LANCASHIRE AND SOUTH CUMBRIA NHS FOUNDATION TRUST CHARITY 

CHARITY REGISTRATION NO. 1099568 

ANNUAL REPORT FOR THE YEAR ENDED 31 MARCH 2024 

1 

1 Festival of Wellbeing-Brockholes Nature Reserve held with support from LSCFT Charitable Funds 



Lancashire and South Cumbria NHS Founda�on Trust Charity Annual Report 2023/24 

## Contents 

|1.|Administra�ve Details ..................................................................................................................... 3|
|---|---|
||Name ................................................................................................................................................... 3|
||Charity Registra�on Number .............................................................................................................. 3|
||Address................................................................................................................................................ 3|
||Trustee Arrangements ......................................................................................................................... 3|
||Bankers ................................................................................................................................................ 4|
||Independent examiner ........................................................................................................................ 4|
||Financial statements ........................................................................................................................... 4|
|2.|The Charity’s Objects ...................................................................................................................... 5|
|3.|Structure, Governance and Management of the Charitable Funds ................................................ 5|
||Trustee Induc�on and Training............................................................................................................ 5|
|4.|Review of the Finances, Ac�vi�es, Achievements and Performance of the Charitable Funds ....... 6|
||Statement of Financial Ac�vi�es (Income and Expenditure) .............................................................. 6|
||Income ............................................................................................................................................ 6|
||Expenditure ..................................................................................................................................... 7|
||3. Outdoor wellbeing area at the Chai Centre funded by the Greener Communi�es Grant. ............. 8|
||Consolida�on of NHS charitable funds ............................................................................................... 8|
|5.|Statement of Financial Posi�on ...................................................................................................... 8|
||Reserves Policy .................................................................................................................................... 8|
||Investments Policy .............................................................................................................................. 8|
|6.|Future Plans .................................................................................................................................... 9|





Lancashire and South Cumbria NHS Founda�on Trust Charity Annual Report 2023/24 

## **1. Administrative Details** 

## Name 

The name of the charity is “Lancashire and South Cumbria NHS Foundation Trust Charity”, referred to here as “the Charity”. 

## Charity Registra�on Number 

The Charity is registered with the Charity Commission for England and Wales under registration number 1099568. 

## Address 

The Charity’s address is: Lancashire and South Cumbria NHS Foundation Trust Sceptre Point Sceptre Way Bamber Bridge Preston PR5 6AW Tel: 01772 695 300 E-mail: LSCFTCharity@lscft.nhs.uk 

## Trustee Arrangements 

Lancashire and South Cumbria NHS Foundation Trust (“the Trust”) is the Corporate Trustee of the Charity as stated in the Trust Deed dated 19 August 2003 as amended by supplemental deed dated the 30th day of September 2008. 

The executive and non-executive directors, who together form the Trust Board as at 31 March 2024, were as follows: 


**----- Start of picture text -----**<br>
Executive Directors  Non-Executive Directors<br>Christopher Oliver  David Fillingham CBE<br>Chief Executive Officer Trust Chair<br>Ursula Martin  Steve Wilson<br>Chief Strategy and Improvement Officer  Deputy Trust Chair<br>and Deputy Chief Executive Officer<br>Robert Cragg  Paul Farrimond<br>Chief People Officer Senior Independent Director<br>Abigail Harrison  Anika Ephraim<br>Chief Digital and Infrastructure Officer  Non-Executive Director<br>Emma McGuigan  Phillip Huggon<br>Chief Operating Officer Non-Executive Director<br>Dominic McKenna  Ruth Lowry<br>Chief Finance Officer Non-Executive Director<br>Oliver Soriano  Lucinda McArthur<br>Chief Nurse Officer Non-Executive Director<br>Gareth Thomas  Stephen Watkins<br>Chief Medical Officer Associate Non-Executive Director<br>**----- End of picture text -----**<br>




## Bankers 

The Charity’s bankers are: 

## NatWest 

The Royal Bank of Scotland Government Banking CST 2 Floor, 280 Bishopsgate London EC2M 4RB 

## Independent examiner 

The Charity’s independent examiner is: 

MHA (formerly MHA Moore & Smalley LLP) Richard House 9 Winckley Square Preston Lancashire PR1 3HP 

The independent examiner has charged the charity a fee of £1,620 for 2023/24 (£1,560 2022/23). 

## Financial statements 

The financial statements have been prepared in accordance with the accounting policies set out in the notes to the accounts and comply with the Charity’s governing document, the Charities Act 2011, and ‘Accounting and Reporting by Charities: Statement of Recommended Practice’, which is applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective October 2019). 

2 

. 



Lancashire and South Cumbria NHS Founda�on Trust Charity Annual Report 2023/24 

## **2. The Charity’s Objects** 

The Charity is governed by a Declaration of Trust dated 19 August 2003, which sets out the Charity’s objects as follows: 

“The Trustees shall hold the trust fund upon trust to apply the income, and at their discretion, so far as may be permissible, the capital, for any charitable purpose or purposes relating to the National Health Service.” 

