THE SCIENTIFIC AND MEDICAL
NETWORK
(Companv limited by Guarantee No. 04$44694
Registered Charitv no. 01101171)
REPORT AND FINANCIAL STATEMENTS
YEAR ENDED: 31$1 DFCEMBER, 2022
DAWE, HAWKEN & DODD
Chartered Certified Accouniants
Callington, Cornwall.

THE SCIENTIFIC AND MEDICAL NETWORK
(Company limited b). Guarantee No. 04$4494, Regi$tered Charity No. 1101171)
REPORT & FINANCIAL STATEMENTS
YEAR ENDED 31" DECEMBEIL 2022
CONTENTS
Page
Legal and Administrative Inforniation
Board of Tru5tees' Report
Independent Examiner's Report
Statement of Finan¢ial Aciiviiies
Balance Sheei
Cash Flow Siatement
Notes to the Financial Stalemertts
9-15

THE SCIENTIFIC AND MEDICAL NETWORK
REFERENCE AND ADMINISTRATIVE DETAILS OF THE CHARITY,
ITS TRUSTEES AND ADVISERS
FOR THE YEAR ENDED 31st DECEMBER 2022
President
Professor Bemard Carr
MA, PhD
Vice PresideDts
Professor John Clarke
Diana Clift
PTofessor Mwilyn Monk
BA, MA
MA, MPhil
Emeritus Professor of Molecular
Embryology, PhD, Msc
MA
BA
Claudia Nielsen
Martin Redfern
Board of Tru$iees
Dr. Edi Bilimoria (resigned 12 Dec 2022)
DPhil. CEng, EuTlng, FIMechE, FRI,
FEI, CenHE
PhD. MBA. MlnstPhys, CPhys,
FHEA, FRSA
BSC, MA Astronomy. Msc
Geophysics
BA, MA
BA, BL
Bsc, MBA
PhD. Msocsci, Dipsw. CQSW,
BAIHons)
BSC, MSC, PhD
Dr. Paul Filmore (Chairl
Paul Kieniewicz
Jose Monternayor (r¢signed 15 Sep 2022)
Jaqueline Nielsen
Tuvi Orbach
Dr. Joan Walton
Dr Vasileios Basios
CompAny Secretary
Nicholas David Pilbrow
FCA
Treasurer
Paul FilTnore
PhD, MBA, MlnstPhys. CPhys.
FHEA. FRSA
Programme Director & Editor
of"Network Review"
David Lorimer
MA. PGCE, FRSA
Consultant to
The Board
Dr. Oliver Robinson
MA, MSC, PhD
Network Manager
Andrew Polson
MA
Account$
Chiara Reghellin
PhD
Company Reg. N
04544694
Charity Reg. No.
Registered Office
52 Fore Street
Callington
Cornwall, PL17 7AJ
l*dependent Examiner
A. M. FatT. FCCA
Dawe, Hawken & Dodd
Chartered Certified Accountants
52 Fore Street
Callington
Cornwall, PL17 7AJ
Bankers
Barclays Bank PIC
CAF Bank

