb by Ch4riiies', Siaiemeni of Recoinmended Prnctire
applicable io clinriiies pr¢pDriiiu Iheir uLci)unts in accordon¢¢ wilh lh¢ Finan¢ial R¢poninB Stllndord applicablo in the
UK and Repiibllc of Ireland I l."KS IU21 {elTeaive l Januory 2019).
STRUCTIIRE. C:I)VERNANCE Af41) MANAGF.MENT
Governlnx documrnl
The Chllrily i¥ wnirolled by lis 8uveminB d￿￿nentS as a Scoltlsh Ch8rliDble Incorpornied Organi8aiion (SCIO).
RETrF.RENCE AND ADMINl¢*TRATIVE DETAILS
RcKliltrfd Ch*diy Mamb¢r
si'ni
Indtptndtnl F.xAmln¢r
l*oubisiLY & Ilain
4 Broud Strcci
Kirkwoll
Orki
KW15 INX
Approved bY￿der ol'the LM)ard ofirustees on 17 December 2025 and 5)￿Kd on lis behalf by:
Page I

,%An)Iner'q R
I rewrt on the aLcounts for the yeur ended 31 MarLI) ?0?5 set oul on paB¢s ihr¢e lo eighl.
R￿perf0ve mWhnilhlllllM of trii¥t¢¢* ¢x*mlntr
TIIL Lhurily'4 Iru%lLL* lire rr%tMin%iblc f()r Ihc prL'piiruli(In of ik aK(uunlb in ￿corda￿t with the (erni$ of Ihc Charili
r4nd Tru.sl¢¢ Inv¢sim¢nl (kOlI￿KIl A¢t 2005 and Ihc Charilin Arcount$ (5wtlund) Rryulalions 2006 um¢nded), The
churil￿5 truslces con4ider ihnl the audil rcquircrncnl of Rcbvululion l 01 l )(a) l() Ic> of Ihc ALCI)iinls Re¥ulalion5 doc5 nol
pply. 11 is my rr%FK)n5ibilil)' lo cxllrnin¢ lh¢ arruunls u5 T¢qUiT¢d undcr Serlion 44( I Xil of th¢ AGI 10 5th1c whdhcr
particiilnr mnllcrs h￿ve cnmc to my atlenlinn.
B•slJ ofiht lttqltptndcnt eiinilntr's rtport
My exllininolioii wn4 ellrricd out iii accordance with Regulation I l of Iht Charitics Aceounls fscoilnnd) ReBiilntlon8
nofi, An cxomiiiAIIDii incliidc% n review of Ihe iiccoiiniinbi rc¥()rds k¢pl l)), the churil), und u cnmpnriqon af th¢ nLcoiin14
presented willi those record¥. 11 alyo includes ci)n5iderntlnii <)r any iinwal ilem5 or dI￿10$U￿5 In the account& and
seekinbi explannlionq fr()iii you fi8 Iniqteeq cnncerning 41ny siich mniiers. I'he procedure$ iindertnken dn nc)i provide all
Ihe evidencc Ih81 woul(1 br required in an audil, und Con*￿nIlY l th) nol cxprts*$ audit i)pinii)n on lh¢ view biiv¥n by
IIK 4Lcoiinis.
Inde￿ndent ¢x*mlntr's ilufrmcnl
In ￿nn¢¢lion wlih my exaniinalion, no mAller has come to my atlentlon ".
( l ) Mthich Bives me reasonable ¢aus¢ lo believe Ihoi. in any mnieri41 res￿￿, th¢ requirem¢n
lo kccp nccoiinlin¥ r￿ordS in hc¢ordanc¢ wilh Se¢iion 44{ I Xft) Df Ihe 200$ A￿ and Regulaiion 4 of ihe ?ni)6
Accounls R¢guli?lions: and
lo prepiire accoiinls which I¢￿rd with Ihe Ac¢ounlinb re¢ordJ and io wnply with Reb¥uIAilon 8 of the 2006
Ac￿UnIs RegulaliorLS
have nol b¢¢n mrf: or
{2) lo whicli. in my opinion. att¢niion should be drawi in order to enable n proper undwslandin8 of lh¢ accounts io be
achcd,
Foubisier & Bain
4 Ilr(>ad Sirtti
Klrkii'all
OrknLy
KWII INX
17 December 2023
P￿¢2

