CHARITY COMMISSION
FOR ENGIAND AND WALES
Trustees, Annual Report for the period
From 1° January 2021 Period start date To 31st Decemb•r 2021
Period end date
Charity name: The Children's Hospitsl Trust South Africa
Charity registration number: 1121573
Objectives and Actlvities
SORP rèfarence
Ptra 1.17
Summary of the purposes of
Ihe charity as set out in its
goveming document
To relieve sickness and to promote
good health by supportlng the Red
Cross War Memorial Hospital South
Africa and the Trust's work in paediatric
healthcare across Africa.
The Children's Hospital Trust South
Africa is a UK reglstered Charlty whose
role is to raise awareness and generate
fvnds for the Children's Hospitsl Trust
based in Cape Town, South Africa. The
Trust raises funds for priority projects
and programmes at the Red Croès War
Memorial Hospitsl and Paediatric
Healthcare in Africa.
The Trustees have had regard to tho
guidance issued by the Charty
Commission on public benefit.
Summary of the main
activities in relation to those
pU￿oseS forthe public
benefit, in particular, Ihe
activities, projects or
seNices identifiad in the
accounts.
Par2 1.17 and
1.19
Statement confimiing
whether the trustees have
had regard to the guidance
issued by the Charity
Commission on public
benefit
Para 3.18
Additlonal inforniation (optional)
You ma
choose to include furlher statements where relevant about:
SORP referen
Para 1.38
Policy on grant making
Pard 1.38
Policy on social investment
including program related
investment
Para 1.38
Contribution made by
volunteers

Other
Achievements and Perfonnance
SORP reference
The Trust continues to broaden its
depth of fundraising in Ihe UK. It has
worked closely wlth the Trust in SA to
develop exlsting relationships and
harness new ones.
Summary of the main
achievements of the charity.
identifying the difference the
charity's work has made to
the circumstances of its
beneficiaries and any wider
benefits to society as a
whole.
Para 1.20
Foundations and Trusts remain a high
percentage of the fundraising.
The main projects and programmes to
beneflt from the Trust fundraising thls
year were:
-The Paediatric Intensive Care Unit
-The African Fellowship Programme
-weekend Walting List Project
-Nurse Training Programme
Additional Inforniation {optional)
You ma
choose to include fvrther statements where relevant about:
Achievements against
objectives set
Para ?A1
PerfOrrnan￿ of fundraising
activities against objectives
set
P3ra IA1
Investment performance
against objecttves
Para IA1
Other

Financial Review
Review of the tharity's
financial position at the end
of the
eriod
Statement explaining the
poIiGy for holding reserves
stating they are held
Pwa 1.21
Despite the continuing pandemic, The
Trust remalns In a robust positlon to
meet its Ob'ects.
To maintatn a minimal cash balance on
donations so as to get funds to projects.
We maintain operational reserves to
cover administration.
Para 1.22
Amount of reserves held
Reasons for holding zero
reserves
Details of fund materially in
deficit
Explanation of any
uncertainties about the
charity continuing as a going
concern
1.22
Para 122
Para 1.24
Para 1.23
Additional Inforniation loptional)
You ma
choose to include fvrther statements where relevant about:
All operatlonal costs aTr covered by
specific funding, sponsorship and
GiftAid. This means that all donatlons
can be applied lo the Trust projects.
The charivs principal
sources of funds (including
any fundraising)
1.47
Investrnent policy and
objectives including any
social investrnent policy
adopted
Para 1.46
A description of the principal
risks facing the charity
Para 1.46
Other

Names of the charity trustees who manag8 the charty
Trust•• name
¢)ffi¢• (rf any)
Dates actsd rf not lor whol•
aar
Name of person (or entitled
Benedict Hall
Chair
stephen Qakenfull
Tamsin Ashmore
John Bester
Jaimie Waddell
10
12
13
14
15
16
17
18
19
20
Co
rate trustees- names of the directors at the date the re
DIr￿r name
rtwasa
roved
Name of trustees holding ti￿e trj property belonging to the charity
Trusteè name
Dates actsd if not for Tknole

Funds held as custodian trustees on behalf of others
Description of the assets
held in this capacity
Name and objects of the
charity on whose behalf the
assets are held and how this
falls within the custodian
charity's objects
Details of arrangements for
safe custody and
segregation of such assets
from the charity's own
assets
Additlonal Information (optional)
Names and addresses of advlsers (Optional Inforniation)
Type of
Name
Address
adviser
Independe
Mrs R Walden FCCA
Berry Accountants
Bowden House
39 Northampton Road
Market Harborough
Leicestershire
LE16 9HE
Examlner
Name of chlef executlve or names of senior staff members (Optional InfOrn￿tiOn>
Exemptions from disclosure
Reason for nOn￿lsd0Sure of ke
rsonnel detsils
Other o
tional information

Declarations
The trustees declare that they have approved the trustees, report above.
Signed on behalf of the charity's trustees
Signature(s)
Full name(s)
Position (eg Secretary,
Chair, elc)
Tamsin Ashmore
Trustee
Date
27.10.2022