These broad objects have been interpreted by the Trust more specifically as being to expend the Charity’s funds on patients and staff as follows: 

- Patients: Purchase of small items of equipment, provision of services, and the provision of facilities not normally provided by or in addition to the normal NHS provision that are exclusively for the benefit of patients. 

- Staff: a) Motivation of staff, by improving staff facilities and by providing services that improve staff health & wellbeing. 

   - b) Education of staff beyond what would normally be provided by the NHS. 

The Charity’s governing documents are currently under review and will be developed to more accurately reflect the Charity’s current aims, objectives and activities. In due course, the revised documents will be registered with and available from the Charity Commission. 

## **3. Structure, Governance and Management of the Charitable Funds** 

The Trust Board is responsible for ensuring that the Trust fulfils its duties as Corporate Trustee. The Board has delegated responsibility for managing the charitable funds to its Charitable Funds Committee, which periodically reviews the Charity’s financial performance and fund balances, monitoring the use of the Charity’s funds. The Trust’s Chief Finance Officer acts as the Charity’s Treasurer and is responsible for day-to-day management, administration and control of the charitable funds; he is a member of, and reports to, the Charitable Funds Committee. He is responsible for ensuring that funds are spent in accordance with the objects set out in the Declaration of Trust, that full accounting records are maintained, and that devolved decision making or delegated arrangements are in accordance with the policies and procedures set out by the Trust Board. The Trust’s Company Secretary acts as the Charity’s Secretary. 

The Charity holds a number of funds whose use is restricted to particular localities and operational services. These funds are disbursed by local fund holders up to limits agreed under the Trust’s standing financial instructions, standing orders and powers of delegated authority. The Charitable Funds Committee has the power to revoke a fund holder’s authority if appropriate. 

The Charity has reviewed the status of all funds to ensure the correct classification of their status as restricted or unrestricted funds whilst also looking at implementing designated funds for identified charitable aims. The Annual Report and Financial Statements reflect the outcome of the review having reclassified five funds as unrestricted with a total value at year end of £80,647. 

The management charge levied on the Charity this year by the Trust was £21,666 (£18,468 for 2022/23). No remuneration is paid by the Charity to any individual officers of the Trust. 

## Trustee Induc�on and Training 

As part of their induction programme new Executive and Non-Executive Directors of Lancashire and South Cumbria NHS Foundation Trust are made aware of their responsibilities as Board members of the Corporate Trustee of Lancashire and South 



Cumbria NHS Foundation Trust Charity. As the Trust is currently refreshing its strategy around its charitable funds, this element of the induction will also be expanded to include an introduction to the objectives, scope and policies for the charitable funds as well as Charity Commission information on trustees’ responsibilities. 

## **4. Review of the Finances, Activities, Achievements and Performance of the Charitable Funds** 

The Charity relies mainly upon the generosity of patients and their relatives and other donors who are familiar with or have experienced the Trust’s care. In addition to these generous individuals, the Charity is funded by ad hoc, but occasionally substantial, grants from other organisations. 

## **Income** 

The Charity again received income from a variety of sources including grants, donations, and fundraising activities of £187,106. The majority of this were two grants received for £106,578 and a generous, anonymous donation of gold coins, the remaining balance of these being 20 coins were valued in total at the year end at £30,451. 

NHS Charities Together provided £54,000 from its ‘Greener Communities Grant’, to be spent equally on the outdoor space at the Chai Centre in Burnley and the Grow Your Own Project at Guild Lodge. It also provided the second instalment of its ‘Stage 3 Recovery Grant’ amounting to £52,578.  The grants are restricted to the purposes set out in the approved grant applications. 

Thirty gold where coins were donated to The Harbour anonymously in May 2023. Ten have been sold during the year, raising £15,572. 

There were 124 receipts during the year. Seven receipts during the year were considered material, that is greater than £1,000, and they are highlighted in the table below: 

|material, that is greater than £1,000, and they are highlighted in the table below:greater than £1,000, and they are highlighted in the table below:|material, that is greater than £1,000, and they are highlighted in the table below:greater than £1,000, and they are highlighted in the table below:|material, that is greater than £1,000, and they are highlighted in the table below:greater than £1,000, and they are highlighted in the table below:|material, that is greater than £1,000, and they are highlighted in the table below:greater than £1,000, and they are highlighted in the table below:|material, that is greater than £1,000, and they are highlighted in the table below:greater than £1,000, and they are highlighted in the table below:|material, that is greater than £1,000, and they are highlighted in the table below:greater than £1,000, and they are highlighted in the table below::|
|---|---|---|---|---|---|
|**Fund**||**Fund Designation**|**Description**||**£**|
|**Greener Communities**||Restricted|Grant Income||54,000|
|**Fund - Grant**||||||
|**Wellbeing Grant & Staff**||Restricted|Grant<br>Income<br>–<br>2nd||52,578|
|**Recovery from Covid**|**Recovery from Covid**||Instalment|||
|**Grant**||||||
|**Grow Your Own Fund –**<br>**Guild Lodge**||Restricted|Three donations||8,337|
|**The Harbour**||Unrestricted|Gold Coin Sale||15,572|





## **Expenditure** 

The Charity incurred total expenditure of £198,502. Expenditure on charitable objectives amounted to £177,336 (89% of the total), whilst £21,166 was spent on support and governance costs. (11% of the total). 

