REGISTERED COMPANY NUMBER= (Seotllnd)
REGISTERED CHARtTY NUMBEIL. SCI)$1298
Ryrt of theTrwstets aod
rinancial Slatemeats frjr the Year Eoded 31 M4r¢h 2025
CARAIDEAN UIBHIST SCIO
Mann j￿Id Gordon Ltd
26 Lewis St
s￿m01￿aY
Isle of Lewis
HSI 2JF

CARAIDEAN UIBHIST SCIO
Contettts of the Fln2Dehl Statements
for the Ye*r F￿ded 31 2025
Page
Report ofthe Trust¢
Independent Examlnerfs Report
Ststement of Fln•ntlAI Ae¢lv511¢5
B*lAnee Sheet
Notes to tht Flnaneknl Sthtemettts
6 ts 10
Detslled Stht¢m¢nt of FIn4nd￿ Adfvttks

CAIL4IDEAN u1BHI￿ SCIO
Report ofthe Tru5tee5
for the Year Eaded 31 March 2025
Tr who also diRcty)rs of ts charty FIr￿￿$ of the Con4yanies Act 2(K16. ryesent their rep)rt with
the financial swemcnts of the chariry f4x Ihe year enduj 31 March 2025. TIK trus*es have *picd the wovisions or
Accounting aTrJ Rep)rting by Charities: Sts*mcrt of RecommeTrlcd Praclicc appli￿le lo charities preFwing iheir
acwjnis in aceonlance with FinwKial Rep)ning StaNlard aN)IiLth in UK a￿1 Republic of IrelaThl (FRS 102)
leffectiv¢ l January 2019).
OBjE￿IVEs AND AcfiviTIES
Objeetlves and Aims
Caraidem Uithia was ¢#ablislxd in Marth 21x13 to provbde a i￿￿ling suviL% 9xially ix)latrd thlts living in
UisL Tr aim of the Fwject is to redu￿ aNI iyA*ion aJMJ iwild up confKk￿¢ and self C￿c¢M aft￿n
pu)ple facing difficuhies in ￿1r life. Iwlicularfy in rurnl areas of ts uists. sI￿e the service ￿gan p)sitive
e#ablished ￿friend1Dg malcl*s have tten m* and the Nmiyr of referrals m* to tr tKoj¢ct continLf lo rise. More
people hve been ￿p￿rted aThl p)sitiYe feedw h&s ff¢eived from refer￿T& service arers aThJ volun*er
frien(kr&
%rvicc imFroves quality of life (hr￿th:
- Acc¢&s to mainstream adiviti¢s.
. ImtKoY¢d Social well-tKing and Ethysical and psycknlogical healthL
Reduced social i501￿10n aThJ exclusion.
ACHIEVEMENTS AND PERFORMANCE
ChAritsbl¢ 4¢1ivrfies
During the year we peopk with v&ying rrted& Inc1￿ling ew. ￿￿nI¥l hcaldK Atsanc¢ misu& leamin8
dE￿i￿]ll¢S und ph)51￿1 disabilities all r¢quirKb8 sonx forni of 9)eiali￿10
STRUCTURL GOVERNANCE AND MANAGEMENT
Governing d￿￿ment
charity is a ScoQi5h Clwitsbk Incol￿r￿d Orwus*ion and is Li)ntrolkd bj its ￿verning (kni￿￿nt which 15 its
conslilutiorL
REFERENCE AND ADMINISTRATIVE DETAIiS
Registered Company number
(sC￿land}
Reg￿tered Charity number
SC051298
Reglsternd oflke
41 Airp)rt Road
Balivanich
Isk of Benetea
Wegern Isles
HS7 SLA
TThslees

CAHAIDEAN UIBHIST SCIO
REifERIINCE AND ADMINISTRATIVE DrrAYLS Independcnl EyamlH¢r
MAnn j￿dd Gotdoii Lid
Cjwrt￿Cd A￿OI￿lIAn1$
2f) Leivis st￿
Slonum'ay
Isle ef Lmvls
Hsi
Approved b). ottlcr of11￿ bwrdof on19Novemlw 2023 awl slwwd on ltsbclwlfby:

INdepeDdrnt Ex•mtnerfs Report lo the Trus*e5 or
Carn*1￿￿ Uibhist SCIO
l rt￿)rt on xcoutts f(r the yearcTrkd 31 Marth 2025 out Im FV4eS f(w kn ien.
Reweelive responsibilities of t￿$1¢¢5 and exwniner
Tr in￿et5 reSW￿lb1e for the rntion of in ￿dartt with the of the Ch8ritrS
aNI Tru*e Inv¢Yml {Scrtl8Tha) Act 2005 and the Charkties Accounts (s￿LIand) R¢8ulatK)ns 2(K)6 (as W￿n(￿d}. The
dwitys truyees consider that the a￿11 requiremeni of Regulation 10(IMa) to (e) of the Aeo)unts Regulations thes not
apply. li is my reswnsibility io the ¥s requirtsl under Se¢iion 44( IXC) ofthe Ad and kn SWC wheihcr
Fw¢i¢ular mattffs have come to my atterrtion.
B*sis of the indepeftdent eyaminrfs report
My examination was carried out in aCLX)th with Regth*iLm I l of the Charitie5 ALu)U￿ (Scot1￿) Regul&ti(XLS
2(K)6. An examin&ioD in¢lth a review of IIK accounting records kw by the dwity a c(rtnwison of the accowrts
presented with tlKSe record& li al￿ includes cortsithNion of any itsn￿ or discloswes in the accoun￿ and
sttking explanations from you ￿ trusltts conceminE any such maller& Thc wocedures undertak¢n O) Thx provi(k ail
th¢ ¢vid¢n¢r that wired in an audiL and (x)W￿nIjY l th) ¢xwess un a￿11( opinion on ihe view given by
the accounts.
Independent ￿#miner'S st*tsm¢Dt
In connection with my ex*ninallo￿ has Ll)me ￿ my
(l) which gives me re&y)nabk ca￿¢ k) t¢lieve th& in w nmkrial iesEttL the requiremerts
to keep records in with Wl Xa) of the 2(K15 Act Regul￿￿ 4 of ts 201J6
Accounts Re8ulalions' ¥JMI
to pr¢par¢ x(x)urts whtch xcord wilh the xcourt1￿ reLYtyrds gnd io Lxryly with Regth&ion 8 of the 2006
Accounts Regulalions
have not te￿ MCL or
{2) to Wh1¢￿ in my opinin attention drawn in order ￿ enatle a woF¢r unthrth)ding of the to be
reached.
M£nn Judd G(wdon ijd
26 Lcwis Stre
Isk of Lewis
HSI 2JF
19 NovemE¢r2025

CARAIDEAN UIBHIST SCIO
Statement of Financial Artivities
for the Yelr EDded 31 MArch 2025
31.3.25
UnT¢Strict¢d
furtd
31.3.24
Totsl
Nots
INCOME AND ENDOWMENTS FROM
Donations and kgacies
2.330
752
Chgritsble Artivitles
Provision of E¢friending scr4iCC
119.571
134.164
Investment income
114
Totsl
122,005
135.030
EXPENDITURE ON
Chari¢able activities
Provision oftefriending servKc
139.839
125,958
IYET INCOMEI(EXPKNDITURE)
{17.834)
9,072
RECONCILIATION OF FUNDS
Totsl funds broughi fonvard
41.178
31106
TOTAL FUNDS CARRIED FORWARD
23.344
41.178
The notrs fomi ￿t ofthese financial &atements

