Charity No 1016883
THE FRIFNDS OF THE C.HELSEA & WESTMINSTER HOSPITAL
A registered charity
REPORT & UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025

THF FRIENDS OF THE CHELSEA & WF,STMJNSTER HOSPITAL
LECAL AND ADMINISTRATIVE INFORMATION
FOR THF YF.AR ENDED 31 DECEMBER 2025
STATUS
The Friends is a registered charity and is supported entirely by volunteers. It is governed by its constilution
dated 21, September 2021
The Trustees of the charity are Il)e Management Committee. Management Committee members are selected
or appointsd on an annual basis at th¢ Annual General Meetin& with the offi¢¢rs being elected from the
membership of the Management CoThmittee.
MANAGF.MF.NT COMMITTEF,
Ms È Pinkster
M8 % Munds
Mr T Elrowi
Ms V Morck
Mrs l Davi¢s
Lt Colonel C Dawnay
Mrs A Dig¥le
Mr A Goodwin
Ms B Kivineii
Ms A Marsdnu
Mr N Massey
Mrs 1 lilary O'Neil
Mrs R Spa¢kman
Chair
Vice Chair
Treasurer
{Resign¢d 22.10.25}
{Appoinled 21.05.25)
Page I

THE FRIENDS OF THE CHELSEA & WESTMINSTER HOSPITAL
LEGAL AND ADMINISTRATIVE INFORMATION (Lontinued)
FOR THE YEAR ENDED 31 DECEMBER 2025
MANACEMENT TEAM
Mr R (r Rooney
(Charily Services Manager)
PRINCIPAL OFFICE AND OPERATIONAL ADDRESS
The Fri¢nds of the Chelsea & Westminster Hospital
Chelsea and Westminster Hospital
369 Fulham Road
London
SWIO 9NH
BANKERS
HSBC plc
96 Glou¢¢sler Road,
South Kensingiton,
London,
SW7 4SX
INDEPENDENT EXAMINER
Miss M D Aliman FCA for and on behalf of
Jeffrey AItTnan & Company
Chartered Accountants
Wayman House
141, Wickham Road
Shirley
Croydon
Surrey
CRO 8TF.
Pagc 2

THE FRIFNDS OF THE CHELSEA & WESTMINSTER HOSPKTAL
MANACEMF.NT COMMITTF.E'S REPORT
FOR THE YEAR FNDED 31 DECEMBER 2025
The Management Committ¢e submits its rew>rt and the independently examined financial statements for the
year ended 31 December 2025.
STRUCTURF,, GOVERNANCE AND MANAGEMENT
The Friends is ai) unin¢oTpofdted association, govemed by and registered under the provisions of the Charities
Acts. It lias a Conslilution, registered with the Charity Commisgion, goveming among other things its
m¢mbership, its objects, the dppointinenl dnd r¢tirement of officers ai)d members of the Managcmenl
Committce {the Truslc¢s), its financial organisation and the condu¢l of ¢ommittee and general m¢¢liiigs.
The Friends has a Managyemen¢ Coinmittee. among whom are a Chair and two Viee-chairs. lis day-to-day
administrnlion is in th¢ hands of the Charity ServiLes Manag¢r (See page 2 for details).
Trusl¢es are appointed and elected durings the Annual General Meeting.
The Friends raises funds dir¢ctly tjirough fu]IdraisiiiL? appeals and charitable trading activities. it also h&8 8
wholly owned SLibsidiary. whose auounts are consolidated with those of the Friends, and through which it
¢arri¢s on commeicial trading activities.
OBJECTS, ORC.ANISATION AND ACTIVITIES FOR THE PUBLIC BENEFIT
The objcu of the charity is to prowide support to patients of the Chelsea and Westminster Hospital NHS
Foundation TTUSI aiid pali¢nls in ihe wider coillmuT)ity. This is largely achieved by giving financial grants EO
departments for exkynditure on equipment and by providing 5ervi¢es in aid of t])e patients. In setting this
objeetive the Management Committee havc given careful considerntion io the Charity ComTnission's general
guidance on public benefit.
CRAT4T MAKif4G POLICY
The ¢harily invites applicalions principally from the various medical departments of the hospital. The
applicdiils State thc amount required and the purpose for which funds are required. The applications are then
rcviewed by the Mai)agJement Cominilt¢e and eiilier approved, in lolal or part, or rejccted. In addition the
charity providcs a library and Hair Salon for stsff and patients. H trolley servi¢e with books and another witli
goods from the shop for patienls on the hospital wards. In 2022 it also introdu¢ed a lunch trolley service for
staff in partnership with I￿81 firm B Bagel.
Grani ei)mmilm¢nts carried forward at 31 De¢cinber 2024 were £1 00,449 Grant commilments Inade during
tlie year 2025 weTC £61,784 and £36,234 of grants were ¢an¢elled, making total grant commitrnents al the end
of2025 of£125,999. Of these total ¢ommi(ments, £48,880 was paid during 2025, leaving total coinmitm¢nts
at 31 December 2025 of £77,119.
As a Inatter of accountinbT poliey, grants payablc are chavged in the year when the offer is conveyed lo the
recipienL so that grants pa>able at 31 tk¢ember 2025 apFear in the balance sheet of the Friends As"Creditors"
RISK MANACEMENT
The Managemeni Coinmittee has ¢xamined the major stratcgic, business and operational risks which the
charity fdces and coiifirms that systeins hav¢ beeii establislied to enable regular reports to be produced which
will assist the Manageinent CommitteL. lo monitor and control these risks.
Page 3

