Roglsi•rod Company Number: 08340136 IEn8land ond Wales)
R•gl$tered Chartty Number.. 1120931

Page
Ito4
Report of th• Trustees
Indopendenl Examlnevs Report
Statement of FlnanclalA¢tlvltles
Stalement of Flnanclal Posltlon
NDt•$to the FlThanclal *atements
Detall•d Slatement ol FlnanclalActlvat•s
7t08
9t013
14

The trustees, present their report with the financial statement5 of the charity for the year ended 31
August 2025. The trustees have adopted the provisions of Accounts and Reporting by Charities..
statement of Recommended Practice applicable to charities applicable in the UK and Republic of
Ireland IFRS1021.
OBJECTIVE AND ACTIVITIES
Objeetivfrs and aims
The centre provides holistic therapies, treatments, support and advice to breast cancer patients and
their families. All therapies have been assessed as safe, appropriate and beneficial to breast cancer
patients. All therapists are fully qualified and accredited practitioners in their field of expertise.
The Centre accepts donatlons from vlsitors to offset costs and also fundraSses to cover these and
associated costs.
Compllan¢ewlth publlc benefll guldance
The Trustees glve an assurance that they have complied with thelr duty to have due re8ard to the
Charlty Commlsslon's public beneflt guldance when they exercised any powers or dutles to which
the guidance was relevant.
Volunteers
The charlty beneflts from a number of volunteers plus 2 pald members of part tlmÈ staff. The
hlghly regarded reception staff comprises of a group of dedicated and motlvated volunteer5, who
are hugely important in the day-to-day activities of the Centre. We have several other volunteers
who support wlth ad-hoc tasks, events and fundraising, With our offerlng increased to meet our
V151tors needs, we are lookln8 to recruit more volunteers than ever. We are supported by our
Centre Dlrector who looks after everythlng In the background, from social media, email, and our
website to admln, finance, banklng, events, fundraising and patrons/ambassadors. Jo Is now paid a
salary for 3.5126 hours) a week and her assistant Sandra for 8 hours per week to meet the demands
of an increaslngly busy centre. The Trustees wlsh to thank all those volunteers who have glven and
to those who continue to glve their tlme so willlngly. Our volunteer team are well thought of by
trustees, vlsltors and our communlty partners alike. We simply could not offer the servlces we do
without them.
Charltable actlvltles
The charity provides holistic therapies and treatrnents which include Counselling, Reflexology,
Reiki. Mlndfulness, Lymphatlc Drainage, Yoga, Scar therapy, Bra fittinB, Art therapy, Hand & Nail
treatments, Sound Bowl Meditation, Indian Head Massage and Oncology Massage as well as peer-to-
peer support and advice. All reduclng stress, pain, physical and mental discomfort and improving
sleep and general wellbeing. The community we have bullt continues to support one another
throughout the cancer journey. Our social activities 8ive the OPPOftunlty to chat in an informal
setting: Coffee Mornings are particularly popular. We provide a safe and tranquil space in which to
heal.
Page I

Fundral$inAactlvltle5
The charlty is truly grateful to so many who have contrlbuted to it, be that by making grants
avallable, donatlon5 from visitors, helplng at event5 both in and away from the Centre. The
charitvs fundraising continues to be very well supported by local community buslnesses includlng
pubs, restaurants, supermarkets and local groups/clubs. This year we successfully secured 2
London marathon place5 and have recently nominated 2 more supporters to run for the centre next
year. There has been a steady flow of donations and support from all areas but the increased
number of therapies on offer means that we need to work even harder. The charty stlll remain5
open S days a week,
FINANCIAL REVIEW
Prlnclpallundlngsource
The charlty's ongoing source of Income comes from 8rants, donations f rom indlviduals, businesses
and those wlth Interest In supportlng those with breast cancer. The income Is supplemented by
regular givins, many fund-ralslng ar.tlvitie5 and events, plu5 additlonal funds received throu8h gift-
aid claimed on appropriate gifts. Our new accessible mezzanlne has become a new revenue
generating venue,
Reserves polley
The Trustees alm to malntaln a reserve equlvalent to three months running Costs, and this
contlnues to be In place: Addltlonally, it has continued to be the policy of the trustees to operate
on a year-on-year break even basss. The reserve bullt up In the past years has been both
sustalnable and prudent In view of the current financial clrcumstance5. We are aware now that the
centre Is 15, many of the origlnal fixtures and fittings need replacin8. We need to cost these to
allow sufflclent reserves golng forward. The Increased number of treatments on offer to our
vlsltor5 means that we need to be fundralslng enough golng forward to meet their costs.
Page 2