CA1141DF.AN UIBHIST SC.10
Bgliince Sheet
31 ￿l￿rth 2027
31.3.?5
nrestricied
nd
31.3a4
I"ota]
fund5.
No*s
CI'RRENT ASSETS
D¢l)ior
Cash ai bank
?4.$39
41.773
?4.539
42.373
CREDITORS
AniLTrUl)i￿ l-.IllinyTr due li iihin one i.ear
12
11.1951
{I.1951
r* F.T CIIRRTr:NT .4SSF.TS
?3.344
41.178
TOT.4L ASSETS LESS CURREINT
LIABILITIES
?3.344
41.178
I'ET ASSETS
?3.344
41.178
13
l.'nrL*riLILd funds
23.344
41.178
TOTAL Fl￿Ds
?3.344
41.178
ThL ch(Iri11ibl¥ compan%. is cnliikd io exempiion from audii unthr Seaion 477 of conl￿nI¢S ilcl 2006 for the )'¢ar
eiidcd 31 l.larch ?0?5.
The MLrynIk'￿ hale nor required the L￿rn[ram to obtain an audit Df 11% financial Aa*menis for ihe Year etwj
31 Ilarih !0?5 in acLI?rdani¢ i%iih kniion 476 of tl?c compl￿1¢5.4cI ?O(kn.
The tru£teL'S ackrKTri¥ILIILFL their ￿￿rA)n4]bilItILS for
Lll5urine T￿t thl Lhariiabli i(Impani kLiPS accouniine rccords lh￿ compli with Sections 386 aid 387 Ol- lh¢
Companies,lit ?IMlb and
prLPUs ing financial &aten*nts ￿.hICh gil'e a iTue fair i'ieii- of ihe state of affairs of charilable comw). as
al the end ol. eaih tinancial l.ew and ol" its SUtplu.s or deliiii for each linancia] i'car in accOrda￿L. i%iih ihe
equirem¢nis of Sei1ions i94 and 3115 and iihiih oth¢r41'ise Li)mpli i%ith thc requI￿n￿nIS ol the LnmTMnies Act
200fi reknting to tina￿la1 sthi¢tnents. t.ar as applicdNe to the charitable compan),.
The finanLial siaiLniLnL% iitre apwoi'ed b!. Ihe tloard of Tn￿l￿s and authori￿.d Iss￿. on 19 N'0¥'em￿r ?0?5 and
iiere signed on ILS LK'hall'b)':
Ik notcs fomi w of fina￿1￿1 sts*ments
ljagc 5

CARAIDEAN UIBHIST SCIO
Notes to the Financial StA¢emeDts
forthe Year Ended 31 March 2025
ACCOUNTING POLICIES
Basls of prepArlng the financial sta¢ements
The financial statements of the charitable company. which is a public benefil eniily under FRS 102. have b¢¢n
prepared in accordance with the Charilies SORP {FRS 102} 'Accounling and RekX)rting by Charilie5: Sthkmeni
of Recommended Pwtice applicable to charities preparing their accounts in accordance with the Firwicial
Reporting Standard ttpplicabk in t1￿ UK and Republic of Ireland (FRS 1021 (effeaive l January 2019),.
Financial Re￿rtIng Stand￿d 102 'The Financial Reikning Standard 8pplicabk in the UK and Republic of
Ireland, the Companies Act 2006. The financia] statements have been prepared under the hilorical cost
convention.
Income
All income 15 rew8nised in the Statemeni of Financial Aclivilics once the charity has eniiilcmenl to ihe ful￿, il
is probabi¢ that the income will bc received and the amount Can be measured ￿liablY.
Expenditure
Liabilities are recognised eX￿ndItUre as scon as there is a legal or conslructive oblig81ion committing the
charity io that expendiiure. Il is probable thal a transfer of economic ixnefits will be required in 5ertlement and
the amount of the obli8alion can E¢ me85ured reliably. Expenditur¢ is accounted for on an a¢¢ru81s b)sis and has
been ¢I￿lfied under headings that ag8rega* all ¢osi ￿l&l¢d io Ike C￿egory. Where costs c?nn￿ bc directly
attributed lo particular headings Ihey hav¢ ￿en all￿ated lo aclivi¢ies on a I￿$15 consistent with the use of
resour¢es.
TAxailoTr
The Charity is exempt from corpration on tts charitable a¢livili¢&
Fund aeeountlng
Unr¢stri¢ted futth ¢on be used in accordance wilh the chariiablc objectives at the di￿rettOn of the tswstees.
Restriaed funds can only be u%d for pprticular ￿5￿]cted pu￿￿8¢$ wiihin th¢ objects of the charity. Restrictions
arise when specif￿d by lh¢ donor or when funds 8re raised for particular rcstricted p￿r￿Se5.
Furtherexplanalion of the nawr¢ and purp)se of each fund is included in the nolcs lo the finan¢ial sth*ments,
Hlre pur¢h4se and leasln8 eommllments
Renials paid under opernling It￿S are charged ￿ the Sial¥m¢ni of Fitwicial A¢ilviiies on a strnighl lin¢ b&si$
over the ￿riod ofihe l¢as¢.
Penslon costs And other post-retirement beReftts
Th¢ charitable company 0￿rateS a defined contribution pension scheme. ContribulioNS payable ¢0 the charitable
company's pcnsion ￿h¢me are ¢har8ed to the Sw¢m¢nt ofFin8ncial Activities in the period to which they relale.
DONATIONS AND LEGACIES
31.3.25
31.3.24
Donations
2,330
752
Contin￿1...