THE FRl£I NDS OF THE CHELSFA & WESTMINSTER HOSPITAL
MANAGEI MFNT COMMITTEE'S RFPORT
FOR THE YEAR F,NDED 31 DFCEMBER 2025
FINANCIAL RLVIEW AND INVESI'MENT POLICY
Revenue has drvpp¢d Sibnifieantly Inainly as a result of a reduction in the le￿¢7tS income received in the year of
£6,614 in con)pai'isoii to that in 2024 of £289,184. This coupled with the legal fees and rates expenses being
incurred by rl)e tradiiig entity has resulted in a loss being generated by the group in the year to 31 December
2025.
W¢ iveiE able to make grants payable of £61,784.
As a iesult of lh¢ sibnhficani expcnses incuml by the tradin¥ entiry, the overall fund balan￿$ decreased to £444,205
(£527,532 iji 2024}. 'I'he ¢asl) Posilion at the year end reduced as a result of incr¢ased investment with the cash
balance al the year end being £141,78712024..£357,566)
ACHIF.VEMENTS AND PERFORMANCE
Details of all the liiiidraisingJ a¢tivities of the Friends are set out in the financial slalements, in particular note
2 on pagve I l. The Friends doth not believe it is practieal to set financial fundrnising obj¢ctives in relation lo
ils fundraising aclivilies.
RESERVES POLICY
It has been the poliLy t() Inainlain funds. whi¢h are t])e free r¢gerves of th¢ charity. al a conservalive level as
compared with the predicted levels of expenditure. The obj¢¢live is to provide suffi¢ient funds to cover
managyellienl, adiniiiistration aiid support cO￿s as well as to respund to emergency applications for funding,
whicli ai'ife fTOI)I liiiie to tiine.
Unrestricted r¢serves at 31 Dc¢ember ?0?5 were £444 ?05 (2024.. £527,532).
PLANS FOR THE FUTURE
Within thL scope and frainework of its charitable obj¢cts and its financial resources, the Friends plan to
conlinuL its activities without fundaimcntsl ¢hange.
At the same timc, taking into aecouiit anticipaied ¢hanges in the level and naiure of ihe service offered by
Chelsea aiid Westmin8tcr Hospital NHS Foundation Trust, the Friends may adapt some of its fundraising and
charilable activities in the futiire.
Approved by the Ch¥tr on behalf of th¢ MAn#gement Committee on 20 May 2026
Elaine Pinkster
Chair
Page 4

