APPENDIX 1
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Trustees’Period start Annualdate Report for thePeriodperiod”end datef=
O S C r From__—01Day Month)4 = Year2024 To Day31 Month03 = Year2025
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Office of the Scottish Charity Regulator
Charity name Mind Store Other names charity is known by Registered charity number $C052196 Charity’s principal address nna
Postcodeiy Gi Names of the charity trustees on date of approval of Trustees’ Annual Report Trustee name Officeore(if any) Datesnot foracted wholeif year appoint(orName body)Oftrustee person cited(if any) 4 Chair 1 7 2024 resigned 2 3 4 5 Treasurer 6 rf 8 9 10 11 12 13 14 15 16 17 18 19 20
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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 if not for whole year Structure, governance and management Type of governing document Unincorporated Constituted Group Trustee recruitment and appointment Policy in development Objectives and activities Charitable purposes Routes to Improved Wellbeing Mental Health Support to adults Linking Mental Health and Nutrition Providing accessible mental health support and nutritional advice to adults regardless of ability to pay Summary of the main activities One to one support in relation to these objects Counselling, CBT and EMDR sessions with qualified and trainee therapists Group activities Food and Mood Training Awareness raising Partnership working and Networking with other relevant organisations
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APPENDIX 1 Achievements and performance Summary of the main achievements of | Number of people who have been provided with support in report period the charity during the financial period Breakdown of type of support
Courses;
1.Growing for Wellbeing Provided 24 hours of Growing for Wellbeing course material over Spring to Summer 2024 consisting of 12 x 2 hour sessions to 20 participants Sessions included mindfulness activities gardening skills activities, walking and crafts in the garden The participants made social connections, created mutual support network, and were signposted to other services where required Participants reported improvement a¢ross several mental health indicators including self-esteem, sense of purpose, interest in other people and confidence in new skills Also evidenced was an awareness of the links between good nutrition and mental health 2. Food and Mood Provided 25 hours of Food and Mood provision over 5 x 5 hour sessions delivered to 40 participants. Groups engaged in the workshops included Penumbra, Westburn Resource Center, and Linn Moor School. Each workshop included a practical cookery session, alongside learning around healthy eating habits and mindful eating, culminating in a social meal 3. CBT Skills Training
r One to one counselling: Delivered by CBT Trainees April 24— March 25 45 Sessions Delivered by CBT Accredited Practitioners: April 24 -March 25 214 sessions
Events Attendance / presence at events Stall at the One Network Aberdeen Event Women’s Health & Wellbeing Fair
Additional
Created 2 films about our services Did one fundraising campaign “5 Ways to Wellbeing with Mind Store’
Financial review ‘ FOLD Can ar Pia CG ee ne .
Brief statement of the charity’s policy on reserves To keep three months running costs in reserve to cover salaries and rent
Details of any deficit No deficit Donated facilities and services (if any) | Cfine donate use of rooms St Fitticks donated outdoor space and resources APPENDIX 1 Other optional information
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The trustees declare that they have approved the trustees’ report above. Signed on behalf of the charity's trustees Signature(s) Full name(s)
Position (e.g. Treasurer Chair Chair) Date 221225 22.12.25
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Mind Store
SCIO S$C052196
Statement of Financial Activities) Incorporating income and expenditure account) for the year ended 31 March 2025
| Unrestricted Funds | Restricted Funds | Total | |
|---|---|---|---|
| 2025 | 2025 | 2025 | |
| £ | £ | ||
| Income from: | |||
| Total Income | 0 | 9,984 | 9,984 |
| Expenditure on: | |||
| Charitable activities | 0 | 9,499 | 9,499 |
| Total Expenditure | 0 | 9,499 | 9.499 |
| NetIncome | D230 | 935 |
Balance Sheet As at 31March 2025
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Current assets Cash at bank 22.744 Total 22 744 Creditors Deferred income 25/26 restricted funds 16 843)
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Tota! assets less Creditors(labilities) 5 901
Capital and
Reserves Unrestricted 5,901
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