Most of the Charity’s expenditure is incurred on small items for staff and patient wellbeing and amenities, and staff training and development. 28 expenditure requests exceeded £1,000, amounting to £134,326 in total, and the remaining expenditure was expended on smaller value items. The 28 individual items have been aggregated by fund in the table below. 

|**LSCFT Ring**<br>**Fenced**<br>Restricted<br>Team<br>away<br>day<br>–<br>Mountcroft<br>Resource<br>Centre<br>1,732|**LSCFT Ring**<br>**Fenced**<br>Restricted<br>Team<br>away<br>day<br>–<br>Mountcroft<br>Resource<br>Centre<br>1,732|**LSCFT Ring**<br>**Fenced**<br>Restricted<br>Team<br>away<br>day<br>–<br>Mountcroft<br>Resource<br>Centre<br>1,732|**LSCFT Ring**<br>**Fenced**<br>Restricted<br>Team<br>away<br>day<br>–<br>Mountcroft<br>Resource<br>Centre<br>1,732|1<br>1<br>2<br>1<br>5<br>14<br>3|
|---|---|---|---|---|
|**Education**<br>**Fund**<br>Restricted<br>Staff training – trauma &<br>suicidality<br>2,450|||||
|**Chai Centre**<br>**Wellbeing**<br>**Fund – Grant**<br>Restricted<br>Community Activity<br>2,688|||||
|**Community**<br>**Wellbeing**<br>**Grant**<br>Restricted<br>Associated staffing costs<br>for the grant project <br>48,744|||||
|**Staff**<br>**Recovery**<br>**from COVID**<br>**Grant**<br>Restricted<br>Caring<br>for<br>yourself<br>programme – wellbeing<br>sessions<br>32,570|||||
|**Greener**<br>**Communities**<br>**Fund– Grant**<br>Restricted<br>Purchases of goods for<br>patient benefit<br>28,218|||||
|**LSCFT**<br>**General Fund**|Unrestricted|Staff awards|13,891||






**----- Start of picture text -----**<br>
3<br>**----- End of picture text -----**<br>


. 

Where their charitable funds are deemed to be material, NHS foundation trusts are required to consolidate their associated charitable funds within their own financial statements and produce group accounts. The Charity’s funds are deemed not to be material to the Trust and the decision has therefore been taken not to produce group accounts. This position is supported by the Trust’s external auditor. 

## **5. Statement of Financial Position** 

At the balance sheet date, the Charity held no fixed assets. 

The Charity owed its creditors a total of £11,265, relating to seventeen invoices for goods and services provided by suppliers prior to 31 March 2024. 

## Reserves Policy 

At 31 March 2024 the Charity had total reserves of £207,650 consisting of £85,927 of unrestricted funds and £121,723 of restricted funds. 

The Charity expects to spend its resources in a timely manner, at the same level as income is received taking one year with another. This expectation is monitored and, if income significantly varies from expenditure, action is taken accordingly. 

## Investments Policy 

The Charity’s cash balances are held with those for the Trust and managed in the same way. 



## **6. Future Plans** 

In the previous year, the Charity was awarded a grant from NHS Charities Together (Greener Communities Fund TP054) and, in 2023/24 received £54,000 of this grant. A further, and final, sum of £6,000 should be received during 2024/25. The final instalment of NHS Charities Together Stage 3 Grant (TP051 & TP052), amounting to £39,000 is also expected during 2024/25. 

Other than grants such as these, the Charity is essentially reliant on donations and legacies from patients, their relatives, and other donors who are sympathetic and generous in their support. Fund holders within the Trust’s staff are encouraged to use the resources they hold in a timely manner and in accordance with the wishes of the donors. 

A small number of fundraising activities were held during the year to raise funds for patient welfare. In the second half of 2024/25, the Charity intends to recruit two fundraisers to actively promote the charity and encourage a higher level of fundraising in future. 

Signed by: 

………………………………………. 