THE FRIENDS OF THE CHELSEA & WESTMINSTER HOSPITAL
MANAGEMF,NT COMMIThEF.'S RFSPONSIBILITIES IN THE PREPARATION OF
FINANCIAL ST ATF.MFNTS
FOR THE YFAR ENDED 31 DECEMBER 2025
The Manageineiil Committee is I'espon%ible for preparing the Managcment CoTnmiltee's Report and the
Financial Stateinents in accordance with appli¢&ble law and lJnited Kingdom A¢¢ounling Standards (United
Kingdom Generally Accepted Accounting Prdctice).
The law applicable to ¢harilies in E.ngland & wal￿ requires the Management Comynittee to t)repare financial
stalemcnls for each tin&n¢ial year wliich give a Irue ajid fair view of the State of affairs of the charity and of
the incoming reqources and application of resour¢¢s ofthe charity for that peri(d. In preparing th¢se financial
stsiements, thc Managemenr Committee is requirL.d io:
Select siiildble accoui)ting policies and then apply them consistently.,
Observe the methods and principles in the Cliarities SORP-
Make judgments and estimates that are reasonable and prudent.
s￿te whether applicable accounting standards have been followed, subject to any material departures
disclosed aiid Cxplained in ihe tinancial statemcnls;
Prepare the financial statements on the going concem basis unless it is inappropriate to presume that the
cliarity will continue in business.
The Management Committee is responsibl¢ for keeping proper accounting records which di8close with
reasonaL)le &ccuracy ai any time the financial pusilion of th¢ charity and enable it lo ensure that ihe Financia]
Slatemeiits coinply with the Charities Act 2011, the Statemeni of Recointnended Practice.. Accounting and
ReportinkF by Cl)arities pr¢paring tlieir accounts in accordance with Financial Reporting Standard appli¢able
in the lJnit¢d Kingdoiii (FRS 102) issued on 16 July 2014 and the provisions of the objects and rules of the
¢harity. 'l-liey are al80 responsible for safeguarding the assets of the charity and hence for taking ri'asonable
steps for tl)e prev¢nlion and detection of fraud and other irregularities.
Page 5

INDEPENDFNT F.XAMINER'S REPORT TO THE ￿AGEMENT COMMITTEE OF
THF FRIENDS OF THF CHELSEA & WESTMINSTER HOSPIT AL
I report to thc trusiees on my examination of the accounls of The Friends of ihe Chelsea & WesÉminqter
Hospiial for tlie year ¢nded 31 Deccinber 2025, whieh arc set out on pages 7 to 17.
Respective responsibilities of Érustee$ and examiner
Tlie charity's trLlStees are IE5ponsible for the pr¢paration of the ac¢()unts in accordan¢¢ with the requirements
of the Charilies ALI 2011 {'the Act')-
I rcpi)rt in resi)eci of Tny examination of the Trusl's accouiits Larried out under section 145 of the 2011 Act and
in caJrying7 ()ut ii)y examination I liave followed all Il)e applicable Directions given by the Charity Cominission
under section 14515Mb) oftlie 201 l A¢t.
Independent exxininer's statement
I liave completed Iny examin81ion. I confirm that. no material mallers liave come to my attention in
coiine¢tion with tlie examination giving m¢ cause to iylieve ihal in aiiy malerial respect:
{ l } accounting records were not kept in respe￿ of the Trust as required by section 130 of the Act. or
12) the accounts do not accord with those records. or
(31 tlie accoiinls do iiot ￿l￿pIY with the applicable requirements conLerningi the form and content of
accoiints sei (iut iii (h¥ C'huriliLs RepcJi'i.¥) ReAHIL71inN.¥ 2008 other than any requirement that
tlie accoiiiitr.. give 'lrue and fair view which is not a matter considered as part of an independent
examii)ation.
I liavc no concems and have come across no other mailers in connection with the examination to which
attenliuii shJiild be drawn in this report in order to enablc a proper understanding of the accounts lo be
reac11ed.
Nam¢.' M D Altman
Relcvanl professioiial qualification or body: FCA
JEFfREY ALTMAN & C.OMI)ANY
Chanered Accouniants
Wayinxn I Ii)Iise
141. Wickhain Road,
Sliirley
Croydoii
Surrcy
CKO 81'L
Date: 20 Mdy 2Q26
Thesij 11P}￿li￿11Lydrirtg1Ji¢.l￿I siaigftncnl.¥ li{￿¢. h¢¢p? s14bjgcled to ivd¢iiENdeni exdiniiiatinpL Si)e r*pori onpag¢ 6.
Page 6