CAIL4IDEAN UIBHIST SCIO
Not¢5 to the Financial Ststrments- Continued
fr•r the Ytxr Ended 31 M#r¢h 2025
INVESTMENT INCOME
31.3.25
31J.24
tkwisil account inl¢r¢si
INCOME TrIiOM CHARrrABLE AcfiviTIFS
31.3.25
31J.24
Artivity
ProvisM)n of befriending seTViLf
119.571
134,164
￿1Ve¢ included in aboK are as folkn
31.3.25
31J.24
NHS We5*m Isles
Volunieer Supp)rt Fund
CNFS
Alcoknl & Drug Partnership
Hebridean Housing Partnership
Uisl Council of Volunlary organi￿110r
Scottish Familtes
SNBM
N￿lonal Lollcry Community Fund
13.273
13.(rfKI
18.936
46,570
1,000
11250
15.199
4&182
4,940
635
750
40.ofKI
119.571
134.164
CHARITABLE AcfiviTIES cosrs
Supp)rt
osls (see
note 6)
Dire
Costs
Totsls
Provists)n of E¢frieThJing service
131.661
8.178
139.839
SUPPORT COSTS
Gov¢rnan(¢
Tolals
Ptovision of ￿frIe￿￿lng
650
3248
4.220
&178
NET INCOMEJ{EXPENDITURE)
Nel incon￿ex￿nditurc) is Aatcd aftcrc1wgi￿{¢r￿ItinB}.
31J.25
31J.24
Otheroprrating leases
&008
onlin￿&..

CARAIDEAI¥ UIBHisr scio
Notes to the Ststements- ¢ontlnued
for the Year Ended 31 Mareh 2025
TRUSTELS, REMUNERATION AND BENEFITS
The￿ were no ITU51tt5' remuneraion or other iKnefits fi)r the yts enthd 31 Ma￿￿ 2025 nor for the year ended
31 March 2024.
TnBtees' expenses
Ttustees LX)mmenc¢d to claim travel expenses from Apil 2014.
STAFF cO￿s
31.3.25
313.24
Wages and salaries
Social security
(￿er￿nsIOrt costs
93.689
812
1.876
86.940
70
1.933
96.377
88.943
The average monthty numE¢r ofemploytts the year w&s as follows:
31.3.25
31J.24
Serviee delivery
No employees reccivedcnx)luments in excess of£60.(rfKI.
COMPARATIV&S FOR THE STATEMENT OF FINANCIAL A￿1VITIEs
UnTestrtcted
rund
INCOME AND ENDOWMEwfs FROM
tk)nations and legacies
752
Charitable activities
Ptovision ofkfrieThling scryice
134.164
Investment incon
Totsl
135.030
EXPENDITURE ON
Charitsble attivities
Pmision of ￿frIend1ftg seNKe
125.958
NET INCOME
9.072
RECONCILIATION OF FUNDS
Tola] fuNts broughi forward
32.1(MS
TOTAL FUNDS CARIUED FORWARD
41.178
¢ontinued...