D McKenna, Chief Finance Officer 

For and on behalf of Lancashire and South Cumbria NHS Foundation Trust Charity (Corporate Trustee) 

Date: …………28/01/2025……………………………. 



eshir& endsoulh Cumbri8 NHS T￿51
un16 2022124
IVHS
Lancashire &
South Cumbria
NHS Foundatlon Trust
LANCASHIRE AND SOUTH CUMBRIA NHS FOUNDATION
TRUST CHARITY
CHARITY REGISTRATION NO.1099568
ANNUAL ACCOUNTS FOR THE YEAR
ENDED 31 MARCH 2024
2SIOIIIU15- 14..5fj

L8nc
hire 8nd Souih Cu
HSFO
Trusl Cha '
AFvw81 AccounlÉ 202324
Independent Examlner's Report to the TTUStees of Lancashlre and South Cumbrla NHS
Foundalion Trust Charity
I report to the charlly Iruslees on my exemination of the accounts of the charity for the year ended 31
March 2024 whi¢h are sel oul on pages 2 to 10.
Responsibilitles and basls of report
As the charitls Iruslees you a¥$ responsible for the preparatlon of the accounts in accudance wllh the
requirements of the Charitigs A¢1 2011 I'the Act,).
I report in respect of my examination of the charity's accounts carried out under section 145 01 the Act
and in carrying out my examination I have fdlowed all the applicable Directions oiven by Ihg e.harily
Commission under se¢lion 14515llbl of the Act.
Indepèndent examiner's statemant
I have completed my examination. I confim that no m8l¢rfal mallers have come lo my allenlion in
connection with th8 8x8minalion giving me cause lo believe that in any material respect..
1. accounllng records were not k6pl In respect of the charity as requlred by secllon 130 of the Act,. or
2. the accounts do not accord with those records.. or
3. the accounts do not comply with the applicable requirements concerning the form and conlenl of
accounts sel out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement
that the accounts give 8 'true 8nd fair view, which 18 not a nialier GonsId¥￿￿ (18 part of an Independent
examin81ion.
I have no concerns and have com$ across no other mallers in Gonnecllon with the examination lo
which attention should be drawn in this report in order lo enable a pioper understanding of the accounts
to be reached.
N( fy¢o£
Nicola Mason FCA, DChA
MHA Moore and Smalley
Rlchard House
Winckley Square
Pr8ston
PRI 3HP
Dale
2WII20IS- 15*Tr1

Lbrtash￿8 anLtSotsih Cumivr8 NHSFouttdatlon Tfttsl Chartl AMuslAc¢ounrs 202&
LanGashire and South Cumbria NHS Foundation Trust Charity
Statement of Financial Activities for the year 8nded 31 March 2024
Unrestricted Reslricled
Funds
Funds
2024
2024
Total
Funds
2024
Total
Funds
2023
Note
Income from:
Donallons and legacles
Charitable aclivilies
Grant Income
Other trading activities..
Fundraising events
Investments
698
1,091
62,963
2,074
106,578
63,661
3,165
106,578
43,715
16,155
61,978
3a
326
806
2,345
10,226
2,671
11,032
1,266
3.182
Total
2.921
184,185
187,106
126,296
Expendlture on:
Charitable 8clivilies
17.635
180,867
198,502
102.660
Total
17,635
180.887
198,502
102.660
Net incomellexpendlturel before other recognised
gainslllosses)
{14,7151
3,318
111,3961
23,636
Gainsl{lossesl on sale of assets
346
346
Net incomellexpenditurel
114,7151
3,664
(11,050)
23,636
Transfers between funds
10
80.647
180.6471
Net movement In funds
65,932
176.9831 111,0501
23,636
Reconclllallon of funds..
Total funds brought fOn￿ard 31 March 2023
Total funds carrled forward 31 March 2024
19,995
85,92Y
198.706
121,723
218.701
20Y,651
195,065
218,701

Lanca&lMfv èndsoulh Cunknis N
S Found81
Trust Chai
nnualAcetsuni& 202&?4
LanGashire and South Cumbria NHS Foundation Trust Charity
Balance Sheet as at 31 March 2024
Unrestricted Restricted,
Funds
Funds
2024
Total
Funds
2024
Total
Funds
2023
Note
Current assets:
Donated Stock
Debtors
Cash at bank and in liaiid
Total Current assets
30,451
196
150
bfi,670 131,447
87,317 131,597
30,451
346
188,117
218,914
220,537
220,537
Liabilities:
Creditors falling due within one year
Net Current assets
-1,.390
85,927 121,722
-11,265
207,649
-1,836.00
2113,701
Total assets less current liabilities
85,927 121,722
207,649
218,701
Nel assets
85,927 121,722
207,649
218,701
The funds of the charity:
Restricted income funds
13
121,723
121,723
198,706
Unrestrfct6d income funds
13
85,927
85,927
19,995
Total charity funds
85,927 121,723
207,650
218,701
The notes on pages 4 to 10 form part of these accounts.
Signed..
Dominic McKenna. Chief Finance Officer
For and on behalf of Lancashire and South Cumbria NHS Foundation Trust (Corporate Trusleel
Dale.. 2810112025