CURRENT UPDATE
The day-to-day responslbilitles of the Centre are stlll taken on by Jo Gallier, our Centre Dlrector who
Is now paid to be at the Centre 3.5 days a week. Her passion to keep the Centre running efficiently,
as well as growing to meet the needs of our local community, are clear for all to see. The Primrose
Centre goes from strength to strength and serves an ever-increa5ing number of visitors every
month. We have a strong board of Trustees. a dedicated team of volunteers and a talented mix of
paid therapists.
This year we have been thrilled to welcome Jonny Meah as our first ever Prlmrose Centre
ambassador. Jonny has a close link to the centre throu8h his mother and has been hugelv
supportive since he joined. Amy Dowden MBE Istrictly professionall visited the centre in February
to open our newly named "Amy Dowden, room in honour of her determination, strength and
passion to help educate and ralse awareness of breast cancer through her own personal story. We
were dellghted to learn that Amy agreed to become a Prlmrose Centre Patron supportlngls and out
mlsslonlvalues.
Our mezzanlne accesslbllity prolect was completed In September120251 wlth new and Improved
5talrs and a platform Ilft belng Installed, Thls project was part funded by The Plnk Rlbbon
Foundatlon who contlnue to be huge supporters of the Centre. Accesslblllty to the mezzanlne has
allowed the space to become avallable to all of our vlsltors but also a revenue generatlng venue.
We celebrated turning IS In November and the open house gave us the opportunltyto showcase
the Centre's new brandln8 Including logo, strapllne and look and feel for the centre.
To8ether we continue to take the Prlmrose Centre Into the future.
PaEe 3

STRUTUCTURE, GOVERNANCE AMD MANAGEMENT
Governlng document
The charity is controlled by it5 governin8 document, a deed of trust, and constltutes a limited
company, limlted by 8uarantee, as defined by the Companles Act 2006
REFERENCE AND ADMINITRATIVE DETAILS
Reglstered Company Mumber
06340136 (Engtand and Wales)
Registered Charlty Number
1120931
Reglster¢d OfftCO
The Prlmrose Centre
3 Prudence Lan8
Orplndton
Kent
BR6 8RE
Tiustees
Mrs M I Veiasco
Ms L Splnks
Ms N Oakes
Mfs M Cogan
Independ8nt ExamlneT
Rachel Somerville-cotton
Approved by order of the board oflrustees on............... and slgnèd on Its behalfty:
Ms J P Gallier
101612026
Date............................-..
Page 4