THE SCIENTIFIC AND MEDICAL NETWORK
BOARD OF TRUSTEES, REPORT
FOR THE YEAR ENDED 31" DECEMBER, 2022
The Board of Truste¢g. who are also Directors of ihe Company for ihe purposes of the Companies Aci, and TTU51ees for
charity law purposes. submii their annual report and the financial sta¢ements of The Seieniific and Medical Network for th¢
year ended 31 December. ?022. The Board of Trusiees confirm5 that the annual report and financial statements of the
Company comply with current statutory requirements. the requir¢m¢nts of the Company's governing docum¢nt and the
provisions of ihe Ststemeni of Recommended Practice IFRS 102).
STRUCTURE, GOVERNANCE AND MANAGEMENT
Legal Status
The Scientific and Medical Network is A ¢ompany limiied by guarantee and govemed by its Memorandum and Articles of
Association. The Directors of the Company ar¢ Tnjstees in accordance wilh the Charities Aci 2011.
Rlsk Assessment
The DiTCCtors review finan¢ial and other risks when appropriaie ond have established procedures to ensure thai all
tronsociions and projects ar¢ prO￿rIY auihorised.
Dlr¢¢torate and Mernbers, Inlertsts
The DiTector5 of the Company on Isi January ?02? were Dr. Paul Filmore IChaimian}. Dr. Edi Bilirnoria, Ms. Jaqu¢lin¢
Nielsen, Mr. Paul Kieniewicz, Mr. Jose Montemayor. Mr. Tuvi Orbach. Dr Joan Walton & Dr. Vasileios Basios. A¢ the
Annual General Meeting of the Company held on 10th July ?022. Paul Filmore, Tuvi Orbach and Paul Kieniewicz retired
by roiaiion and were Te-ele¢ted. Mr. Jose Montemayor reSi￿ned on 15th Septemb¢r 2022 and Dr. Edi Bilinloria resigned12tli
December. 2022.
Each year on¢ third of the membeT appoinied Directors. who have served the longest. retire by roiation. They are. if they
wish, eligible for re-election. The Directors retirin& by rota¢ion the lollowin¥ July 2023 AGM are thu5 Mrs Jacqueline
Nielsen and Dr. Vasileios Basios. All ¢hasc retirinbj are eli8ible for re-election. Co-opted directors have a tem of close to a
year, before being voted in as full Board m¢mb¢rs.
There are now up to 51X Possible vacancies foT Directors io be el¢ci¢d at the Annual G¢nero1 Meeting and four current
applications. There are four further vacancies availabl¢ by co-option by the Board.
On 3 1st December. 2022. the members of the Company were Dr. Paul Filmore Ichaimanl, Ms. Jaqueline Nielsen. Mr. Tuvi
OTbach, MT. Paul Kieniewic4 Dr. Joan Walton. and Dr. Vasileios Basios. The members are the guaraniors, each in a sum
noi exceeding £1.
0￿ECTIVEs AND ACTIVITIES
The Charkty's objects are set out in the Memorandum and Articles of Association are:. for the benefit of ihe public. to advanc¢
education in the study and appli¢ation of science and rnedicine, in particular but Dot exclusively. by adopting an
interdisciplinary approach.
The Directors confimi that they have referred to the guidance contained in th¢ Charity Commission's generdl guidance on
public benefit when reviewing the Charity's objectives and activities.