CHARITY COMM155ION
FOR ENGLAND AND WALES
Tho Childicn'.q ￿OSpItAl l-rLlSt SA
Cliarily No I
any)
eriod
1121573
Annual accounts for the
To
Penod Start dale
0110112021
P$ri￿ end dale 3111212021
Section A
Statement of financial activities
Recommendod ¢atsgorfes by
acflvlty
Restrictsd
incomo
funds
Unro8trictsd
funds
Endowm¢rrt
lunds
Prlor year
funds
Totsl fvnd8
In¢oming reSoU￿e5 (Notg 3
F07
Income and ethments from..
F02
F03
F04
F05
20,945
116,825
137,769
132,617
Irrtsstrnents
Sw*m*i*
15,871
36 816
Total
Resources •xp8ndgd (Notg 61
Ex￿n￿liUrtt M..
Raslw rL¥Kt5
15,871
14,537
11,205
19.919
11,205
91,781
10,956
158,597
71,862
S10
Tot
S12
102.986
169 553
Net in¢omel{gxpenditurel before inve$tm•nt
gainsl{Ioss&s1
S13
Nths￿￿51(1csSe8j
S14
Net in¢omellexp•nditurel
EKtraonlinary itèms
Transfgrs between funds
Othar ￿cOgnised gainsl{losse51'.
S15
S16
$17
S1&
0￿r￿￿(lo￿$8¥I
Net movem8ftt in lunds
S19
Rrtonclliation of funds..
40.787
Total ftsnds carn1￿ fonvartl
63,186

Section B
Balance sheet
Unrestrlcted Restricted Endowment
funds
Incomè funds
funds
Total th1$
year
Total la¥t
year
Fixed assets
Intangible assets
Tangible assets
Heritage assgts
Investments
F01
F02
F03
F04
{Note 151
(Note 14)
(Note 16)
(Note 171
Total fixed assets
F05
B01
B02
B03
BOS
Current assets
Stocks
(Note 18)
Deblors
{Note 191
Investments
INol& 17.41
Cash at bank and in hand INote 241
Total current assets
806
B07
80,945
91.741
80,945
91,741
810
Credltors.. amounts falling due within
one year
(Note 201
811
300
300
300
Not Current assets/{liabilitiesJ
812
91,441
91,441
Total assets less current Ilabilitios
813
91,441
91.441
40.787
Creditors.. amounts falllng due after on
year
(Note 201
Provlslons for liabilities
814
B15
Total not assets orliabllities
Funds of the Charity
Endowment funds (Note 271
Rèstricted income funds INoltr 27)
Unrestricted funds
Revaluation tsservg
B16
91,441
91,441
40,787
B17
B18
B19
91,441
820
Total funds
B21
91.441
91,441
SwJned by one or iwo trustees on behalf of all the
trustees
Sign81ure
Date of
approval
ddlmml
Print Name
Tamsin Ashmore
27.10.22
17/1./2
CC17a (Exoll
2411012022

Section B
Balance sheet
Unres1￿ Restrlcw £￿0￿M•￿ Total th18 Total la
fund•
Incomg fundo
lunda
year
Flxed assets
Intsngiblè a5sBts
TangSlAe a$sets
He￿tage assets
lThve$tments
F01
F02
F03
F04
FOS
(Nots 151
(Notè 14)
(Note 16)
(Note 17)
Total fixed assgts 805
B01
B03
Current assets
{Note 181
{Note 19)
Investmerkts
(Note 17AI
Cash at bank and in hand (Note 24)
Tot81 cunEnt assets B10
80,945
91.741
80.945
91,741
41,087
cr￿lIOrs. amounts falling due wlthin
one year
(Note 20)
B11
300
300
Ilet curyent assets/{liabillfiFs) B12
91,441
91.441
TO￿ assets less liats'fiti8S B13
91.441
91,441
Creditors.. amounts falling due after ono
year
{Note 20)
Provisions for liablliiies
B14
815
Total net assets orllabilitles
Funds of the Charity
Endowfflent fun4ts {Nole 27
ReS￿¢ted income funds INots 27)
Unrestricted funds
Revaluation resgrve
B1Q
91,441
91,441
817
B18
B19
Totallunds 821
91,441
91.441
SigrBJ by cffi• trust8es on behaff ofal
trustees
SvJnabJre
Date of
approval
ddlmml
Print Name
CC17a IExcel
2411012022

R810ZJ
Yé

Sectioii C
Notes lo tlie ,2ccounis
Not• 2
Accountlng ptsllcjos
2.1 RECONCIUATION WITh PREVI¢￿8 GENERALLY ACCEPTED ACCOUNTING
PRACTICE
a¢¢ountlty pollcy
Ettdol
cct7a (Exc41