Independent examlners. reporttothetrustees of the Prlmrose Centre Llmlted {"the ¢ompanV'I
I report to the companytrustees on my examinatlon ofthe accounts ofthe companyfor the year ended 31 August
Respon$lbllltl•s and basls of report
As the charltys trustees ol the company land also dlrectors for the purp05ès ol company lawl you are
responsib18 for the preparatlon of the a¢counts in accordance wlth the requirements of the CompanlesAct2006
Havlng saiisfièd mysèlf that the accounts of the Company are not fequlred to bè audited, under part 16 of the
2006 Act. and are e￿gible foran Independent examination, I report In respect of my examlnatlon of your charity's
accounts, as carTled out under Section 145 of the Charlties Act 2011 1"the 2011 Act'l. In carrying out the
examlnalion I have followed the directions Elven bythe CharitSes Commisslon under Sectlon 145151 Ibl of the
Independent examlnel$ statement
I have completed my examlnatlon. I conllrm that no matters have come to my attentlon connection wkh the
examlnatlon gSvlng cause to belleve that..
l. thal accountlngiecords were not kept In respect ofthe Company as fequlred by Sectlon 386 of the 2006 act.,
2. the accounts do not accord wlth those records,. or
3. that the accounts do not comply wlth the accountlng requlrements of Sectlon 396 of the 2006 Act other ihan
any reoulremeni that thè accounts Elve a true a lalr vlew whlch 15 not a matter consldered as part ol an
Independent examSnatlon', or
4. that the accounts have not been prepared In accordance wlth ihe Methods and prlnclples of the Statement of
Recommended PraclSce for accounting and reportlng by charlties lappllcable to charities preparlng thelr
accounts in accordance wllh the Flnan¢lal Reportingsiandard appllcable In ihe UK and Republic of Ireland
I have no concerns and have come across no other matters In connectlon wlth the examlnatlon to whlch
attention should be drawn in Ihls report In ordei to enable a proper understandlng ol the accounts to be reached.
RachelSomèrvllle.Cotton BSC (Honsl
Date..
Page 5

En￿E1E￿END.ED..31AllfiUsL2
2025
2024
Unrestflcted
fund
Total funds
IMCOME AMD EMDOWMENTS FROM
Donailons and legacies
Grants
Investment Income
80,884
25,000
2.276
49.710
15,425
2,244
108,160
67,379
EXPENDITURE ON
Support Costs
38,551
26.504
Theraplst Cost
41,825
19,484
Depreclation
2,789
2.685
Total
83,165
48.673
NET INCOME I IEXPf NDITUREI
24,995
18,706
RECONCILIATION OF FUNDS
Total lunds broughttomaid
613.025
594,319
TOTAL FUNDS CARAIED FORWARD
638,020
613,025
The notes form paft of Ihe financial statements
Page 6

2025
Unrestricted
funds
2024
Totaliunds
FIXED ASSETS
TanglbLe ass8ts
519,195
490,054
CURREMtASSETS
Debtors
3,355
125,841
129,197
123,263
126,709
CURRENT LIABILITIES
Amountsfalllng due withln one year
110,3711
13,7381
NETCURRENT ASSETS
118,825
122,971
TOTAL ASSETS LESS CURRENT LIABILITIES
638,020
613,025
FUNDS
Unrèstrlcted funds
638,020
613.025
TOTAL FUNDS
638,020
613,025
The charliable company Is entStl&d to exemption from audit under sethion 477 of th& Companles Act 2006 for
the yeai ended 31 August 2025
The members have not requlred the company to obtain an audlt ol ils flnanclal statement for the year ended
31 August 2024 In accordance ￿th Section 476 of the Companles Act 2006.
Thètwstees acknowledge thelrresponslbllltles for
ensurlng that the charStable company keeps accwntlng records that comply ￿th Sectlons 386
and 387 ofthe Companl8s Act 2006 and
preparlng Ilnancial statement5 which give a true and fair view of the state of affalrs ol the
charltable company as at the end of each financial year anil of Its surplus or deficlt tor each
Ilnanclalyear In accordance wlth the iequlrements of Sectlons 394 and 395 and which ¢Xherwlse
comply wlth the requirements of the Companies Act 2006 reiatlng to fSnancial statements, so far
as appllcable to the charltable company.
Ibl
The notes fomi part ofthe financlal statemenis
PaEe 7

These financlalstatements have been prepared in accordance wlththe piovlsions app￿Cab1etO charliable
companles sublect tothe 5mallcompaniès reglme.
The flnanclal 5tatementswere approved bythe Board olTrustees and authorised lor1ssue on.
were slgned for on Its behalf by-.
.an
I P Galller- Dlrector
Date
1016r2026
The notes fom) partoflheffnanclal ￿ateMentS
Pag8 8