THE SCIENTIFIC AND MEDICAL NETWORK
BOARD OF TRUSTEES, REPORT
FOR THE YEAR ENDED 31" DECEMBER, 2022
ACHIEVEMENTS AND PERFORMANCE
Review of the Year
During th¢ year. the Company continued the edu¢aiional aciiviiies previously undertaken. by arrangjinbj conferences and
webinars on subjects relevanr to its charitable PUTPOS¢S. These were open to th¢ public. bui due to the Covid pandemic,
they w¢r¢ all virtual in 2022. Also due io thc pandemie we coniinued to adapt and Lhange our busin¢ss operaiions to
becorne fully virtual. During the year our finances continued 10 improve. as we improv¢d our marketing. Also work on
various cducaiional projects jointly wilh panners continu¢d. Further deiails of the projecis are given in ihe Paradigm
Explorer joum41, whi¢h is edited, published and distributed io membeTS of the Network and others, thrtt time5 a ycar.
Th¢ Accounts for the year ended 3 Isi December, 2022 show a deficii of expendilure over income of £20.172. This
ompares to a surplus of £76.092 in 2021. In Ocrober. 20?0. th¢ Salvia Foundaiion extended its support of the Galileo
Commission project for a further thr¢¢ y¢Ars 10 December 2023 of £119,993 {reccived £79.993 so far). Income from
Chariiable A¢tlVLties was increased on Sub￿riptIOnS lup from £42.328 lin 20201 ¥0 £68.551 (in 20?1 l and to £80.7?4 lin
202?}l and from th¢ London GrouplCPF lup from £6.662 in 2020, to £13,392 in 2021, and down to £8,623 in 2022). Due
io Covid. our main Mystics and Scieniisis. and Beyond the BTain conf¢rences were moved online wilh profitable results
IMysliCS and Scien¢is¢5 Sales £6 749. and Eleyond the Ilrain sales £21,2641- note tha¢ th¢ 2020 non-resideniial Mystics and
Scient15ts was run at a 10$5 and almost all tickets w¢re refunded in the ¢ourse of ihe year 2021 and 2022. Webinars have
provided a major new source ol. income, bTin8ing in £95,376 in 2021 and £6.S,520 in 20?? {Ihis fiuiure in¢ludes £1? 169 in
2021 and £13.256 in 2022. of webinar donations). In addition to this.1¢8acies of £16,957 were received in the year 2022.
Again this year. we have generdied sU￿1¢ient income Lo eover our charity aims. We iherefore have not had to depend on
the support of the Trust. Our Trust does provide vs with an annual lett¢r 10 guardntee funds well in excess 10 our annual
needs, to cov¢r any contingency. The Board continues to actively look at ways io increas¢ revenue5 and reduce c051s. The
web5iie has continued to be developed and is helping us io become more visible lo ihe public.
Asking for donations, and particularly for legacies. ¢oniinues to be an important way of maintaining the Neiwork in the
lonbier term. and the Board is very grateful for thi5 type of support, and ¢oniinues to actively seek the$¢. where and when il
is appropriate.
FINANCIAL REVIEW
The Directors Tnoniior the resou￿¢5 of the Chariry to ¢nsure that sufficient funds ar¢ main(ained to meeis its futur¢ need5
and to ensure that it has sufficient working capital. At 31 st December. 2022. the Charity had reserves of £91,405
comparcd io £111.577 the previous year. The Direcior5 are considering way to further improve and ensure (he financial
sustainability of the Charity. and consider it ￿ g going conccm.
PLANS FOR FUTURE PERIODS
As with ihe last year. we are expecting a 5t¢ady increase in membership and thus subscription income. Also, our
administration of increased member5 and increased event attendance. has required takillg on more staff and challenged our
operational and governance procedures. We are still in the situation of change but hope to have OU￿e1v¢S restructured by
the end of 2023. The Directors continue to review every aspect of Ihe Company's activities to incTease revenues and lo
restrain costs. This in¢ludes.' keeping events inexpensive and thus attractiv¢ to delegate5; widening marketing particularly
via th¢ website and so encouraging ihe attendance of more non-members; and finally to market io and attract a vounger
demographic to event5 and so funher extend our educational support {which also has the b¢nefii of startin¥ io redress our
membeT5hip age PTofile).
In addition. we will continue io mount our usual annual programme of public conferences and lectures virtually. but
monitor carefully the possibility of r¢iurning to some in-person evenis. The MSC course is ¢oniinuin8. a5 is the successful
Galileo Commission projeci, and our new 'Young people. (New P8radigm Navigator5) project. Students are being offered
discounted mernbership io ¢nable access io our educational resources and support via. for exatnple, targeted webinars,
social n¢lworking, and virtual webinars.