Lancathirè and Soulh NHS Foul￿all0￿ Trusl Charrf Annusl Accounts 2021124
1. AGcountliiy Pollbie
lal Accounting conventlon
The accounts (financial stalemenls) have been prepared in accordance with Accounting and
Reportlng by Charities.. Statement of Recommended Practice applicable lo charities preparing their
accoLJnls in accordance with the Financial Reporting Standard applicable in the UK and Republic
of Ireland IFRS 1021 issued on in October 2019, the Financial Reporting Standard applicable in the
United Kingdom and Republic of Ireland (FRS1021, the Charilies Act 2011 and UK Generally
AC￿pIed Practice. The financial statements have been prepared under the historical cost
convention.
The accounts (financial statements) have been prepared lo give a 'lrue and fair, view and have
departed from the Charities (Accounts and Reports) Regulations 2008 only to the extent required
lo provide a 'lrue and fair view,. This departure has involved following the Accounting and
Reporting by Charities.. Slalement of Recommended Practice applicable to charities preparing Ih8ir
accounts in accordance with the Financial Reporting Standard for Smaller Enlilies published on 16
July 2014 rather than the Accounting and Reporting by Charities.. Statement of Recommended
Practice effective from 1 April 2005 which has since been withdrawn.
The charity constitutes a public benefit entity as defined by FRS 102.
{b) Going concern
We believe that the charity's financial statements should be prepared on a going concern basis on
the grounds that current and future sources of funding or support will be more than adequate for
the charity's needs. We have considered a period of twelve months from the date of approval of
th8 financial slat8m8ntg. Wa b81iv8 that no furthar disclosurgs rglatin9 to thg charity's ability to
continue 8s a going concern need to be made in the financial statements.
Ic) Funds structure
Thp. triiqtp.g. iq re.qpongible for admini%tp.ring thg e.harit8ble. fiinds.
Where there is 8 legal restriction on the purpose lo which a fund may be allocated the fund is
classified either as=
an endowmenl fund (where the donor has expressly provided that only the income of the fund
may be expended) or
as 8 reslricted income fund (where the donor has provided for the donation to be spent in
furtherance of a specified charitable purposel or
as an unrestricted fund (where the donor has not spe(ifi8d a charitable purpose) where the
donation will be expended at the trustees discretion in accordance with the objects of the
charitable trust.
The charity currently has no endowment incorne funds.
The charity currently holds two small designated funds (see note 13). Designated funds are set
aside by the trustees out of unrestricted general funds for specific purposes or projects.
2AIQ112Q2S. 15..03

Lanc
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{( Artnuèl
202
(dl InG0171e
All income is recognised once the charity has entitlement to the resources and il is certain that the
resources will be received and the monetary value of incoming resources can be measured with
sufficient reliability.
{e) Income from legacies
Legacies are accounted for as incoming resources either upon receipt or where the receipt of the
legacy is virtually certain., this will be once Confirmation has been received from the represenlalSves
of the eslate{s) that payment of the legacy will be made or property transferred and once 811
conditions atlaLligiJ lo the legacy have been fulfilled and il is virtually certain that the amount of
incoming resources is known.
(Q Expenditure
All expenditure is accounted for on an accruals basis and haq hg.e.n classified under headings that
aggregat@ all costs related to the category. All expenditure is recognised once there is a legal or
constructive obllgation committing the charity lo the expenditure.
{g) Irrecoverable VAT
Irrecoverable VAT is Gharged 8galn81 Ilie category of resources expended tor whlch it was
incLJrred.
(h) Allocation of support and govemance costs
Support costs have been differentiated between governance costs and other support costs.
Governance costs comprise all costs allribulable to ensuring the public accountability of the charity
and its compliance with regulation and good practice. These costs include costs related to
independenl examination together with an apportionment of overhead and support costs.
Managemenl costs have been allocated to the charitable fund In a manner agreed by the trustees.
Thg Allnration of support and governanc8 Costs is analy8ed within the notes lo the accounts.
(i) Charltable activities
Costs of charitable activities comprise all costs incurred in the pursuit of the charitable objects of
the charity. These costs, where not wholly attributable, are apportloned between the categories of
charitable expen<Jilure In addition lo the direct costs.
ZWSiTr02S. JS..ts3