Section C
NoiEs IG the .3CCOLlnts
Note 2
A¢￿u￿b.￿9 policies
2.2 INCOME
RetOBthalln¢(th• ThsB aTe Stalerr*ni of FiTrandal IsoFAlwl*n."
the (*arity1￿clHnCs enbUEdto ￿tyJ[￿S,.
ltsn￿1￿thaTr thÈttho truste&¥￿1 r£Y*iv&therewr(w',
No
E has been fK)off5elling ofAs8ets 8nJ h8blth8$. of 3ndwwsas. rwJyBdor
pemithd FRS 102 SOAPc* FRS 102.
Yes
NIA
Ye5
GRrd58fKJ thai￿￿5 aR¢￿￿1r￿jL￿￿ed in th9 re£owth
(¥iteriB tr ￿115.10 to 5.12 FRS102 SORPI.
In th&c8$9 Lrfpèknwc¢ rela￿lgr￿L￿. Itirome rnL￿t1￿ty be ￿¢(￿lSed10 theex#Ènt Ihi
lhepwhxm￿ r￿L￿t￿d￿o￿aK@ ￿￿1{￿16 FRS 102SORP).
Lelltha￿ Ind￿￿￿ inthe SOFA*thon prob8t4e. that1& when kn PAstswgrdnl
crKthbonsaWgd tolhty *yBrÈ •ther*4Ib￿ theccth ofihe tharhyLYhavo
Nlo
Yes
Gti?Aid rncei¥abkniB ￿￿utt¢d In I￿orne*￿en is avalhSdÈ(Ip￿tiw fram thedonN. &kny
Tax tedlimsonthu*￿ c41& th)nation i8 (X)rtsirJ8[￿ to tsp parf ofthAtgiftand ¢ trvated 8$8n
gNts
Nl¥
Th& i% OW IndLthd in tho SOFA oneathe hès prov*Jedthe tBla*dg0(xJ5 ors•￿ or
Nla
DOna1ed￿￿jdsa￿ ￿r¥a￿* Il*amwntforwhrh ￿ex(b￿ll￿d}
No
Nlo
The G￿t01￿nY ofgxts fordJsthbuty)Trto benefi(iaiips dEer￿d tobo1* for
Vdupolll￿È￿ft5 althe ￿ptand theyare TectytW8ed on rstwpt. In the
reFtsbry iTrwl]￿ the stltss are d￿tr￿Art￿J. wnty*aBan w*rweAtlhp
No
Wa
DDnBted 9¢￿￿J5 lor ￿are rneaSur￿ at rairv￿￿Ofi Inibal F9￿n￿kn. whKh i% tho expethd
Nl&
tradry actNik5' Ihe t¢)ttWWLUng the bslance sF*¢l Qn IL*sa&
Vam￿ rl810th tscthatypd ￿k￿l,1￿cC¢n& othertrnthnu a£INi1￿￿' ihe p￿ed&froM
sa* as1n(a)mefrcqnotr*rtradry auThibe5'.
donated ftrcffl-oc*rty usebylhE chartty are waised 8stsWfi¥wJasf*ts 8rKJ
Ind￿￿0 &JFA Irthm￿g rgsovr&98 wh8n rÉ¢ghYsb
tlonaltd ••Trlces•rf DD￿*0$¢1￿(￿and f8(iW8reoK1L￿od soFAwk￿ ror4¥￿ aithe vaK* dlhe ollt
tothè¢hHnty pttiwd•J ble ¥akJgdihe grft w bemèawr9d rdtsbty.
Yes
Yes
an bw1wgrrt￿nlRGO0n￿ as an expewundbr the apwopiate he￿1￿9 in theSOFA.
¥a￿e of•y %r•Jntaryhdp rerknj i% mtin¢*thd ITh iWI￿de8C￿￿ in tho
Yes
Wla
Nl
No
ulxthlpUon6
No

I0￿￿nf*d￿rnsarP On￿ inciudedin thoStsFA**oftth9g￿0rfjI
mBtI5.10 tr> 5.12 FRS102 SC>RPlwhl Pre Ir￿1￿￿$an thn of¢id*r￿￿￿￿ in th• SOF
Yes
NO
ork65 resu￿￿ trom tBYthiro wfftstsnpntsto m*tst vabJ6 atth¢ 0fthe￿.
2.3 EXPENDrruRE AND LIABILITIES
otylpaton tscharityto ￿y￿tro80U￿￿ andlhe amunloflheotAwxdtion¢an L
Maa￿tell¥￿1h r&%sonab￿ o¥rtsh)ty.
Nl8
rtyuthon anLI wAxl prac1￿.
b8¥i* theuso ¢fre￿r(*s. ea￿k)rating prop8rtyQth by I￿Orar￿. oy wr
t8p#a. cc$tstytheli￿ spentand rAh2r¢osts by
Ye5
Yes
orouwb be ￿*￿]ed. 9UL* grAm$8Tronty rewi* ￿ tr* SOFA(￿¥the TetspEntoftr•
IA
Yes
Nl4
Wa
No knol(*fen¥l theaerJ>Jn
Nla
Yes
l&
Th21tsty arthkmts for fyiarthl wnimprts on Initi81 rewthon as ￿p￿dra￿￿) 10.7
FRS102 SORP. StheqLWtJng0￿r¢m￿ttsas PBrparnyrtths 11.17 to 11.19. FftS102
SORP.
Nla
2.4 ASSETS
T•nWblÈfred a5￿￿10r
¢harMy
Nla
5UtLstarrte arekknbfiabre?r￿ are try ts(*anty1hr￿Jgh IW*dyorlegoly4h
The amortisa1￿ 8rKlm¢*trKthvued 8te di%b)sed in 9.5
T*ware at cost.
es
T￿¢￿￿￿ty h3Slwrrtag8 assets, thèt 18, ri01￿11￿13ry￿￿1s￿ith srienufiry
Yes
Nla
disdos&1 ffl Dote 9.6.1.4.
They * ¥a*Jed Str￿1.
Yès
No
hiiti84y&ets%t ￿6￿￿jUenty&% PdKV￿Uw{th9K ni3rket vaknelat ywend. The skn
*B8bllèrtrb io unli5tfjd In%Ethgnts Mnkss faIrval￿ canTh)tbe rnea￿￿d ￿lia￿1n
whth &ise it ￿ rneasvted at toÈt ￿8$ ryUM￿t.
No
dats 1 VArgtreatedas ojrreni a58et knv9¥1mBnts
Yes
N14
potthbd W0￿7￿Ed ty ofswf.
Nla

trado deb*ws an010￿ re¢*¥atsknl * wsured ffi iThlal rÈciwhK)DatWY*rnnt Yg
No
Nla
ThEchar*y has ha5 invaÉtrnwtÈ il resth orp9f•JhYJ *d cash
rent•SW a moi￿thIe year. Thotseindudè¢xsh on tteruitAnd
*h a m*ufitydBteofthth¥D one>wrheld rorlnvÈth￿tl￿tpo￿ thr th8ntr•fftWts￿rtl6
No
hva
POLtClES ADOPTED
ADDrrk)NAL TO OR
DIFFERENT FROM
THOSEABOVE
NIA