THE SCIENfiFIC AND MF.DICAL NETWORK
BOARJ) OF TRUSTEES, REPORT
FOR THE YEAR ENDED 3111 DECEMBEIL 2022
DIREcfoRS' RESPONSIBILITIES STATEMENTS
The Tn￿te￿ (who Jn also the Directors of the S¢ieniifl¢ ana Medical Network foT the purpose5 of ¢ompany law) Irt
responsible for preparin8 the Dire¢Tors Annual Report th¢ financi￿ rt&temenl3 in accordance with applicable la￿ and
regulation&
compan￿ law requir¢s the Tnjstees to prepAre financial siaiemenis fL)r ea¢h fiTwicial year which give a rne and fairview of
the state of affoirs of th¢ th￿ilable company and of the incoming resources and appli¢aiion of r¢50urc¢s, includlrtg th¢
incon)t and exp¢ndiiuTe of the chariiabl¢ ¢ompany for that pri(xl. In prrpaTin8 ihese finan¢i415t&i¢menis, the Tru51¢es are
required io:
seleet suitable accountÈng policies and Ih¢n 4ppl}' them consis*n¢ly'
observ¢ th¢ methods and prinripl¢s in ihe Charities SORP.,
make jud&ein¢nts and estimatrs that are nasonable And prudenr.,
stat¢ whether applicable 8c¢wniin8 St•ndwd$ hov¢ been followed, subJe¢t to arty material deponures dis¢lo&ed and
explained in the financi81 stat¢ment$',
prepare the financi415¢at¢ments on the 80ing cu)cern buis unle55 il 13 Inappropriate w presume thai the Ch4Tity
will COAtinue in op¢Nion.
The Board oFTNsTees has overull respon$iblliEy f(v ensurin8 that the ChddE>' h8¥ 4n appropriate System of controls. f￿￿nCl41
d oiheTWiV. They are ￿80 responsible for k¢epin8 4dequat• a¢count]ng r¢c¢rd$ which th5c103e wilh realonible acwrac
al any time the finth¢iJl posiiion of the Charity and enable them to ensur¢ thai ihe fmancial ll￿emenrs ¢(Mnply with th¢
Comp&nies Aci 2W)6, th¢ Charitiei Art 2011, and th¢ provisions of the governing do¢um¢ni. They we also responsible for
safe8uardin8 th¢ wèts of di¢ Chority hence foi tskins r¢wnable sl¢ps for the detection and pr¢v¢niion of fraud
oth¢r irrn¥ularitieg.
Thc Boyd of Trustees iq responsible for the main¢¢nan¢e and integrity of the coryjorare and finaneiil iftformo¢ion included
on the Company's websito. Legi¥1￿1v￿ in the Unlted Kingdom governin8 the prep8rnion al￿ dissenlinatyon of financial
¥tat¢m•nts may differ from legislation in ¢)ther jwiJdiclion&
Approved by the B¢Jrd of Tntsttes on 9nn3
Ld 8j8L)ed on their b¢hJlf by.'-
ft4
. P. Filmo
Tru$t¢e

THE SCIENTIFIC AND MEDICAL NETWORK (Registered Company No. 04544894)
INDEPENDENT EK4MINER'S REPORT TO THE MEMBERS OF
THE SCIENTIFIC AND MEDICAL NETWORK
FOR THE YEAR ENDED 31￿ DECEMBER, 2022
report lo the Charity Trustees on my examination of the financial statements of The Scientific and Medical
Network for the year ended 31" December, 2022.
Responslbillties and Basis of Report
As the Trustees of The Scieniific and Medical Network {and also its Directors for the purpose5 of eompany lawl you are
r¢sponsible for the preparation of the Accounts in a¢¢ord2nce with the requirements of the Companies Act 20061'the 2006
ACV). You are saiisfied (hat the Accounts of the Compan>. are noi required by charity or company law to be audited and
have chosen instead io have an independent examÉnatton.
Having satisfied myself that the Accounts of The Scientific and Medi¢al Network are noi required to be audited under Part
16 of the 2006 Aci and are eligible for independent examination, I report in respect of my examination of the Accounts
carried out under Section 145 of the Charitie5 Aei 2011 ('the ?01 l Act'}. In carying out my exatnination I have followed
the Directors given by the Charity Commission Ltnder Seciion 145{5Xb) of the 2011 Act.
Independent Examiner's Statement
I can confim that l am qualified to undertake the ¢xamination because l am a registered member of the ACCA which is one
of the listed bodies.
I have completed my examination. I cOnfi￿n that no maiers have com¢ to my attention in connection with th¢ examination
giving me cause to b¢lieve thai in any material respect:
accouniing records were not kept as required by Section 386 of the 2006 Act; or
the accounts do not ac£ord with those records: or
the account5 do not comply with the accounting requirements of Se¢tion 396 of the 2006 Act other than any
requirement that the accounis give a true and fair view which is not a matter conssdered as part of an independent
examination,. or
I have no ¢on¢erns and have come across no other matters in connection with the examination io which attention should be
drawn in this report in order to enable a proper understanding of the accounts to be reached.
Andrew M. Fa￿,
CCA.
Dawe. Hawken & Dodd
Chartered Certifi¢d Aecounthnts
52 Fore Sireet
Callington
Cornwall
PL17 7AJ
Date: 3 July, 2023