Th
Acllvl
Itj
21
2024
Unr¢￿Ti￿Cd
lill)d
Re￿rilled
Tv¢#l
runds
fimdy
Noies
INCOMF. AND F.ND0WME￿s FROM
Dona14uii% und l¢bd¢-iLS
50.131
6,900
57,OJl
76,380
oiher ¢rndin¥ aciivilies
Inveslment income
36,693
799
36,693
799
14.332
Tot*1
87,623
6,900
90.712
FXPF.NfJlTURE ON
Raisins. liiiiijs
8,472
8,472
3.042
CbArlluble icllvlll¢J
Ovethea(ts
1,814
1,814
323
Toial
10.286
10.286
3.365
NET INCOME
77J37
6,900
843J7
87.347
KF.CI)NCILIATION OF FUNDS
'rowl luiids brou¥lil IL)rwurd
110325
12,500
122,72S
35,378
TOTAL FUNDS CARRIED FORWARD
187.462
19,41
206.962
121.725
The nol¢g forni pnrt of these finaiicilll siaiemenis

2024
Toinl
lJnr¢striried
fiind
R¢Jirith
fund
Tol•l
Noies
FIXF.t> A%SF.TS
TDnbiiblL' ak%cts
13.102
2S.043
CLIRRF.NT A￿liF.T
Cosli llt baiik WKI In hand
171.019
6.238
181 J147
97.683
CREDITORS
Amoiinij rolling due wllhln one ye
NF.T CURRF.Kr ASSF.TS
17.4,0111
6,138
181,2q7
97,682
T()TAL Ali*i£TSi CURRENT
LIAIIILITIF..
187 S6Z
206,962
122.723
NF.T A&SETS
187.462
19.41KI
206.962
122.725
FUNDS
Unrc.slricfcd fiinds
Reslricled fiinds
110225
19.4QO
TOTAL FUNDS
206.962
122.725
The finHnciHI slotemenls were approved by ihe ljoard of Tru8tces and authorised for i&su¢ on 17 December 2025 and
were signed on il% bchlllf by:
The notes fomi part of Ih¢5¢ flnhncial sthiemeni$

*¥
n I l .¢ilAtem
h20
rlhe
¢4rc
ACCOUNTING POLICIL
of prep¥rlii% Iht Ilninclal itAl¢nien¢s
The financial 8ioi¢mentg lif thc chnrity. whicli is & public benefii ¢niiiy u1)d￿ fRS 102. h4v¢ been prcpor¥d in
accorduiiLe with Il)e Lharilics S(IRP {fRS 10?) 'AccouniinB und ReFK)nins, by Churilits.. Siuleineiil of
R¢¢oniincnded Prnciice Dpplicuble lo charilies prepariii¥ Ilieir ac¢ouJiis iii nccordonce wilh Ihe finuncial
Reponiiib Sthndard applicable in the UK ￿}d RepLibli¢ of Ireland (I-.RS 102) (effective l Junu4ry 2019),.
I￿InancIal R¢portiii&, Siandard 10? 'The finunciul Reportijig Siaiidnrd applicable iii ihe UK aIid Rcpubli¢ of
Irelund, and the Churilieq And TruslLY Inve￿ment (S¢otland) Act 2005. T1￿ finAncial ￿atementS have been
prep￿1 undL'r the hibluriiul wsl Luiiv¢nlioi).
Income
All inLOlI)e is reLcibini>ed in Ilie S(aleiiiLnl or rii)Jlliiul Aclivliics once 11)e chariry, has enililemenl lo the Iwid& li
is probable Ihat Ihe ilKome wlll b¢ received UIKI th¢ amuwii be inellsur¢d reliubly.
Expendllure
Liabilili¢s ire recogn1K￿ tss ¢xpendiiiire as sonn Iliere is a le¥al or LUI￿1rV¢¢i¥e obligallon coittn)Iiiing th¢
clwrity to thal expcndilur¢. il iy pnibubl¢ Ihul a irailsfer ol. ¢¢onoinic bcnefils wlll k. r¢qiiircd in ￿.111￿•ment dnd
Ihc. umuuni ol. Ihe oblibjaiion cun b¢ measured reliDbly. Expeiidiluri is aCLounled for on wi ￿¢(ru￿lS basis h&$
becn ¢1￿2￿1r1ed wider headings.lhai a¥￿e¥￿te all Losi relaied lo ihe ￿les￿Ory. Where ¢osts Cann￿ b¢ dire¢ily
ttribul¢d io pffiicular headin¥y Ih¢y hove been allocaied to aciiviiies on a basls cx•nslgtonl wlth the use or
T•n%lble Ilxed
Deprecialion 15 provided At the following annual rale5 in order (o wriie ¢4ch assel over ils esiimaid useful
Ilfe.
TAx*tlon
Th¢ ¢hHrity Is exempl froni tsx on lis chariiuble 4clivili¢s,
Aceounllng
UnresifiLied fui)(ts Can be used In ac¢ordoncc with Ihe chnriiable objeaives ai dlKr¢liun uf(h¢ Intstees.
Restrlct¢d fuilds con only be used for purtlLular restricted purp)ses wiihin Ihe obje￿1 of charity, RcJifiLtions
aris¢ wl)L'li spcill1￿ by th¢ doi)or vr wlicii luiid5 are rnised for panieulur reslricled purwses.
FUrt￿r explanution of Ihe naiure purpose ofeach Ilmd is includ¢d in ih¢ notes lo the fuwicial siaiemenis.
OTHER TRADING A￿lvITIF.s
2023
2024
rundrnisin¥ events
Shop income
9,787
26,906
14.J32
36.6113
14.332
Pa¥e 5
oniinued...