THL FRIEIYDS OF THE CHFLSEA & WESTMINSTER HOSPITAL
CONSOLIDATED UNAUDITED ST ATF.MFNT OF FINANCIAL ACTIVITIES
FOR THI YEAR II NDED 31 DECEMBER 2025
Notes
Unrestricted Restricted Total
Fvmds
Funds
Funds
2025
2025
2025
Total
Funds
2024
INCOME AND ENDOWMCI f4TS FROM
CEf4ERATED FIINDS
Donatinn$ and Legacies:
Subs¢riplions, donations and grants
Other tr4ding activities:
Fundrnising appeals
Incoine from charitable tradiii¥ a¢tivilies
C'ommercial iradinLi activities
In¢oine from Investinciils
12,676
12,676
299,134
6,079
50.800
22,203
17,724
6.173
12,252
50,800
22,203
17,724
16,895
71,333
22,800
10,318
Tolal ineome and endowmtnts
109,482
6,173
115,655
420,480
EXPENDITURE
Expenditure on R#isiiig funds:
Fundrdising appeals
Charitable irddiiig> actiwities
Coininercial trading7 acliiwities
Expenditure on chariLqble a)ctivities:
Cost of grdni makinb,
485
19,717
45,581
485
19,717
45,581
1,670
28,317
2,220
100,829
6,173
107,002
165.243
Totsl resources expeiided
166,612
6.173
172,785
197,450
NET INCOMINCJl(OIITC()INf.) RESOURCES
BEFORE OTHEII RI,;COGNISF.D C.AINS AND
LOSSES
(57,1301
{57,130)
223,030
Other re¢Dgnised gains and lossoy:
Net (105sygain on invc%tincntg
10
(26,197)
(26.197)
6,104
NF.T MOVEMF.NT IN FUNDS
{83.327)
(83,327)
229.134
TRANSFER BLITWLFN *IINDS
Rewn¢kliA(ion of funijs:
Fund balances at I st January 2025
527,532
527,532
298,398
Fund bmlanees at 31st DecLmber 2025
14
'444,205
£444,205
£527,532
1.he Cliai'ity has 1)i) re¢ognised gains or losqes other than those shown in the Consolidated Slalement of
Finan¢ial AptivitiL% (above).
All activitie% llre contiiiuing.
Tlieb(' i[iiciiidiiE.JJiiiilllL'i171,1'laleTriertt,v hrtve l)een smbjgciedio inde￿nd¢￿t exumlnoiion ke rn'pori on yuge 6.
Page 7

TIIE FRIENDS OF THE CHELSEA & WII STMINSTER HOSPITAL
CONSOLIDATED UNAUDITED STATEMENT OF FINANCIAL AcfivJTIES
COMPARATIVES FOR THE YEAR ENDFD 31 DECEMBER 2024
Notes
UNr&%¢rictsd Restricted Total
Funds
Funds
Funds
2024
2024
2024
INCOMF. AND F.NIK)WMENTS FROM
GEIYERATfi,D FUNDS
Donations and Legwacies:
SubsLriptions, doiiations and uyrnnts
Other trading activitie$:
Fundraising appeals
InLome from charitable trading activili¢s
297,283
1.851
299,134
7.553
71.333
9,342
16.895
71,333
Commercial tTadingy activiti¢5
Income from Inv¢slinents
22,800
10,318
22,800
10,318
Totsl income 9nd endowments
409,287
11.193
420,480
EXPEIYDITURE
EXpelld1t￿re on Raising fund$:
Fuiidiaising appeals
Charitable trading) activities
Commercial irading activities
Expenditure on charitsblc activities:
Cost ofgrant makiiig
1,670
28,317
2,220
1,670
28,317
2,220
154,050
11,193
165,243
Total resources expended
186,257
11,193
197.450
NF.T INCOMINGI(OUTGOING) RESOURCES
BF.FORE OTHER RF.COC.NISED CAINS AND
LOSSES
223.030
223,030
Other recognised galns and losses:
Net (loss)Igain on investments
10
6,104
6,104
NET MOVEMENT IN FUP4DS
229,134
229,134
R¢concili#tion vf funds:
Fund balanLes at 1st January 2024
298,398
298,398
Fund balances at 31st De¢tmber 2024
14
£527,532
£527,532
7li¢y¥ iincii4dFied]ii?ttKctL71.vtui£me￿l.¥ h(7ve b¢¢n &ubjcLigdio iKdepend¢ni uaTriiytalion. See reporl oRiptsge 6.
Page 8