THE SCIENTIFIC AND MEDICAL NETWORK
STATEMENT OF FINANCIAL ACTIVITIES
{in¢orporating the Income and Expenditure Account)
FOR THE YEAR ENDED 31" DECEMBER, 2022
Unre5tTiCted
Funds
Rtstriettd
Funds
Note
2022
2021
INCOME AND ENDOWMEIYTS FROM:
Donations and Legacies
Income from Charitable Activities
Other Income
37582
181524
5125
55754
93336
125773
181524 207198
5125
3810
TOTAL
224231
55754
279985 336781
EXPENDITURE ON:
Charitable Acrivities
254822
45335
3(H)157 260689
TOTAL EXPENDITURE
254822
45335
300157 260689
Net Incomel(Expenditur¢)
Transfer between Funds
Net Incomingloutgoing) resources
after Transfers
(30591)
10419
120172)
76092
(30591)
10419
(20172)
76092
NET MOVEMENT IN FUNDS
(30591
10419
120172)
76092
Total Funds at 11¢ January? 2022
Funds at 311¢ Dec¢rnber. 2022
101821
9756
111577
35485
71230
20175
91405
111577
The noies OTb pages 10 to 15 forni part of these finaneial sthtement5

THE SCIENfIFIc AND MEDICAL NETWORK
BALANCE SHEET
AS AT 31" DECEMBEK 2022
Nples
2022
2021
FIXED ASSETS
Tan8ibl¢ A35ets
Cyrrent As*ts
Debiors
C￿h 4¢ Bank and in Hand
121340
142158
CREDrroRS: Amounts fallin8 due
wlthln f)The ye•r
NET CURRENT A&SETS
10
TOTAL ASSETS LKSS CURRENT LIABILITIES
NET ASSETS
FVNDS
Unr¢stri¢ted funds..
G¢nttal Fund
71230
R#trl¢ted Funds
The Compfiny is exempt from the rnquir¢mthts ￿lating to prtiwing audited a￿o￿nts in ￿CordanCe with Section 477 of the
Companies Act 2006. The member6 have not required the Company to obtain an audit of irs ￿￿OUntr for the yearended 31.
Dettmber. 2022 itt *ccord4n¢¢ with s￿li0n 476 ofthe Cornpw￿ Aci 2006.
The Direciors ￿knoW]edge their responsibilities for Complying with the requurments of the Companies Art 2(106 with
re5pe£i to llccountin8 records and the prnparation of accounts. Thes¢ have beer6 prepared in ac¢¢)rdance With Iht
pro¥isi0tt8 *ppll¢Abl¢ to ¢ompAnies subject io the small companie3. re8imc.
Th¢ financial 51atwttents were Hpprov¢4 and authorised for issue, by the B(*rd of TruJte¢5 on gnr23
Ind Sign￿ on their beh&lf by'.-
(AJ Ol7k/*wL
Dr Pwl Filmort
Trustee
Th¢ notu OTh pages 10 to 15 forni PArt of these fiAa¢J¢ial s¢a*ments