Soclion C
Notes to tho a-counis
Noto 1
Analysi# oFlncotnq
Ir•ifyY¢i*d
TrUI Pr1￿ y•ii
DDnarknn$
l•gackn..
137 770
GrfIA
scl88
GwwrAI gr￿ts by ￿￿er￿rrenU0tr￿l
132.617
MembElShip $ub$uiw*ns ¥wn6(*shl
h￿hare1n SutslSnBgthn*kns
cts, lacitt￿5 * 5erv¥
Other
116,825
18
Ch￿rflabl•
mln fo95 re¢elved
Re1nknrS￿ costs
750
140
Oller
Total
14.023
971
O*her1¥ad￿9
llL*fvNIgJ'.
0th8r
In¢orn•frorn
Investrnents..
Inieresl
D￿￿8￿￿ Iwomè
Qme
OthBT
Tolal
S•p?rai•
MatOr￿ tt•m
of In¢¥rn•.'
Furf
Total
Oiher.
VerSK]nofÉ￿Qw￿￿tfurKIS into IrKomo
Gain on4Ews*oiat3ngbb f￿ed a85gt hglyfor
chariys V*Yn us8
Dndkposal ofB Wtgwmrdated
Royattlos Iron)Ihe Èxpk)]Fa￿ThOf InteiECtual
property r¥hL4
0th8r- 3￿￿01¥h1
TtstAI
TOTAL INCOME
I In th• ￿￿rY￿WI4 ￿￿￿￿trWed•X¢tytt0￿.. (pl•¥s•
wwldè
GBP 123 736 thgixwBdoD4tèd *iMI
odNc
v￿r• •ry •￿￿tIU￿4 IB Eonverkd Inki Iq(￿￿• In th
1•ports￿p9￿0d. th• r•*sortlur*he ¢onv•raI￿.
NIA
thlTr thè l￿D￿e aL￿ve thp fo11r￿lI*￿ Itqrns •r• mAl•￿41..
q4B• dkn¢lMp n4lurw, 4mounEand any yoal
lufidhg rÈL¥tréwd fiDmThè Chiamn's
OSPit81 Tnjsl ￿ Sovth Afrul
CC17a (Éxro
2911012022

Section C
Notes to the account5
Icontl
14ot• 4
Analy¥ls of ro¢olpts of g¢)veTnm¢nt grants
This y•ar
Last y•aT
D8SCri
Go¥emment grnnt 1
G0￿Mment grant 2
G0￿MMant grattt 3
her
Total
Pl8asepTovld• tlelAits olany unfulfftl•d
conditlons othercontingenclgs
￿tt￿hIng io grants thal ha¥8 b8en
Plea8e gfve detalls ofotherfomts of
CC178 IExcèJ
24110rJ)22

Section C
Notes to the accounts
Icontl
Note 5
rk>nat•d good¥, fa¢llitie8 and service•
Thts y•ar
Lartyear
Oth¢r
Please pyovidè d•talls ofth• a￿ntIng
pollcy for the ￿ognitIon and valuation
of donated goods, fa¢lltti88 ab7d setvius.
Ploas• provlde d•laHs ol any ufthlfillod
condFtion$ and Lther contlngenclÈs
incfxne.
Ploa8e gfve detsi15 01 othèrforn￿ ol
othtrr donat8d good5 and $ervlcg8 not
recognised In the aeeountsp eg
contributlon of unpald Trnlunteers.
CC178 (Exc811
24110r2022

Section C
Notes to the afjcounts
Icontl
Note 6
Analysis of expendlture
R•$tri¢t8d
In¢orn• E￿￿*?￿rtt
furMI¥
Lknrostrlctsd
Total fL*Mls Prl¢x yoar
Anal sls
Incurred seeking donations
Incurred 588king legacles
Incurred s88king grants
Operaiing membership sch8mes and
SOCig1
Expenditure on
rdlslng funds:
11.205
11.205
Staging fundrai%ing events
Fudr8ising agents
Operating charty shops
Oper8ting a tradiw cornpany undertakfvj
nOrkcharrtab￿ trading act￿￿rtY
Advertising, marketing. direct mail and
Start up Costs incurred in generating new
source of future income
Databas& davek)pm8nt costs
Other IradiThJ aetNitie5
Investment managertEnt C08t5.'
PorlfolK) rnana
emènt costs
Cost ol obtaining investment advro
Investment adm￿l￿tration costs
Intellectual PTOP8rty I￿8￿cing costs
Rent ¢ollectK)n, property repairs and
mair¥ten8n¢e Charges
Total expenditure on ral$lng funds
Expondtlure on
Charitable
aetiwties
Donat￿n5 paid to The Chi￿ren$ H05pit81
Trust Ibased in South Alrical
Totol expenditure on charitable
activitles
19.919
71,862
Separate mat•￿31
Item of •xpense
Total
Oth•r
Total other expgnd4ture
CC17a (Extell
2811012022

TOTAL EXPENDITURE
102 986
169.553
Oth•r infomiatlon:
Analysls of expèndlturè on charltable actrvities
Acwvlty or
programme
Grant
fundlng of
actlvllie5
Support
Costs
Total thls
year
Activiti¢¥ undertaken dlr•ctly
TotsI￿Or
year
Activity I
Activit 2
DOnat￿n of fund5 Bised lo The ChAdr*n's Hospital Tnjst
in South Afrtt
Other
Total
91.781
158,597
158.597
Prlor year 9xp8ndI￿rfj on chatltable actlvFtle8
can be analysed as follt)W$'.
Paytr¢nts lo The ch1￿￿6n,$ Hospital Tnjst lin South Africa)
thln the expendlthjrg ltsm8 above the followlng
ltsms are matsrlal.. (please disclose the nature.
arnount and any wlor yèar afflourtsl
Paym8nts to The Chldren's Hospital Trust lin South Af￿al 2021.. GBP 91 781.
2020.. GBP 158 597
CC17a IExGell
2811012022