THE FRifi ND% OF'fHF CHELSEA & WESTMINSTER HOSPITAL
UNAIIDI'fv,D BALANCE SHEETS AS AT 31 DECEMBER 2025
Group
202S
Charity
2025
Notes
2024
2024
FIXED ASSETS
Taiigrihl¢ •.%st'.1S
InvestinLnts
10
410,096
276.293
410,098
276,295
410,096
276.293
410,098
276.295
CURRENT ASSETS
Stuck
Debi()1s
c.asli al I)￿1)k ai)d in hand
1,685
141.787
2,018
357.566
11,512
127,712
4.479
353,075
143,472
359.584
139,224
357,554
CREDITORS.. Ainounls fallinuF due
withiii one ycar
13
(109.363)
(108.345) {81,741) (106,317)
NF,T CURRF.NT
ASSETS1{LIABI LI'TIES)
34,109
251,239
57,483
251,237
£444,205
£527,532 £467,581 £557,532
NET ASSET.
FUNDS
RestrictLo F'iiiids
Unresri'iLted l-.unds
444,205
527.532
467,581
527,532
TOTAL FUNDS
14
£4M,205
£527,532
£467,581 £527,532
The fin<)Iici)I statements on pages 7 to 17 were approved by the Chair and Treasurer ott tkhalf of the
Maiidg?Lincnt Li)Inmillee aiid auth(Irized for issue 011 20 May 2026 and signed on its behalf by..
Chaii.
F. Pink%iLr
Treasurer
T Brown
711¢.1(' iiii¢iii(ljiL'ilJiiliTiILiuI.Fluiei*enffs have be¢Ji subjéciÉd 10 iKdopeJidenl Lwxuniitriaiion &e rL'port onpage 6.
Page 9

THE FRIENDS OF THE CHELSEA & WESTMINSTER HOSPITAL
ACCOUNTINC. POLICIF.S
FOR THF YFAR ENDED 31 DECEMBER 2025
ACCOUNTING CONVF.NTIO
The fiiiancial stateinenls have been prepared in a¢¢ordance with applicable UK accounting standards under
the liistoricdl eosi Convention, on a Lyoing conccrn basis as modified by the revaluation of fixed assei
invesiments to market value. The tinancial slateinents have been preparcd in all significant respects in
accordance with tlie Charities (Accounts and Reports) Regulations 2008 and the Staternent of
R¢coinmended Pra¢tice Accounting and Reporting by Charities pr¢paring their accounts in accordance
with ihe Financial Reporting Standard applicable in the UK (FRS 102) issued on 16 July 2014 and wilh the
Charities A¢1 2011. There were no departures from t])at standard.
GROUP FINANCIAL STATEMENTS
The Statement of Financial Aclivities {SOFA) and balan¢e sheet consolidate the financial 8tatemenls of the
Charity and its subsidiary undertaking, Friei)ds' Shop (C & W) Limited on a line by line basis.
PUBLIC BENEFIT
Tlie Cl)ai'ily ¢onstitutes a public beiiefit entity as defined by FRS 102.
TANGIBLE FIXED ASSETS
Fixed assets are stated at historical cosl.
Assets costing more than £400 ar¢ capitalised.
Depreciation is provided on all tangible fixed dssets at rales calculated to write each ￿Se1 dowi tt) its estimatrd
residual value ev¢i)ly over its expected useful life as (ollows:
otlice rquipment
20010 straight line
FIXF.D ASSET INVF.STMENT
Thc subsidiary c()mpany is included al its equity value based on the company's balance sheet net asset value.
Other IIK¢d asset investn)ents are stated Ht market value at the balance shed dale. Any gain or loss on
rL'valualioii is tskeii to the Stalem¢nl of Finan¢i81 Activities.
INCOMING Rf.SOURCES
Entitleiiient foi" subscriptions, donations and grants is deemed to be taken wh¢n the money is receiv¢d.
l.egacies J¢¢ounled for when r¢¢eipt is probable.
Fundraising appeals are recorded in the year in which the event takes place.
C'liaritable trading activity incDme is dLcmed to be taken wh¢n the Inoney is received.
Investinent in¢ome comprises dividend income and bank interest receivable. The incom¢ is accourned for on
an acci.￿15 basis.
RESOURCF.S EXPENDED
Expenditure is incliided on an a¢¢rnals basis.
Co%t8 of g)enerating funds comprise those costs directly &ttributable to raising funds.
Grant8 payable are charged in the year wh¢n ihe offer is Conveyed to the recipient.
Support costs coinprisc costs for running the library and other a¢tivities and the CO￿ of running the Charity.
tiovei'naiice costs comprise costs incurred in th¢ governance of the charity's assets and costs incurred in
respect ot'consiiiutional and statutory Inatters.
RESERvr.s
R¢serves comprises of unrestricted generdl funds and reserved funds.
ReseTVLi are maintained to providL sufticieni funds to cover management, administration and support ¢osts
as well as to respond to emcrgency applications for funding, which arise from time to time.
FI￿.1¢. uRioiidiledfiKiinLiol.YlaEeniei?1s kil￿ b¢en siihjecledio twlependelll exdmimli0￿ See reporl onptsge 6.
Page 10