THE SCIENTIFIC AND MEDICAL NETWORK
CASH FLOW STATEMENT
FOR THE YEAR ENDED 31" DECEMBER, 2022
2022
2021
Cash Flow$ from Operating Actlvltle$
Surp]u￿(defi¢ltI for the financial year
(201721
76092
Adjustments for..
Depreciation
{IncreaseyDecrease in Debtors
Itkcrease)lincrease in Cr¢diiors
414
464
122922)
75284
Cash Flows from Investin8 Aetlvlti¢$
Purchase of Tangible Fixed Assets
Nel (Decreaseyln¢re4se in Cash and Cash EqulvAlents
Cash and Cash Equ2valents al I. January. 2022 and 20?]
Cajh and Cash Equivalents at 31. De¢¢mber, 2022 And 2021
{229291
75284
Components ofcash And Cash Equlvalents
Cash ai Bank and in l.land
1421

THE SCIENTIFIC AND MEDICAL NETWORK
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31" DECEMBER, 2022
ACCOUP4TING POLICIES
Basis of Preparation of Financial Statements
The financial statements of ihe Chariry, which 15 a public benefit entity under FRS I O? have been prepared under the
historical cosi convention. They have been prepar¢d in accordance w iih applicable United KingTrdom accounting
standards, the requirements of ihe Staiemeni of Recommended Practl¥e Accountinby and Reponing by Charities
{SORP 2015), Ihe Fillan¢ial R¢poning Standard applicable in ihe UK {FRS 1021 and the Companies Aci 2(M)6.
The Tw51ees consider ihot there are no material uneertainties about the Trust's ability to continue &s a going concern.
Company Status
The Sci¢nlific and MedicAI N¢t￿Ork is a company lirniled by ¥uardniee. In the eveni of ihe Charity being wound up,
the liability in respecr of the guarantee is limited io £ I p¢r member of the Charity.
Fund A¢¢ounting
General fund5 are unrestricted funds which are available for use ai the discr¢iion of the Tru51ees in funheran¢e of th¢
general objects of the Charity and which have noi be¢n designated for oth¢r purp)ses.
De5i&?naied funds comprise unr¢stricted funds Ihat hav¢ been set aside by th¢ TnJ51ee5 for particular purposes. The
aim and us¢ of each designated fund 15 set out in the noie5 to the financial stat¢men¢5.
Restricted fund5 are funds which are lo be used in O¢¢OTdance with speLific r¢5triction5 imposed by donor5 which
have been raised by the Charity for particular purposes. 'I'he cost of admini5terkng such funds are charged againsl Ihe
specific fund. The aim and ts%¢ of each resiricted fund is set out in the notcs to ¢he financial siaiements. Statu¢or)'
grants which are given as contribution$ towards ihe Charity's core services are tr¢at¢d a5 unrestricted.
Incomlng Resoyrce$
All incomin¥ resources are in¢luded in the Statement of Financial Activities when the Charity is legally eniitled to
the income and the amount can he quantified with reasi)nable accuracv.
Gift5 in kind donated for disiribution are included at valuation and recognised as income when they are distributed to
th¢ projects, Gifts donated for resale are included as income when they ar¢ sold. Donated facilit1¢5 are included ai
the value co ihe Charity where this can be quantified and a third party is bearing the cost. No amounts are included
in the financial statements for services donaied by volunteeTS.
Dortated services are included in income at a valuation which is an estimate of the financial cost borne by the donor
where su¢h a cost is quantifiable and measurable. No income 15 recognised where there is no linancial ¢051 borne by
a third party.
Income Tax recoverable in relaiion to investment income or Gift Aid donation5 is r¢cognised at the time the relevant
income is receivable.