'eir ended JI Mmrch 21)2
MOVEMENT IN FUNDS- Contlnued
Comparnlive nel movmnenl in funds, included in ilie above or¢ &8 follows:
Incoming
Re5011rces
expended
Movemenl
in fiind%
Unr¢Jlrlcttd funds
GeiKral lund
90.712
(3.365)
87.347
TOTAL FUNI)S
90.712
13.3651
87.347
A curreni year 12 months and prior year 12 months combined posilion 1$ as follow8:
Net
mL)vemenl
In thnds
Al
Al 1.4.23
UDreilrl¢ied
li¢￿ra1 Iw)d
22.878
164.684
187.562
Rmlrklcd thndA
Building
12.5(Y)
6,900
19.400
TOTAL FUNDS
35.378
171..184
?06.96?
A curren¢ year 12 monihs and prior yeAr l ? nionil)s combined net movement In funds Included in ihe above are
as follow8..
Incorning
resources
Res(Mir¢es
exwided
MoYemen¢
in fiinL15
Unrt%lrl¢led Ibndi
(ienernl tund
178.335
(13,651)
164.684
R¢strleted fvnds
Buildin8
6.9(Kl
6.900
T()TAL FUNDS
185.235
113.651)
RELATED PARTY DISCL()fri(JRLS
There were no related party tran￿CtIonS for ihe yellr ended 31 March 2025,
Pable 8

i*lled 4•1
rur lh￿ i'exr ciided JI M4r¢h
2095
?0?4
INCOME AND F.ND()WMENTS
Don*llolls ond legielts
Doiiuliui
Grants
9).131
6.900
60.522
15.858
76.380
O¢h¢r Irwdln% icllvltle4
Fiindrai%iii¥ ¢v¢iily
Shop income
9.787
26.9U6
14.332
36,693
14,332
Invf5tnicul liicoine
Interest rettivable - trndin¥
799
To¢il In¢oniln% rThiurrrJ
94.523
90.712
EXPENDITURE
R#lslnR doii*tlonJ And leR•el
Fund rniying ¢o.%is
Charity shop costs
4,6(11
3,871
3.042
8.4n
3.042
Ch#rllible Acllvllltj
In4iirlliiLL
PO￿age and sthiionery
Sundries
443
489
100
143
80
1,814
3?3
Toial resources expended
10,286
3.36.5
Nel In¢om¢
84337
87.347
This page does not forn) pan of ihe siaiuiory finan¢itsl Marcmcnig
Page 9