CARAtDEAN UIBHIST SCIO
Noles to Ihe financial StAtements- ¢ontinued
for the Year ￿ded 31 Marcb 2025
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.3.25
313.24
Other Ikbtors
12.
cRED￿ORS. AMOUNTS FALLING DUE wrrHIN ONE YEAR
31.3.25
313.24
Othere￿d]lOr$
1.195
1,195
13. MOVEME￿ IN FUNDS
Net
movement
in fill¥ts
At
31.3.25
Ai 1.424
Unres¢rieted fvnds
Gene￿ fi￿d
41.178
(17.834)
23J44
TOTAL FUNDS
41.178
(17.834)
23J44
Net mov¢nKnl in funds inclth in a￿Ve are &$ follows:
InLI)ming Re9￿C¢S
Movement
resowces eX￿[thd in funds
Unrestricted fvnds
C*neral fimd
I21￿3
(139J39)
(17.834)
TOTAL FUNDS
121005
(139.839)
(17.834)
Comparatives for movement in funds
Net
nK)vement
Ai
31.3.24
At 1.423
Unrestrieted funds
General fund
32.106
41.178
TOTAL FUNDS
31106
9.072
41.178
ontin￿l..

CA1141DEAN UIBHIST SCIO
Notes to the Financial Ststements- continued
for the Year Ended 31 March 2025
13.
MOVEMENT IN FUNDS- continy¢d
ComparJliv¢ net movement in funds included in the atrf)ve are follows:
Incoming
reSou￿e$
Re9)ur¢es
expended
Movement
in funds
Unrestricted fund$
Generdl fund
135,030
{125,9581
9.072
TOTAL FUNDS
135,030
{125.958)
9.072
A current year12 months and Nioryear12 months combined posilion is &8 follows:
Nei
movement
in funds
At
31.3.25
Ai 1.4.23
Unres¢rided fynds
Generdl fimd
32.106
(8,762)
23J44
TOTAL FUNDS
32.106
(8.762)
23,344
A curr¢nl year 12 months and prior year 12 months eombined net movement in funds i￿l￿ded in the alx)ve are
as follows:
Incoming
resources
Rex)urces
expended
Movement
in funds
Unrestricted funds
Generdl fund
257,035
1265.797)
(8,762 }
TOTAL FUNDS
257,035
(265.797)
{8.762)
RELATED PARTY DISCLOSURES
Thert w¢ff ￿lated party transactions for the yearended 31 March 2025.
Page 10

CARAIDEAN UIBHIST SCIO
Detsi]ed Statement of Finanti*l Activlties
for the YeAr Ended 31 March 2025
31.3.15
31J.24
INCOME AND ENDOWMENTS
Donatlons And kga¢its
Donations
2J30
752
Investment ift¢ome
tkp)sii account intere
Ch*rltsble aclivitfe5
Grants
119.571
134.164
Totsl Incomlng rejourea
122.005
135,030
EXPENDITURE
Charitable aetiviti
Wages
Social security
Pensions
93.689
812
1,876
6.008
4,308
874
5.443
13.428
1.378
8A940
1.933
T¢lephon¢
Posta8e, 5¢*i0￿ry and advertising
Sundries
Stsff travel
Volunlccr lrnvel 8ftd expenses
Sun hous¢ costs
Trninin8
Website costs
3.875
579
4.461
12208
2,512
2.850
368
1.5(KJ
3,845
131.661
122J36
Support costs
M•nagement
Insurance
650
565
Fln*nte
Bank eharyes
Human resourcej
Software lic¢nces
3,248
Iioi
Governanee costs
Accountancy fe¢$
Profess[on￿ fees
1.970
1250
296
4.220
896
Tots] r￿u￿¢S ex￿nd¢d
139.839
125.958
Nel l¢xp¢nditure)fincome
(17,834)
9,072
This pag¢ does not fi)nn part of1￿ stat￿(￿Y financial statements
P8gell