io.
THE SCIENTIFIC AND MEDICAL NETWORK
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31" DECEMBER, 2022
Resources Expended
All expendirure is a¢¢ounted for on an accruals basis and has been included under expense calegyori¢s thai aggregate
all costs for allocation to activities. Support cost5. which ¢annot be direcily attributed 10 particular activities. hawe
b¢¢n apportioned proportionat¢ly io thc direct stall'cosis allocated io the acliviiies. Govemance costs in¢lude the cosis
of Servicing Trustees, me¢iiiLg5, independent examination and strategic planning.
Irrecoverable VA T is Charged againsi the category of resources expended for which it wa5 incu￿ed.
Tangible Fixed Assets #nd Depreciation
Tan&?ible fixed assets are stated ar eost less depreciation. Depreciation is Provided ai rates calLulat¢d to wrile off the
cost of fix¢d assets, less iheir estimated residual value, ov¢r ih¢ir expected lives on ihe following base5'.
Offi¢¢ Equipment
4 Years
DONATIONS, GRANTS AND LEGACIES
Unrestrlct¢d
FuNd5
Reslrlcted
Funils
21122
2021
Donolions
Gift Aid
Legacies
Grants
20625
20625
23932
16957
16957
55754
34400
67441
55754
37582
53754
93330
125773
Analysis of the Grant$ Fundlng
S¢ieniific and Medi¢al
Galileo
Network Charitable Trust
Watson Grant
Blaker Education Grant
Salvia Foundation Grants
2000
17754
17754
27448
38000
38000
37993
55754
55754
67441

ii.
THE SCIENTIFIC AND MEDICAL NETWORK
NOTES TO THE FIIYANCIAL STATEMENTS
FOR THE YEAR ENDED 31" DECEMBEIL 2022
OTHER INCOME
Unrestricted
Funds
Restricted
Fund5
2022
2021
Publication Income & Book Sales
Grdnts Administration Fe¢s
Interest
2134
2934
57
5125
2134
2934
57
5125
160
3650
3810
IIYCOME FROM CHARITABLE ACTIVITIES
Unrestricted
Funds
Restricted
Funds
2022
2021
M¢mbership Fees
Mysiics and Scient15ts
Beyond the Brain including film viewings
Online Educa¢ion including Webinars
London GrouplCPF
Rupert Sheldrake
80724
6249
212fA
522fA
8623
1241)0
181524
80724
6249
21264
52264
8623
124(X)
181524
68551
23420
83207
13i92
207198
London Group evolved to Consciousness Perspectives Forum ICPF) during 2022.

12.
THE SCIENTIFIC AND MEDICAL NETWORK
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31" DECEMBEIL 2022
RESOURCES EXPENDED
Unrestricted
Funds
Restricted
Funds
2022
2021
Event Costs..
Mystics and ScientiSL8
Beyond the Brain
London Group/CPF
Rupert Sheldrake
Total Event Costs
2455
5621
1386
9132
18594
2455
5621
1386
9132
18594
6635
8426
200
15261
Mcmber5hip Discounts
Publication Costs
Webinars
Web Project
BlakeT Education
Salvia Foundation
Watson Grant
Galil¢o
Support Costs
YP Pmjeci
630
30846
21278
630
30846
21278
320
29Q59
24902
5842
43835
43835
30883
?7448
1 SIJ)
1500
181694
1780
181694
1780
126824
Total CharltAble Expendliur¢
254822
45335
300157 260689
On 26 Jan 2021 a paymenl of £7.(￿ was mth io the Salvia Foundatioft which was repaymeni of ihe 2020 groni.
Resources expended includ¢'.
2022
2021
Independent Examinerfs F¢e
Depreciation
1552
414
1800
464
Details of Staff Costs are 8iven in Note 7
Deiails of Support Costs are given in Noie 6.
SUPPORT COSTS
TolAI
2022
Total
2021
AdTninistrdlion
Depreciation
Independent Examinerfs Fee
Tax Advi¢e and Accounting Software
Postage. Stationery & Freight
Staff Costs
Bank Charges
Consultancy Fees
Advertising and Marketing
Social Media Marketing
Travel
13829
414
1552
3875
451
46634
7147
98887
376
6985
1544
181694
9896
464
1800
2721
41
34978
7713
60019
6158
3034
126824