IIQlE&￿￿ FINANCIAL.STATEME
ACCOUNTING POLICIES
Ba￿5 olprepartn8th•fin8n¢ial Jtstements
The financlal statements ol the charitable company. ¥whlch Is a publlc beneflt entity under FRS 102. have
been prepared In accordance wlththe Charliies SORP IFRS 1021'AccouThtlng antt Reportlng by charltles..
stsiement of Recommendèd Practice applicable to charSiles preparln8 thelr accounts In accordance
N¥ith the Flnanclal R8portlng applicable In ihe UKanr5 Republlc ol Ifeiand IFRS 1021 leffeetfve 1st january
21091, Flnanclal Reportlng Standard 102 'The Financial Reportlng Standard app￿"cable in the UK and
Repthb￿ of Ireland, and the Companles Act 2006. The flnancial statements have been prepared under
the hlstorScal cost conventlon.
Income
All Income Is recognised in the Statement of Flnanclal Actlvkles once the charlty has entltlement to the
funds, It Is protyable thai the Ineome ￿11 be recefved an¥ amount can be measured reilably.
Expéndltur•
Llabllltles are ￿¢08n1$e0 as expendlture as soon a5 there 1$ a legal 01 consiructlve obllgatlon cornmlttlng
the charfty to that expendlture, It Is probable ihai a transfer ol econornlc benellts wlll be requlred In
settlement and the amount ol the obllgatl¢n can be measured iellably. Expendlture Is accounted lor on
an accruals basls and has been classllled under headln8S thai aggregate all cost related to the c8tegoty.
Where costs cannot be dlrectly attrlbuted to particular headlngs they have been alioc81ed IQ acllvltlos on
a bas15 conslstent wlth the use oliesources.
Tanglbieflxed •$$•ti
Depreclaiion Is piovlded at the foiiowlng annual rates In order to wrhe oif each asset over Is estlmaté
Flxtures andllttlngs
Equlpment
25% on reduclng baiancg
25% on reducbng baLgnce
Taxatlon
The charlty Is exempt trom eorporatlon tax on Its charltable actfvltles,
Fund a¢¢OUrfln8
Unr8strlct£d funds can be used In accordanee wlth the charltable oblectlves ai the dlscreilon of the
trustees
Re5tr1rted funds can only be Use￿ lor partlcular re5trlcted purposes wlthlnihe objects olthe ¢harlty
Page 9

INVESTMENT INCOME
2025
2024
Deposlt account Imerest
2,276
RAISING FUNDS
2025
2024
SupportCQSt$
38,551
38,551
26,504
26,504
NET INCOME I EXPENDITURE
2024
2023
Oepreclailon of owned asset5
2.789
2,685
TRUSTEES. AEMUNERATIONAND BENEFITS
A trustee ol the ¢harlty was remunerated a5 an employee Ourlng the perlod. Thls Is permitted uTh(ler the
charlty's Constltutlon whl¢h ha$ been approvel by the Charltles Commlsslon Irs ETr8land and Wai8s.
TvustM¥' 0¥g•nso
There wwe no trustees, expenses pald for the year endet131 August 202S or for the prlor perlod lo 31
August 2024.
STAFFCOSTS
The average monthly number of employees durln8ihe yearwa5 a51ollows'.
2026
2024
Supporr Siafl
No employees re¢elvgd emoluments In excess 01£60,000
Contlnued...
Page 10

PIQIE&IQIHE FIN￿GIALsTAlEME￿￿
COMPARITIVES FOR THE STATEMENT OFFINANCIALACTIVITIES
Unrestricted
fund
Income and endowmentsfrom
Donatlons and legaeles
Grants
Investment Income
Toi•l
49.710
15,42S
87.379
Exp¢ndltur• on
RaIsI￿ funds
Chailtable aCt￿lI]eS
Total
29,189
19,484
48,673
NET INCOME IIEXPENDITUREI
18,708
RECONQILLIATION OF FUNDS
Total lund broughtfornyafd
594,319
TOTAL FUNDS CARRieD FORWARD
613,025
TANGIBLE FIXEDASSETS
Freehold
Property
FlxDJres and
Flttlngs
Equlpment
Totals
COST
As at I Septèmber 2024
Addltlons
482,000
28,628
510.B28
11,784
3.102
14.886
493.784
31,930
525,714
DEPRECIATION
As at i September 2024
Chargefor year
3,730
2,789
6,519
3.730
2,789
6.519
NET BOOKVALUE
At 31Au8U$t 2025
510,828
8,367
519,195
at 31August 2024
482,000
8,054
490.054
Contlnued...
Page 11