So¢lion C
Notes to the accounts
Icontl
Noto 7
Extraordinary items
Thls ye
Last y•ar
DescTi
ion
E¥tra¢)rdlnary it•m 1
Extraordlnary item 2
Extraordlnary Itèm 3
Extraordinary item 4
Total gxtrordinary Item$
CC17a (EX￿1)
2411012022

Section C
Notes to thè accoLllIts
Noto 8
Funds r•c•ived as agont
Balanc• hold at
R•lat¢(I party
(y￿ or Nol
Tl48
Th18
Total
I￿￿￿8m8 of paty
Bala￿¢ hold at Flod and
Thts
ear
Totrl
CC17a IExe*ll
24110rI022

Section C
Notes to the accounts
Note 9
Support Costs
Please complete thts note rflhe charity has anatysod Its •xmps•s uslng acfyvity
Support cost
8Xa
le$
Ra1￿￿￿ funds
A¢tivity I
8asi8 of
altocatlon
(D￿￿be
Grnnd tolal
Goveman¢x
Total
Please pmvlde delalts of Ihe accotsnitrng policy adopted
for the apporuonment of costs be(w•Èn actlvities and
any e5timatlon technlques used to calculato their
CC178 (Exc81}
2411012022

Section C
Notos to the accounts
Note 10
Detalls of c•rtain items of axponditure
10.1 F•8s for oxaminatlon of tho accounts
Please provide details ofthg amountpaid forany statutory extemal scrutiny of accounts
and othersorvl¢es provldedby yoUriTndop￿KIent examlner. Mnothing was paKlplease
ent•r il'in the approprfats Iw(&s).
This year
Last yoar
Independ•nt oxamin*s feos
300
300
A33uranca s•rvices othorthan audil or indewidont examinatlon
Tax ad￿sory fees
Olhèr fees (for examplo: financial advlc•, ¢onsyttancy. accountsncy sorvlces) paid to the
IndeP￿d￿nI mminer
CC17a IEx¢o11
24110r20t2

Section C
Notes to the accounts
(cont)
Note 11
Pald employees
Please complete thls not• if the chanlty has any em￿oyees.
11.1 staff Costs
Thls year
Last year
Salarl•s and wagès
Social security ￿sts
Pgnsion costs (defined eontrlbutlon $chem•)
Other employga ber
8.684
8.958
Total staff costs
Please provide detsils of expenditure on staff working for the charity
whose Contracts are with and are paid by a related party
nla
Please glve details of the number of employeos whoso total employee benefits (excludlng employwpension ￿$ts)
fell withln each band of £10.IXIO from £60,000 uiAvard& Kthere are no such transactlons. please onier true'ln the
Ix>x pmvld•aT.
No employees reeelved employee bgnefrts lexcludlng employer
pension costs) forthe rnporiing period of more than £60.000
YRUE
Band
É60 000 to £69 999
£70 000 to £79 999
£80 000 to £89 999
£90 000 to £99 999
£100 000 10£109 999
Number of 9m
lo
ees
Please provlde thg totsl amount paid to key
manag•mènt personnel {tncludes trnstees
and senior manag•mentl for their sarvlces
to the charity
112 Average head count in thé year
The parts of the charity in whlch the
gmployeos worf(
Thls year
Number
Last year
HuM￿r
Fundr4lsln
Total
11.3 Ex-grntia payments to employees and others {exGluding trust￿)
Please coinwe rfan eX￿ra￿aPaYMent is made.
CC17a (Exc811
2411012022

Pleue oxpl8in the naturo of thé payment
Please stste the legal authoTity or roason
for maklng the payment
Pleaso slate the amount of th¢ payment (or
value of any Yrniver of a right to an asset)
11.4 Redundancy paymgnts
Total amount rf paym•rt
The nature of Iho paYrne￿ (cash, asset
The oxtent of redundancy fundlng at th&
balance sheet dale
Pleas8 stat8 the ac¢ountlng pollty for any
rgdundancy or temiination payments
CC17è (Excel)
24110r2022

Section C
Notes to the accounts
(conti
Note 12
Deflnod Contrib￿l￿n pension sch•me or defin￿ bonelit s¢hem• accounted for as a
definod contrlbullon schemo.
Amount of contributlon5 rewls•d th the
SOFA as an 8xpense
Pl83$• oxplaln the basi8 for allo¢allng tho
Ilability and expènso of d•fin•d
ontributlon pension $¢hem* batween
unrnstrlctod fund8.
Please confimi that 3ltOUgh the scheme is
accounted ft•ra5 a IlBfingd contrltjulion
plan. ft a defined benefft plan.
Please provide suth Infomwtlon a5 i¥
avallable aboth the plan¥ surplus or dglldt
and thg Implicatlon8. If any. for the
reportlng chartty
D•8¢Tlbe th* ext•nt to vthtrh the Charity
can be liable to the plan for other antit￿9.
obligation5 under thè terms and ¢OFKlitions
of the multi*nwloy•f plan
CC17a IEKdl
24110r2022