Lan¢8sh116 and Sotslh Cumbria MHS Foundalii)n Trusl Chari
S 2023￿4
ti) Flxed assets
The charilabl8 funds held no fixed assets as al 31 March 2024.
{k) Debtors
Trade and other debtors are recognised at the selllemenl amount due after any trade discount
offered. Prepayments are valued at the amount prepaid net of any trade discounts due.
111 Creditors
Creditors are recognised where the charity has a present obligation resulting from a past event
at will probably result In Ihe transfer of funds lo a third party and the amount due to sellle the
obligation can be measured or eslimaled reliably. Creditors are normally recognised al their
settlement amount after allowing for any trade discounts due.
(m) Financial instruments
Financial instruments ar6 classified and accounted for, according lo the substance of the
contractual arrangement, as financial assets, financial liabilities or equity inslrumenls. An equity
instrument is any contract that evidences a residual interest of the charity after deducting all of ils
(n) ReseNes policy
The Charity generally expects to spend ils resources in a lifflely manner. al the same level as
income is received taking one year wilh another. This expectation is monitored and where income
is seen to be signilicantly exceeding expenditure aclion will be taken to expend in 8ccordance with
the Charity's objectives.
Compliance with the Charills ReseNes policy is evidenced by an excess of expenditure over
income this reporting period.
lo) FIx0d assot invgstmgnts
The charitable fullds held no fixed asset investments as at 31 March 2024.
(pl Pensions
The charity has no employees and as such has no liability for pension contributions.

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tund$
2Q12P2J
TWI
62A$5
Lqgack
T•t#l
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22.￿)
696
Tlthl
Z&826
21b55
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3,746
Lknr8sVkled
202J134
Tot41
2Q2W2J
Toial
74
2￿74
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2023ll4
Totsl
2022123
T￿1
Total
IM.578
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Supwt
202>124
2022r2J
5.39
1,67Q
endÈrtlExaThl￿￿FeP
21.118
¢ov￿￿￿￿
20ZIttJ
2021r22
Co•ts
5243
11,ee5
p£ndonlEx4h#￿r￿F
18.908
Tol
8.(
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202312
Tow
Tdal
C¢#t
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20.7#S
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25Aa8
•J84
4,868
22.710
t28.099
s81
29.SF7
SS.82D
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3￿3?
177036
3￿5
198,102
rotal
4.Q96
102.é80
SUP￿0￿&
2021122
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8,1
2A10
24.286
4S.7Tè
233
1.101
21B7F
ahketh￿￿63
3A59
14,191
737
Tol11
76ffj24
bi2o33l24lheeyndl￿￿Oft(h1m￿l5BQtr4l¥OSwa$£1s8.W2￿￿*￿h￿17￿3S{2￿22l2&￿￿6o)W￿￿wthWQ1rQrnUn￿$￿
I￿1￿£110.867¢zO22r￿3..fIW.2N)w￿SaXp￿dI￿Te1￿

2&?
6. Independent Examine*'s remuner4tlon
The independent examiners have charged the charity with a fee of £1,620 for 2023124 {2022123
£1,560). This is related solely lo the annu81 independent review with no other additional work being
undertaken. 2022123 included the previous years creditor of £60 allocated to funds in 2022123.
7. Debtors under 1 year
2023124
2022123
Other debtors
Total
346
346
No debtors reported for 2022123.
8. Cash
2023124
2022123
Cash at bank
Total
188,117
188.117
220,537
220.537
During 2023124, £56.670 of the £188,117 total above related lo unrestricted funds and £131,447 related to
restricted funds.
9. Creditors under 1 year
2023124
2022123
Accruals
Total
11,265
111,2651
{1,8361
During 2023124, the lolal above related to restricted funds of £9,875 and unrestricted funds £1,390.
10. Transfers between funds
Within the year there were six nel transfers between funds from restriced funds lo unrestricted funds, lolal
£80,647, {2022123 net transfers from unr6Stricted funds tts restricted funds totalling nil)
11. Analysis of charitable funds
The registration embraces only one NHS body charity. The objects of the registration is lo support any ch2ril2ble
purpose relating lo the NHS. The charity has ils own specific objects under this umbrella, see below,.
LanCashI￿ and &>u(h Cumbria NHS Foundation Trust Gharity
"For any charitable purpose or purposes relating to the N81ional Health Service"
12. Related party transactions
The Corporate Trustee did not pay expenses lo any member of the Lancashire and South Cumbria NHS
Foundation Trust Board nor to any member of the Trustee Committee and members did not receive any
honoraria or remLJneralion from charitable funds in the year.
]¥lQlnQ15- 15..ll