THE FRIENDS OF THE CHFLSF.A & WESTMINSTER HOSPIT AL
NOTES TO THE UIYAUDITED FINANCIAL STATEMENTS
FOR THF, YF.AR FNDF.D 31 DECEMBER 2025
Uiiresiricted
Funds
2025
Restricted
Funds
2025
Total Unrestricted Restricted
Funds
Funds
2024
2024
SUBSCRiwfioNS, DONATIONS
AND GRANTS
2025
Donaiion% received
Gill Aid Rcceived
Subycriptioiis received
Lebsa¢i¢s aiid TTusiS received
3.301
1.291
1,470
3.301
1,291
1.470
3,373
750
4,026
289 134
297,283
1,851
12,676
12,676
1,851
Di)i)ated services re¢¢ived, bul not valued ainoiint to..
TiollLy v(Trliinteers- V<lriOUS between 20 aiid 4 hours per week
Libiary iound%- 6 liours ￿r w¢ek
Averag)e liours per week Book sales volunteeis- 3
AveragFLS hours per week-Bric a Brac- 3
The Friends office is granted free of charge to the Charity.
FUNDRAISING APPEALS-
Orbanisers
Costs
2025
Net
2024
Net
Procceds
Christmas F'air
SummLI" Fair
Spon4orth Walk..
Biittci'lly VnlunleT Manager
Bribilit Side Concert
Eastei. Ilallle
Carol Service
Chri%lmas Pri7e Draw
Coronatioi) Cake Sale
B¢sl for Yoii
2,141
1..537
182
237
1,959
1,300
6.173
2.147
1,522
9.342
(872)
2,401
2,335
3,086
£12,252
£485
£11,767
£15,225
2025
Net
2024
Nel
Proceeds
Costs
CHAIIITABLf. TRADING
AC'fiviTIES
Tradei3' licenLe fees
Cloilie% 8<21es
Bric-a-hi'dcILibraiy
Lunch Tr()Iley
Christinas card sales
10,165
10,165
12,859
16,916
20,388
413
16.874
16,503
3,514
91)1
16.822
10,083
£50.800
£19,717
£31,083
£43,016
rhvsitr Tifr7uiidiicidliiJLII?iiol tsthieNien¢.¥ havE beeh $74bj¢'cted i(> i11dei￿5n￿g+14 #¥an?inalinn. ,S¢v report onpage 6.
Pagell

THE FIUENDS OF THE CHELSEA & WESTMINSTER HOSPITAL
NOTES TO TIIE UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025
COMMERCIAL TRADING ACTIVITIES AND IIYVESTMENT IN SUBSIDIARY
The wholly4)wned subsidiary, Friends, Shop (C & W) Limited. wliich is in¢o]pordled in the United
Kingdoin, pa￿ all iL8 profit to the charity by gift aid. Friends. Shop (C & W) Limited has th¢ right to
lease P£irl ol-the floor area within the hospital.'fhe right has iken granted free of charge. The charity
owns the enliTe issued share Cdpltal of2 ordinary shares of £1 each.
2025
2024
SUMMARY PROFIT AND I,OSS ACCOUNT
Rental income
Otlier incoTne
Admini.%trative expenses
22,203
22, 800
(45,581)
(2.220)
Net {loss)Iprofit
Amoiinis byified lo the charity
(23.378)
20,580
(20,580)
Retaiiied in the subsidiary
(23,378)
The assets and liabilities of the subsidiary w¢re'.
Current assets
Creditors.. Amounts fallingy due within one year
15,742
(39.118)
6.491
16,489)
Total net (liabilities)lassets
£(23.376)
£2
Awegate share capitsl and reserves
£(23,376)
£2
At the balan¢¢ sh¢et date the subsidiary owed the Charity £1 1,494 (2024.. £4,461). The aTnount
receivable is unsecured, interest free and has no fixed date of repayment.
2025
2024
INVESTMEiYT INCOME
Income from Fixed Asset Investinents
Interest on cash deposits
10,971
6,753
9.607
£17,724
£10,318
These ungTudiledfiki(IN¢£ulslol¥rnepiiS h(Ive be¢M subjecled io ind¢pendeni exuniinalioFL S'ee reporl OPEp&g* 6.
Pag¢ 12