Section C
Note5 to the accounts
Icontl
Moto 13
Grarrtmaklng
charflable o¢HvlUes undertakèn.
13.1 Anatysls of grants peld Ilncluded In cost of charilabh adlvltlesl
Grants to
indlvidual$
AnalY￿S
GFant8 to in6111utlon8
rt costs
Total
The Chi*Jren's Hos
91.781
or
Tolal
91,781
91.781
132 Grnnts mad• to ins11￿tIOnS
My charfty has made grnftts to p8rttcu1arinsll￿￿OnS th*t dre materialln 1fv8
contemtoflts gr8nlmaklng. D8t•lts ollhe instllulion supported. puwe of Ihe
gr8nl and lol•lpald to each Insknn ts •vaHable on th• charlty* web 5fte.
Pleasepm¥id•
etalts of ch8rity's
URL
ProTride detaits
Names of insthution
Purpo
Re9i$tereil NPO, adva[￿ing child heaMhcJr8
through the Red Cr05s War Memorial
ChildTEF)'s Hospital
Totsl amount ol
rants ald £
91.781
The Children* Hoswfal Trust lin Soulh Af￿￿)
OthfjrunanalysodgARts
TOTAL GRAKfSPAID
91,781
CC17È (&cdl
241t¢ir2022

Not• 14
Tafigkntofixed a$￿ts
14.f Costor
OthvI￿d 4
r4
Tranth *
Al•Softh8
142DvweelH¢knn
SLorRB
SLorRB
&tyRB
8LorR8
SLtrR8
StsWtLkne
Ix'i
At clth8yew
Impmrrt
TRnths"
1&13 N•t btokv4lu•
Nei vakneththe
ofthe year
ValueJtlhe
14.6 fAhwdkndoswqs
CC17alExc4

Section C
Notes to the accounts
Note 15
Intangible assets
Please compkte this not• rftho charfty has any Intanglble assets
15.1 Cost or valuation
Research &
development
Patents and
trademarks
Other
Total
At beginning of the year
Additions
Disposals
Revaluations
Transfers .
At end of the year
15.2 Amortlsatlon and IMpalm￿nts
-Basls
SLorRB
SLorRB
SLorRB
SLorRB
Straight Line
{"SL"l or
Reducing
Balance {'RB")
Rate
At beginning ofthe year
Disposals
Amortisation
Impaimient
Transfers.
At end of year
15.3 Not book value
Nat book value at the
beginning of the year
Net book value at the
end of the year
15.4 A¢¢ounllng pollcy
Please thsclose the accounthigwicy for intanglble flxed assets Including."
rates
CC17a {Excell
24110r2022

Policles for the recoqnltlon of any
capital develOpn￿nt
15.5 Impalrment
Please provlde a descrfption of the events and
circumstances that led to the r6cognition or reversal
of an impairment loss.
15.6 Revaluation
If an accounting of r•Val￿tion is adopted. please prDvido."
the efffjct￿ date olthe rnvaluation
the naffte of independent valuer. ff appllcable
the methods applied
the carying amount that would have been
recognised had the assots beon carried under th•
cost model.
1&7 Other disclosures
(l) If your intangible asset was acquireol by way
9ran¢ provide value on Inltlal recognition and
anylng anK)Unt of the ass
(il) D•talls of the canylng amounts of any
Intanglble assets to whkh the charfty has Trstrlct8d
tllle or that are pledged as security for liabllities.
(iii? Please pmvide the amount of ¢ontractual
commitinents for the acquisltlon of intangible asséts.
(iv) Stato tho amount of research and I18volt>pment
(vl) Please dotail the headlngs In the SOFA in svhich
a charge amortlsation of intanglble assets is
included.
i) Foranymaterial Intanglble assets, please
provide a des￿lp￿0n, its canying aft￿nt andany
renmining amortlsadon pertod.
. The 7rdnsfers' ￿)W is formovements belween fixed asset categories.
Please indicate the method of depreciation by deleting ffte method nol 8pplicable (SL - straight line,. RB
reducing balance). Also please indicate the Trte of d9pre￿atrt)n.. for straight line. what is the antithpated
life of the asset (in yearsj,. for reduong balance, what is the peffjentage annual deducticjn.
CC17a {Ex(*l)
2411012022

Scction C
Nots 18
Horltagg ass8t¥
111 Explqln thD nattff•*￿ 8¢•l•of
Explainth• poH¢y far the
1¢2 Cojl Or￿Uall0n
Toial
A*begiM￿O￿tr￿ye
Athlthr
(lisrxMI¥
Rthiv*iDr
A1¢ndrfthe￿r
SWI Llno
I"SL'lor
R8duung
Bal￿e
Att*Gknniw oFthoy*r
T¥arth'
Atwdofyegr
16A 14Et bookv*￿￿
Nal bwk vah*81 th&£w"nrknJotlhe
Nèt1X)￿ valu•*
18J Imp•lYmont
16.6 R•vawti
CC17A IEKcdl

6￿￿pA
¢8frying *IVJUM8tthè t*4Mir￿ oflhe
thtion$
amotml al the l￿￿￿[￿j
(Q E4)Iwln wpaEOR why heiitage
ISJI D•sctho thp$W¢•nre ¥&*r•
In a$s*ssthpthe¥ah￿ Ofhe* ¥8ets.
14vI Ewitn th# rBasonwhyttJg tyot
praGtkabJ•tool*•lTravAlvabDn
lJgE a*8•ts.
2015
2013
2012
Gr¢upA
Group B
Q￿pe
G￿jpA
GrwB
Gr(XdpC
oth
TotaladdMlon$
Grtyjp A
&oup B
Grwpc
SI￿PA. ¢*ryiig 8rr¥Ju
Gr(xw B. ¢?￿n9 •D)Lrd
GroJpC
Total dwp05*
eo17& IEx(xll