CASHIRE AND SOUTH euMB
IA PIHE FOUNDATION fRUST
Re¢las5ified during flnincial ydar 2023124
13. Analysis of Restrfcled Funds
Optrnlng bBlance
l Aprll 2023
¢￿sIng Balance
31 March 2024
Incom&
Expenditure
fr6nsfers
D8SCriPtlon
Ch81 CeTrlrè WellbeSno Fund IGr*)11
The Harbour- Adult Wsrds
Slièkusy¥yrWJrd- The HerDour- LegaGy
SItV8nson Ward- The Harbour- Legaoy
The H￿b￿r-GO1d Donaled Coins-Designaied
Chorley lry)atiÈnl Unil
Spss¢h & Language Therapy- Leoacy
Longddge Hospil3l- LEga¢y
L¢￿9￿(￿8 H05pllal- W8rd Fund
Dova Un
The Apple Tree Café- The Orchgrd
Grow Your Own FurKJ- Guild Lodge
LSCFT. Palpnl Fund- Designa
LS¢FT OAMH ServiCeS- Palienis
COPD TL+am Fund
LSCFT. Ring Fenced Fund
Health & well￿￿9 Charkable Fund
Pathways S8rvkes (Barn￿r Brldy_l LAoar.y
Educallon Fund- Granl
GYO Wèsham
COPD sialf Fund-Lega¢y
Rec Comm WeNbeing Grant
stalf Rèc Iiom COVID tsra
Gre6r*r Communilles Fund. Granl
8.258
328
155
345
15,1481
3.438
11501
5,177
5,251
4,8(M)
4,125
11,3841
16,0881
12781
12,2381
13,8051
46,271
129
335
1,964
2,627
229
140,1631
1.478
7,230
36,661
18,430
4,636
1,330
5.327
34.840
1878}
3.090
3,411
818
2,577
2.021
9.499
215
25,888
2,905
10.040
3,487
108
49
4.481
17,0591
12,6471
17071
12,0691
18.7841
6.392
11.6581
1.976
5,196
305
24,021
1.381
73
12,6491
12,8601
89
20,339
25,101
18,556
3,094
34.383
19.866
54,782
13,6781
15S.3691
131.2061
140.9391
119,7551
4,114
7.216
13,843
Total Resfvl¢l¢d Funds
196,TOO
181531
118U,iItJ71
180,64n
121,723
Analysls ol Unr8$trlclad Fund8
LSCFT General Fund
The Hathour- OAWartt6
The H8rbour- Adult Wards
The H*rbour-Gold Donated Coing- Deslm81ed
Longridge Hospiial- Ward kund
LSCFT- Palienl Fund- Desi9naled
Ashlon Disliicl NiJrse$ Fund. DesigTra￿d
copo siam Fund-Leg8¢V
Wosham Woodwork Worksbw Fund
18,869
$46
2,121
488
116,K211
17541
4,369
280
150
40.183
18.901
1.658
482
19,756
150
150
40,183
18,901
1.658
580
11561
19.755
254
11041
Total Unr8strlctéd Fund$
19,995
2,921
117,6351
80,647
85,927
Total Fund8
218,701
187,452
1198,5031
207.650
Th8 broe$l re$iricled fund held rdales lo 2 lÉg¥.y. Al 31 March 2024 rhe trust hew 048 fund of svJnlfj¢ant size lo dlscltssè its na1￿￿. Thè
fund is LOngr￿ge Hospiigl-L&gaty, valu8 of turth held £34,840 whose defmed purpose Is'[(￿ the care & ¢omfori ￿erderlY Pèbenls al
LongrKlge Ho$piial'.

LANCASHIRE AND SOUTH CUMBRIA NHS FOUNDATION YRUST
14. Analysi8 of R88trl¢t8d Funds- Pre￿0￿5 Yeat
Optrnlng balance
1 Aprll 2022
Closing Balance
31 M8rch 2023
Income
Expendjturo
Tran8f&r8
D&striptio
Chai C8nlr8 Wellb&ing Fund IGranll
Mental H&allli Hel￿111¥ FUTI
Harb(wr- Adult Wards
SHAKESPEAR WARD- HARBOUR
STEVENSON WARO-14ARBOUR
Choiley Inpalienl Unil
Speech & Language Therapy
Slioke Unit
Esgl Larte DiÈlrid MurE9S Fund
9.474
11,2161
11591
12601
16,8381
8.258
158
88
11,942
11,942
2.158
8.724
312
20
3.698
41,244
21,049
4,651
260
5,719
1.866
2,998
2,141
4,548
36,511
172
73
80
5,177
5,251
1,478
7,230
182
11,6761
1201
13,7421
15.4811
13.5761
C&SR LOCALITY DISTRICT NURSE
LONGRIDGE HOSPITAL- LEGACY
Longridge Hospital Ward Fund
Dova Unil
THE APPLE TREE CAFE. ORCHARD
Grow Your Fund
LSCFT Palienl Fund
LSCFT OAMH Servlces- Pa￿￿nIS
COPD Team Fund
LSCFT RiTrg Fence
COVIO 19 GRANT
HEALTH & WELLBEING TF
PATHWAYS SERVICES BIBRIDGE
DUGATION FUND
GYO Wesham
COPD Staff Fund
Ret Comin Wellbelng Grant
Slaff Rec fr(Jm COVID Grant
44
898
957
303
36,661
18,430
4,636
161
3,411
818
2,577
2.021
9,499
8,637
1.4.9R
154
24
8,717
89
131
305
110,9451
1?,4861
15751
11441
13,7661
136,6001
215
25,888
2.905
94
20,339
25,101
18,556
27,438
4,853
11,8551
12,0021
171
11.4941
18.7021
14431
101
21,833
33,803
18,999
Total Rèstrlcted Funds
192,416
106,49Q
1100,2001
198,706
General Income
Ha¥b￿r- OA wards
Designated Fund- Ashton District Nursos Fund
1,536
233
880
19,147
444
215
11,8141
18.869
648
580
15151
Total Unrestricted Funds
2,649
19,806
12,4601
19.995
Total Funds
195.Q65
126,296
1102,6601
218,701
The malorlly of Ihe reslricted funds held Tepate to grants, legaaes and income donated for use on specificwards, unils, projecls or k)calilies of
)e Irusl. Al 31 March 2023 the Iwst held one reslrSGled funds of significant size lo disclose ils nalure. The fund Is Longridgè Hospital-Legacy,
valuo of funds hgld £36,661 whose d&fin8d purpose i5'Yor Ihe care & comfort of eldèrly Palianls al Longridg8 Hosplt8r.