THE FRIENDS OF THE CHELSEA & WESTMINSTER HOSPITAL
NOTES TO TFIE UNAUDITED FINANCIAL STATEMENTS
FOR TIIE Yfi AR ENDF.D 31 DECEMBER 2025
GRANTS PAYABLE
Unrestri¢ied Restri¢l¢d
Funds
Funds
2025
2025
Totai Unrestricted
Funds
2024
R¢stricted
Funds
2024
2025
John Huntci. Clinic
-I'hercipies l)epartment
Qiynaecology Outpaiients
Frailiy Saine Day Einergency Care
Day Surgery (CW)
Childrcii's Musie Therapy
Matei'iiity Bereavemeiit Service
Cheyne Cliild Development ServiLe
C,lini¢al l.¢arninLi and Development
Laboiir Wai'd
Iniera¥l Sii'oke Support
Pdlliytive Care-Bull¢rfly Rooms
Stroke Unit
2.225
3,6()5
195
5,000
40.000
1,005
250
3.665
195
5,000
40,000
I,oos
250
668
290
461
3.948
449
4,578
{5,912)
4,578
(5,912)
20,320
4,190
ObstLlI'ic Aiilenatal Departrnent
(West MILI)
Cominiii)ity Midwif¢Ty
1,654
529
529
Main Outpalients
Main Outpaiient% (Mid West).
VoluiilLeriiikF Department
Buttei'fly Voliinteer Coordinator
ObstL'triL & Gynaecology
1,562
5,000
1,562
5,000
246
42,117
4,712
(35,408}
{1,087)
6,173 (29,235)
{1,087)
19,377
6,173
25,550
82,280
11.193
%uppait cost (Note 7)
81,452
81,452
71,770
100,829
6,173 107,002
154,050
11,193
7kLJS¢ IllILlltc/ii{JilliJi￿I1jL11II slLilemeni,¥ hiiv¢ beL)li.g￿hI￿e1&ll lo Ijideij￿lldertI examijiaiinn .See r¢port onpuge 6.
Page 13

THE FRIEND£* OF THE CHELSEA & WESTMINSTER HOSPITAL
NOTES I'O THL UNAUDITED FINANCIAL STATEMENTS
FOR TTrIE YEAR LNDED 31 DECEMBFR 2025
GRANT% PAYABLE {continued)
2025
2024
Keconciliation ot g)rants payable..
Coniinitineiils at l January 2025
Coiminitments made iii the ye¢
Graiils cincelled
100,449
54,163
61,784
(36,234)
93,483
(10)
Grai)ts payable lor the y¢ar
Grunis paid diiringy tlie year
25,550
(48.880)
93.473
(47.187)
Comniitinellts at 31 December 2025
payable wiiliin one year (Noie 13)
£77,119
£100.449
2025
2024
SUPPORT COSTS
Promotion and marketing
Salaries aiid national in%urance (Note 8)
POslkigY¢ and stationeiy cxpenses
Rei)airs aiid reiiewals
Siil)%criptions
'rravelling
1,033
71,724
1.107
63,434
1.355
1,716
1,699
58
uii(Ii'y
LegTal und Professional FLes
Independeiit Lxainination fee
Accouiilaii¢y Ice.%
1,250
544
420
1,750
2,510
1,850
2.770
£81,452
£71.770
The.¥(, tsrtiitidffiL'(IfiJiiiJpLiuI.Fliil¥mLililS li£iv¢, 511bj¥crLid 10 indEyendgrti exunsiiyati(?n. S¢e repori onpttge 6.
Page 14

THE FRIF,ND4i OF THE CIIFI.SF.A & WESTMINSTER HOSPITAL
NOTES TO THE IINAIIDI'fED FINANCIAL STATEMENTS
FOR THE YI:AR F.NDED 31 DECEMBER 2025
2025
2024
EMPLOYEES
ilIFC%.?iid Salaries
Social .%ccurily Costs
I'eiision Loiitributions
68.977
1,160
1,587
61,724
1.710
£71,724
£63,434
Tlie avL'riigye monthly nuniber of cmployees dUrI￿g the year was:
AJiiiin'%ti'atiun
No ¢inployee ew'ned gJreal¢r tlian £50,000 (2024.. None)
Dliring thc year ENil (2024: £Nil) was relrnbu￿ed for expenses to Inembers of the Manageinenl Committee.
Group &
Charity
TAN('IBLE FIXED ASSF.TS
Office
Equipm¢nt
CIIqT CIII V AI.IJA TION
14alali￿e as at l January 2025
7.229
Balance ai 31 1)ecember 2025
7.229
r)F.PRFC.IATION
1{?13n¢e <i% at l January 2025
Cli¢llL7e l&)r year
7.229
BdlLincc at 31 December 2025
7.229
NF.T BI)I)IC V ALIJE
As clt 31 Decembcr 2025
A.s at 31 DeceTnb¢r 2024
7lic.ye UliClllilili,dliii(iiiciul.il¢ii¢m¥frtl& haw hEEfT subj¢cied tn ¥P7dEPertdent exiTmipidiiort. .Yee reporl ortK>dge 6.
Page15