Flotv 17
s*d
I￿￿)Y#l￿at L¥gIr￿r¥
30291
L•89: LI¥05dsal (¥[￿ry ¥du
5D,654
ryw (tsrlvth4tgndrfy8ar
thhgrJnw•&¥Mnts
Tot•1
17.3 l1ywrd￿rhykn1￿S4nwa$kn￿￿t1w￿peV1lrt plw compl•l•th• folh)¥wing nots..
h•ld ¢b•r
prry•rty
(Vdl Pr•w• dtWbofany r*•trtth￿¢￿Ih* atymty
Ilvl ExrAakn •fORtrac¢uAl<t41qthMft*rth•
CC1791

Lwlyur
hvr Inves1rn•Thts
ry1*lptooroh tsthaK￿athlrOPWty
rnj
17.7Addlttowllthrmall(
knw•5tsnBotstr th•¢h•Ws finan¢thl po•ltkni LY
ce •9. IBrnisand ¢ond￿nn￿Of1￿ll•0l￿
Fwa¥ m•Bsur&Jatts*valuth,t￿

Section C
Notes to the accounts
Icontl
14ote 18
Sto¢ks
1&1 Please slalo the c¥rtyn9 amount of stock and In pmgrgs8 aTralysed between acllvitles.
Stock
Donat￿ goods
For
d{strfb￿i0n
For resale
Work In
progr
For
distrlbutlon
For rosale
Chaiitable activltles".
Owning
h￿￿￿ed
Closlng
Other tradlng aelivltres:
Openlnq
Add8dln pwlod
Exp•ns8din
Closing
Other:
Op•nlng
Impalr8d
Closing
Total this year
Totalprevious year
18.2 Please speclfy the carrying amount of any
stocks pledged as security for Ilabllltles
CC17a (EX￿$)
24110r2022

Section C
Notes to the accounts
Icontl
Nots 19
Debtors and prepayments
Ploase coiiiplets this not• rfthe charity has anydebtors
19.1 Analysls of d•1
This year
Last yèar
Prepayments and a¢crued Intome
10,796
rotal
10,796
Please complete 19.2 a matenal debtorls recoveral4e more ¢IMn a yearafter tha reiwtlng dat•.
192 Analysis of delrtorn rocoverable In mrye th•n 1 yw (Included in debtor5 above)
Thls year
Last year
Trade debtors
Prepayments and ac¢rugd Income
Other debtors
Totsl
CC178 (Excell
2411012022

Section C
Notcs to the accounts
Icontl
Note 20
Credltors and accruals
20.1 Anatysis of ttedttorn
Amounts falllng due within
one year
This year
Last year
Amounts falling due after
moro than one year
Thls year
Last year
A¢cNals for grants pay
Bank l¢)ang and ovordrafts
Trade credttoys
Payments ro¢&ivod on account for contracts or
pèrfomianc¢wrelated grants
Ac¢ruals and deferred in¢ome
Taxation and social security
Other creditors
3(Xl
Totsl
3CK)
300
20.2 Def•rred Income
Please ex
lain the reasons wh In￿Me is defened
This year
Last year
Balancg at the start of the reporting period
Amounls added In current period
Amounts raleased to income from prevlous periods
Balance at thé end of the reporting period
CC178 (Exixll
24111Y2022

Section C
Notes to the accounts
Note 21 Provisions for Ilabllilie5 and charges
Please complete thls not• rfyou havg indud8d In charfty 8Xpen￿tUre anyprovlsions. A prowsion is made the
elh￿'ty has a Ilabllity olunwtain ￿ming or•mwiL
Icontl
21.1 Plèase provide:
- a brief des¢riPtion of any obligations on thg balance
sheet and tho expectéd amount and timing of resulting
payments,.
- an indlcatlon of the unc•rtalntlos al)0￿ th8 amount or
timlng of those outllows: and
- the amount of any expected relmbur59men( stating the
amount of any asset that has been recognls8d for that
expe¢ted reimbursement.
21.2 Movgmènts in r8¢ognised provisions and fundlng commitment durfng thè period
This year
Last year
Balance at the start of th• reportlng poriod
Amounts added In current period
Amounts charged against tho wovislon In the currenl wlod
Unused amounts reversgd duriwJ the period
Balanc8 at the ènd of the reporting period
21.3 For any funding commitmont that is not retognisgd
as a liability or provl$ion. provide d•tall$ of c¢mmltment
madè. tha time frame of that ￿mMItment. any
pwfomian¢e-related condillons and detalls of how the
commitment wlll be funded (with contracts for capital
oxpendilure separatety Identified).
21.4 Whtto unT08tricted funds have been deslgnated lo a
fund ¢ommitmènt, please disclos• the nature of any
amounts designatgd and the Ilkety timlng of that
•xpenditurg.
CG17a IExc*l)
24110r2022

Seciion C
Notes lo the accoLIIIIS
Icontl
Ilot• 22 oth0rd￿ClosUr•s lor d8tst￿ and othor b•slc Ilnanclol Instru•nbnts
22.1 PIAa&e Infvrmatton almt the s1grtrfl¢an¢o of
flnan¢LgI Ingtruimnts le9. 41*btorn. ¢v•dhoT8, Inwlrnenls
etcl to the charlty's fin*￿0a1 posltioo or perfomMnc•. for
exanbplo. tho and ¢4*￿it[On$ ofkn•nB ortho of
t￿1￿9 to manago financwl r&
222 IfthA charity has prowthl financl•1*5aets a8a lomi
of sgcurlty. tho carrytnu amountof financtal a8setS
Its pledurtsIMuFd b•
¢C178 IEMc&
2411(￿02?