EQKJHE YEAR ENDED 31 AUGVST 2Q25
TANGIBLE FIXEDASSETS-contlnued
2025
2024
Additlons compr15ed ollhelolLowlnitt•m$:
Deflbilllator and safety box
8TLlympha5tlm machlne irovserattachment
Supply and installailon ot pergola
Supplyand Instauaiion of Uftto rnezanlnefioor
Lapiop and p￿n￿r
Receptlon chalrs
pe8keT
840
6,000
3.899
28,828
1.857
250
31,930
10.739
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Olher4ebtors
3,271
10 CREDITORS: AMOUNTS FALLIMO QVEWITHIN ONE YEAR
2024
2023
Othercredltors
4,207
3.603
11 MOVEMENTS IN FLINDS
Net
movement In
funds
At 1.9.24
At 31.8.25
unrej1ri￿Od funds
General fund
613,025
638,020
IOTAL FUNDS
813.025
24.995
636.020
Net movemeni In funds, Included In the above are asfollow$'.
Income
resouice$
Resourees
expended
Movernent
In lunds
Unrestrfctedfunds
Generalfund
108,160
183,1651
TOIALFUNDS
108,160
183,1651
24,995
Continued...
Page 12

li
MOVEMENT IN FUNDS. eontlnu•d
Comparative for movernent In funds
At
0110912023
moveTnent In
funds
At
3110812024
Unrestricted lunds
Geneiallund
594,319
18,708
613,025
TOTAL FUNDS
594,319
18,706
613,025
Comparatlve net movement In lunds, Ineluded In the above asfoliows..
Incorne
Aesourees
expended
Movement
In funds
resources
Uni•$til¢t•d lunds
Generalfund
67,379
148,6731
18,706
TOTAL FUNDS
67.379
148,8731
18,708
Currentyeai 12 months and prlor year 12months comblned posltlon Is a5 loliow5'.
Net
movement In
lunds
Al
0110gf2023
3110812025
594,319
43.701
638,020
TOTAL FUNDS
594,319
43,701
638.020
Currentyear 12 rnonths and prloryear 12 months cofflblne¢J po51tlon Is as follows..
Ineome
Resources
expended
Movement
In funds
resources
Unr•$lrl¢ted lunds
General fund
175.539
1131,8381
43,701
TOTALFUNDS
175.539
131,8381
43,701
RELATED PARTY DISCLOSURES
Th6T£ were no reLated party tiansactlons forthe yearended 31 August 2025
Page 13

2025
2024
INCOMEAND ENDOWMENTS
Donatlons and legacles
Donatlons
Grants
80,884
25,000
105,884
49,710
15,425
65,135
Investment Income
Deposlt account interest
2,276
2.244
Tolol Incomlni resources
108.160
67,379
EXPENDITURE
Fr•elaanc• and support staff
Support staff
Freelance theraplst5
14,359
41,825
56,184
3,938
19,484
23,422
Support costs
Advertlslng and Marketlng
Employers natlonal Insurance
Insurance
Light,heat and property costs
Penslon costs
PTlntlng, postage and statlonery
Refreshments and flowers
Sundiles
Subscrlptlons
Tralnlng
Telephone
Bulldlngand 8arden malntenance costs
1,613
1,195
1,697
3.172
449
1,146
4,245
211
672
1,734
503
771
633
816
431
500
2,268
9,195
21,200
2.818
9.876
23,235
Flnance
Card Charges
Other
595
362
735
631
Depreclatlon
2,789
Total ￿$ourceS expended
83,165
48,673
Netlncome I lexpendilurel
24,995
18,706
Th1% page does not form partofthe statutoryfinancial statements
Pale 14