## **LANCASHIRE AND SOUTH CUMBRIA NHS FOUNDATION TRUST** 

## **Registered / head office address:** 

Lancashire and South Cumbria NHS Foundation Trust Sceptre Point Sceptre Way Bamber Bridge Preston PR5 6AW 

**Charity number:** 1099568 **Country of registration** : England & Wales 

MHA Richard House 9 Winckley Square Preston PR1 3HP 

Dear Sirs 

## **FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2024** 

The following representations are made on the basis of enquiries of management and staff with relevant  knowledge  and  experience  such  as  we  consider  necessary  in  connection  with  your independent examination of the charity’s financial statements for the year ended 31 March 2024. These  enquiries  have  included  inspection  of  supporting  documentation  where  appropriate.   All representations are made to the best of our knowledge and belief. 

- 1 We acknowledge that the work performed by you is substantially less in scope than an audit performed in accordance with International Standards on Auditing (UK) and that you do not express an audit opinion. 

- 2 We confirm that the charity was entitled to exemption under section 144 of the Charities Act 2011 the requirement to have its financial statements for the financial year ended 31 March 2024 audited. 

- 3 We have fulfilled our responsibilities as trustees as set out in the terms of your engagement letter under the Charities Act 2011 for preparing financial statements in accordance with applicable  law  and  United  Kingdom  Accounting  Standards  (United  Kingdom  Generally Accepted Accounting Practice), for being satisfied that they give a true and fair view and for making accurate representations to you. 

- 4 All the transactions undertaken by the charity have been properly reflected and recorded in the accounting records. 

- 5 All  the  accounting  records  have  been  made  available  to  you  for  the  purpose  of  your independent examination.  We have provided you with unrestricted access to all appropriate persons within the charity, and with all other records and related information requested, including minutes of all management and trustee meetings and correspondence with The Charity Commission. 

- 6 The financial statements are free of material misstatements, including omissions. 

- 7 The charity has satisfactory title to all assets and there are no liens or encumbrances on the charity’s assets, except for those that are disclosed in the notes to the financial statements. 

- 8 All actual liabilities, contingent liabilities and guarantees given to third parties have been recorded or disclosed as appropriate. 



- 9 We have no plans or intentions that may materially alter the carrying value and where relevant the fair value measurements or classification of assets and liabilities reflected in the financial statements. 

- 10 The methods, data and significant assumptions used by us in making accounting estimates, and  their  related  disclosures,  are  appropriate  to  achieve  recognition,  measurement  and disclosure that is reasonable in the context of the applicable financial reporting framework. 

- 11 We have disclosed to you all claims in connection with litigation that have been, or are expected to be, received and such matters, as appropriate, have been properly accounted for, and disclosed in, the financial statements. 

- 12 We  have  disclosed  to  you  all  known  instances  of  non-compliance  or  suspected  noncompliance with laws and regulations whose effects should be considered when preparing the financial statements. 

- 13 Related party relationships and transactions have been appropriately accounted for and disclosed in the financial statements. We have disclosed to you all relevant information concerning such relationships and transactions and are not aware of any other matters which require disclosure in order to comply with legislative and accounting standards requirements. 

- 14 All events subsequent to the date of the financial statements which require adjustment or disclosure have been properly accounted for and disclosed. 

- 15 We believe that the charity's financial statements should be prepared on a going concern basis on the grounds that current and future sources of funding or support will be more than adequate for the charity's needs.  We have considered a period of twelve months from the date of approval of the financial statements.   We believe that no further disclosures relating to the charity's ability to continue as a going concern need to be made in the financial statements. 

- 16 All grants, donations and other income, the receipt of which is subject to specific terms or conditions, have been notified to you. There have been no breaches of terms or conditions in the application of such income. Restricted income is as listed in the accounts. 

## Yours faithfully 

………………………………… 

On behalf of the board of trustees 

Date ……28/01/2025…………………………… 