Section C
Notes to the accounts
Note 23 Contingent liabiltties and contingent assets
Icontl
23.1 Contlngent liabilttlas
Vhere the charlty has contingent Ilabilllities> pl•ase completo thè follvwlng se￿On unloss th• posslblllty of th•ir
exlstsnce is remote,
ooscriptlon of item includlng Fts legal nature. Please
descrlbe any security provrded in connedlon to the
Ilability.
E5￿mate of financial èffect
23.2 Crmtingent assets
Wlwre the charty has Gonllngent ￿sIts, pl•a5e compl•te the followlng section wh8n thgir exlstence is wobthle
Descri
on of item
Estimatg ol flnancial effect
23.4 Other dlsclosures for ¢ontlng•nt assets andlor Ilabilltlès
Please provide the followlng informatlon where practicable:
Explain any uncertainli•s rnlaling to the amouth or tlming
of sgttthent and the posslbljty of any reiml>ursement
Whère It is not practical to make one or morg of11
dl$¢losur8s. please state th&$ fact
nla
CC17a (Excell
24110r2022

Section C
Notes lo the accounts
Cash •t bAnk in hand
Last yew
$￿terM cash than 3 maknKy dats)
sh￿tte￿ depo81ts
C*Eh atbank and on hand
Totsl
30.291
CC174 (Exc41
24110r2022

Section C
Notes to the accounts
(cont)
Note 25
Fair value of assets and liabllltles
25.1 Pl•ase provido detalls of thfr charity'$ exposur• to eredit
risk Ilhe risk of Incu¥ring a loss dug to a dèbtor not paying what
is ow•d). liquidity risk (the rfsk of not b•ing abte to meèt short
term financial demands) and mark•t risk Ith• ri•k that the value
ol an Inv•$tmgnt wlll fall due to changes in the market) arising
from financial instruments to which the ¢harity is &Mposed at
the end of the rnporting p•riod and explain h￿• the charity
manages thos• risks.
252 Please giv• d•lails ofth• amouftt of change ITh the falr
valu• of basic financlal Instruments {dÈbtOT5. creditors.
In￿stMents(sOe section 11. FRS 102 SORPI) measured at fair
value through the SOFA that 15 a￿lI￿￿ble to ¢hanges in credlt
rls
CC17a (EX￿1)
2411012022

Section C
Notes to the accounts
{cont)
Note 26
Events after the ond of the rep(Ytlng period
Please complete this note events (notrequlrlnp adjustment to the accounts) have occuffed after tho end of
the r•pothng period but beftlre the accounts are autI￿rISed whleh relate to condttions that arose after the
end ofthe ￿p0￿"n9 p￿￿.
Please provide details of the nature of the event
nla
Provlde an estimate of the financial effect of the event or
a statoment that such an estimate cannot be made
nla
CC17a IEx(a)
2411012022

111111111111
111111111111
111111111111
111111111111
111111111111
111111111111

11
111111111111
111111111111
111111111111
111111111111
111111111111
111111111111

Section C
Notes to the accounts
Charfty funds (conl)
Icontl
Note 27
27.3 Transfers between fvnds
R•ar*on for transfer and where •ndoMiient is ￿Narted to Income, legal
power tor Its convarsion
Belween unrestricted and
restrict&l fijnds
Amount
Between endowmert and
restrth lunds
Between endowmert arHd
unrestrscted funds
27.4 Desi
natsd funds
Planned use
Pu
so of the des
nation
Amount
CC17a (EX￿1)
2411(Y2022

th4TGWyOr•￿•ththifjty1rn*urF*l>
Ir¥J•
Th*y•
Trrni
TOTAL
TroIF
￿￿8a￿r4%)
CCllsiE

INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES AND MEMBERS OF
THE CHILDREN'S HOSPITAL TRUST SOUTH AFRICA
I report on the accounts of the Trust for the year ended 31 December 2021, which are set out on pages 1
to2.
Respective responsibilities of trustees and the examiner
The charity's trustees are responsible for the preparation of the accounts. The Charity's trustees consider
that an audit Is not req u ired for this year under section 144121 of the Charitie5 Act 2011 Ithe 2011 Act) and
that an i ndependent exam i nation is needed.
It is my rcsponsibility to:
examine the accounts under section 145 of the 2011 Act;
to follow the procedures laid down in the general Directions given by the Charity
Com m ission under secti on 1451511bl of the 2011 Act: and
to state whether particular matters have come to my attention.
Basis of independent examiner'5 report
My examination was carried out in accordance with the General Directions given by the Charity
Commission. An examination includes a review of the accounting records kept by the charity and a
comparison of the accounts presented with those records. It also includes consideration of any unusual
items or disclosures in the accounts, and seeking explanations from you as trustees concerning any such
matters. The procedures undertaken do not provide all the evidence that would be required in an audit,
and consequently no opinion is given as to whether the Accounts present a 'true and fair view, and the
report is l imited to those matters set out i n statement below.
Independent examiner'5 Statement
In connection with my examination, no matter has come to my attention:
which gives me reasor)able cause to bel ieve that i n any material respect the requ irements:_
to keep accounting records in accordance with section 130 of the 2011 Act; and
to prepare accounts which accord with the accountin8 records and comply with the
accounting requirements of the 2011 Act.
have not been met,. or
21
to which, in my opinion, attention should be drawn, in order to enable a proper
understanding of the accounts to be reached.
Signed:
MRS R WALDEN FCCA
BERRY ACCOUNTANTS LTD
CHARTERED ACCOUNTANTS
BOWDEN HOUSE
36 NORTHAMPTON ROAD
MARKET HARBOROUGH
LEICESTERSHIRE
LE169HE
Dated: Ji acu).