THE FRIF.ND,¢i OF THE CHII LSF.A & WESTMINSTER HOSPITAL
NUTES TO'I'HF UNAUDITED FINANCIAL STATEMENTS
FOR THF. YF.AR ENDED 31 DECEMBER 2025
Group
2025
Charity
2025
10
'IXLD ASSET INVESTMENTS
2024
2024
At cosl
Inve511ncni in subsidiary company
Iiiveslrnevts
Market value l January 2025
Addilionq
DisPO.5al
(LossllGaiii on revaluation
276,293
160,000
270,189
276,295
160.000
270.191
{26,197)
6,104
{26,197)
6,104
Market valiie at 31 December 2025
£410,096
£276.293 £410,096
£276,293
Toial fix¢d ass¢1 iiivestinents
£410,096
£276,293 £410,098
£276,295
Historic L()81 as at 31 December 2025
£300,039
£140.039 £300,039
£140,039
Tlie wl)olly owiied subsiiliary Company, friends, Shop (C & W} Limited, leages out a shop and *
h(Ii"dress11)&T saloi) within'fhe Clielsea and Westininster Hospital. All taxable profits are donated as
gill aid to tlie Chdrity.
ThL Iiive8tinentS Ll1 the year ended 31 Decembei. 2025 were in th¢ COIF ChaTili¢g Investment Fund
Iiicoine Units.
Group
2025
Charity
2025
DEBTORS
2024
2024
Trade d¢biors
Ainoiint diie froiii siibsidiary undertakiT)g
Oiher debtors
PrepJyi)i¥i)tS (ind accrued iiicome
1,667
2,000
11,494
18
4,461
Is
18
£1,685
£2,018
£11.512
£4.479
I-ITe.sU IIMlli{(IjiL?d liiiiiiicial si(lieme￿l.S have b¥gR yubJÉL'l¥(I 10 inde1￿￿nd￿nI vxamihuiion. .S¢e reiiorl Ortpage fj.
Pag¢ 16

THE FRIENDS OF THE CHELSEA & WESTMINSTF,R HOSPITAL
NOTES TO THF, UNAUDITED FINANCIAL .STATEMENTS
FOR THF YFAR F.NDED 31 DECEMBER 2025
Group
2025
Charity
2025
12
CASH AT BANK AND IN HAND
2024
2024
LU￿ent account
MoT)¢y market a¢rounl
Petty Lash
51,787
90,000
47.534
310,000
32
37,712
90.000
43,043
310,000
32
£141,787 £357,566 £127,712
£353,075
Group
Charity
13
CREDITORS: Amounts falling due
within one year
2025
2024
2025
2024
Grants payable
Oihei. CTeditors
A¢¢ruals
77,119
100,449
77,119
100,449
32,244
7,896
4.622
5,868
£109.363 £108,345
£81,741
£106,317
14
STATEMENT OF
FUNDS
l January
2025
Incoming
Resources
Outgoing Investment Transfer in
Resources
(L055es
funds
Gains
31 De¢ember
2025
UnrestrictLd funds
Resiri¢ted funds
527,532
109.482
6,173
166,612
6,173
(26,197)
444.205
Total funds
£527,532
£115,655
£172,785
£(26,197)
£444.205
Unrestricied fiinds compri5C those funds which the Management Comrnittee ib free to use in
accordanL¢ Witli the charilable objects.
Re%tricte(I lunds - comprises of tunds relatingy solely to the Bullerny rooms and volunteer manager
and Palliative Care and Besi for You Project.
15
TAXATION
As a cliarity, The Friends of the Chelsea & Westminsler Hospital is exempt from taxation on income
and gains falling within Scclion 505 of the Taxes Act 1983 (hr S¢¢iion 256 of the Taxalion of
CIILirLT¢able Gains 1992 to the extenl that these ar¢ applied to its charitsble objects. No tax charges
havL ¢wisLn in ihe chai'ity.
The trading subsidiary has retained profits of £Nil and therefore no provision is required for laxation.
TlicsE unuTidilL)IllinurtLutlsiiii¥iN6tr171.f lilive h¢tr￿J1 JubjL&c'igÉl lu iRtdewJiid¥rtl eX<7niiJiaÉIon..(￿e rvporl ortimge O.
Page 17