**13.** 

## **THE SCIENTIFIC AND MEDICAL NETWORK** 

## **NOTES TO THE FINANCIAL STATEMENTS** 

**FOR THE YEAR ENDED 31[st] DECEMBER, 2022** 

## **7. STAFF NUMBERS AND COSTS** 

|**STAFF NUMBERS AND COSTS**|||
|---|---|---|
|Wages and Salaries (including employers NIC)<br>Pension Costs<br>Average number of employees<br>No employee received remuneration of more than £60,000.|**2022**<br>**£**<br>45643<br>991<br>46634<br>1|**2021**<br>**£**<br>34085<br>893|
|||34978|
|||1|
||||



During the year, key management received remuneration of £45,640 (2021 - £34,085).  Highest remuneration was for David Lorimer (paid as a consultant) of £44,620 plus expenses of £1,312. During the year, no members of the Board of Trustees received any remuneration (2021 - £NIL).  A total of £30,439 was paid to members of the board for consultancy work on three separate projects, separate from their roles as trustees. 

## **8. TANGIBLE FIXED ASSETS** 

|**8.**|**TANGIBLE FIXED ASSETS**|||
|---|---|---|---|
||||**Office**|
|||**Equipment**||
||||**£**|
||**Cost**|||
||At 1stJanuary, 2022||9927|
||Additions||7|
||At 31stDecember, 2022||9934|
||**Depreciation**|||
||At 1stJanuary, 2022||9213|
||Charge for the Year||414|
||At 31stDecember, 2022||9627|
||**Net Book Value**|||
||At 31stDecember, 2022||307|
||At 31stDecember, 2021||714|
|**9.**|**DEBTORS**|||
|||**2022**|**2021**|
|||**£**|**£**|
||Due within one year|||
||Gift Aid|-|-|
||Prepayments and Accrued Income|2111|-|
|||2111|-|





14.
THE SCIENTIFIC AND MEDICAL NETWORK
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31Jt DECEMBEIL 2022
CREDITORS: Amounts falling due wichin one year
2022
2021
Deferred Income
Social Security and Other Taxe5
Other Crediiors
Accruals
9300
2807
16595
6695
5404
15836
3360
129
STATEMENT OF FUNDS
Brought
Forward
Incoming
Resource5
Resourees
Expended Trwn$fers
Clrrled
Forward
RESTRICTED FUNDS
Blaker Educational Fund
Galileo
Salvia Foundation Grant
Wat50n Grani
Th¢oria to Theory Fund
61
1850
7110
i.$00
43835
350
1275
17754
7J5
?0173
38000
17754
735
9756
55754
45335
SUMMARY OF FUNDS
General Funds
Restricted Funds
224231
55754
279985
254822
45335
300157
71230
20175
91405
9756
12. ANALYSIS OF NET ASSETS BETWEEN FUNDS
Unrestrlcled Fund5
Desigll#ted
General
Fund$
Fund5
Re$¢rl¢led
Fund$
Tutal
Tangible Fixed Ass¢t$
Net Current Assets
L¢55.' Current Liabilities
NET AS.SETS
307
101163
307
1?1340
30242
91405
20175
7123
17

15.
THE SCIENTIFIC AND MEDICAL NETWORK
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31" DECEMBER, 2022
13. COMPARATIVE STATEMENT OF FINANCIAL ACTIVITIES
Unrestrieted
Funds
21121
Restricttd
Fund5
2021
Totgl
2021
INCOME AND ENDOWMENTS FROM:
Donations and Lega¢ies
charl￿ble Activities
Other Income
58332
207198
3810
67441
12$773
207198
3810
TOTAL
209340
67441
336781
EXPENDITURE ON:
Charitsble Activities
202208
58481
260689
TOTAL EXPENDITURE
202208
58481
260689
Nei IncomellExpenditure)
Transfer beNeen Funds
Net Incomin￿(0￿180lng) resources
after Transfers
67132
89fA)
76092
67132
8960
76092
NET MOVEMENT IN FUNDS
Total Funds •t I" Jwnuary. 2021
Total Funds at 31" D¢¢¢Thber. 2021
34689
796
35485
101821
9756