REI GISTERED COMPANY NUMBER- 07604847 {E4 ngland alld Wales)
REGISTEI RED CHARITY NUMBEIR- 1141904
REPORT OF THE TRUSTKES AND
UNAUDITEI D FINANCIAL STATEMENTS FOR THE YEAR ENDBD 31 MARCH 2025
FOR
WHITE HOUSE CANCER SUPPORT LIMITEI D
BlackthortJ5
Chartered Accountants
Admiral House
Waterfront East
Bi'icrley Hill
West Midlands
DY5 IXG

WHITE HOUSE CANCER SUPPORT LIMITED
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR EI¥DED 31 MARCH 2025
Page
Report of the Trustees
Indepelldent Examiner's Report
Staten]ent of Finaii¢ial Activities
Balan£¢ Shect
Notes to the Financigl Statements
10 to 20
Detalled Statement of Finaneial Aetiv5ties
21 to 22

WHITE HOUSII CANC£1 R SUPPORT LIMITED
REPORT ofi THE TRUSTEEI S
FOR THE YEAR ENDII D 31 MARCH 2025
The knwstees who are also directors of the charity for the puryose5 of the Companies Acl 2006. present their report with
the fEnaiicial statements of the charity for the ycar cndcd 31 Mairh 2025. The Irustces have adopted the provisions of
Accountiiw and Reporting by Chai'iti¢s- %tatemcnt of Recommended Practice applicable to charities preparing their
accounts in ac¢ordan¢e with the Financial Reporting Standai'd applicable in the UK and Republic of Ireland (FR8 102)
(effertive l January 2019).
OBJEcfivES AIYD ACTIVITICI S
Objectives and aims
Thc objectEves of the charity are to relieve cancer patients, their family and friend5, throu￿ the ts'aun￿. diagnosis atkd
treatment of ¢an¢ei by the provision of practical help and emotional support, and to f￿ther the knowledge alld
understanding of cancer, its treatment and its effects on individuals both clinically and psychologically.
Signifieant &etivitie5
In pl8nning o￿t activities for the year we kept in mind the Charity Commission's Euidance on publi¢ benefit at our tnjslee
meetings. FurthetmoTe, any activities undertaken, oi. services delEvered were carried out in accoi"dance with HM
GoveiThnent's and NHS guidance around the need to protect and safeguard individuals from any threat including the
IE-occurrence of pandemics such as Coronavirus.
We are a local chai'ity providing bespoke 1-2-1 practical and emotional support to cancel. patients and those who care
for Ihem. StrviLes include home to hospital transportation, counselling including bereavement counsclling,
complementary theiapies, peer 5UPPOIt wups, health and social activities. infornJation & support 5ei'vices including
prevention and befriending suppoit. All servicE5 are delivei'ed by a small t)umber of paid employees and a dedicated
team of 48 volunteers.
With the exception of the Irallsport service, which 15 available to Dudley I'esident5 or those I'egistered with a Dudley GP
only, services Are available to all cancel. patients and those that care for them withtn the Dudley Metropolitan Borough
and the surrounding areas of the Black Country.
Public benefit
The Trustees have cotnplied with the duty in Sc¢tion 17{51 of the 2011 Charities Act to have due regard to guidènce
published by the ChaTity Commission in respect of public benefit and in plallning the activities foi. tlie year, have kept
thi5 in mind.
Volllnteers
During the period the chaj'ity i'eceived help fi'om lh¢ followillg number of people..
2025
2024
Admillistration and geneixl
Tran5POIt
Thei'apy and counselling
18
17
16
19
18
Additionally. during the financial yesr 2024 2025, chality received on-site volunteer sUPPOrt from 90 indÉviduals
working foi. Marsion's Birwery who for one day during the period, helped to r¢fui'bi5h and re-decciizte White House
Cancer suppoi'l premises.

WHITE HOUSI CANCER SUPPORT LIMITED
REPORT OF THE TRUSTEEI S
FOR THE YEAR EfiDED 31 MARCH 2025
ACHIEVEMEINTS AYD PERFORMANCE
Charitable activitie5
Tkn'ough com]nissiolled service. the chai.ity continue$ to r¢¢civ¢ financial support froin the Black Coulltry Ktttegrated
Care Services IICS) and local [ntc￿atcd C,aiE Raard {ICB) for the hotne to hospital transportation serviee. la addition,
with funds reeeiv¢d fr0in the NH%IBla¢k County Mental Health Service thi'ough Dudley Talking Therapies Plus
Pi'ogramme, during the financial year, the charity received project funding to help relieve emotional pirssui'e and lo
suppoit the wellbeing Df those &ffected by a cancer diagnosis. Fuithermore, from the National Lottery fvnded illitiatiwe
'Healthy CommunitÉes Together" we continued to receive funds to colitinue our work in addresssng health inequalities in
cancel. services for various Communities and late March we were nationally recogni5ed for this work, by winning with
our Blatk Country Partners, the ICR/Macmillan Award "Going Above and Beyond" awai'd. Flllther ta this &ward, our
Transport Valunteei. Di'iver Sei'vices, woll (he runners up T¢am Awaj'd foi. Dudley borough-
Moviag forward, both health inequalities and the provision of emotional support will continue to ￿ a priority for the
charity. Through existing &chievement%, we strive to receive further funds from NFIS Commissioners to support the
continuation of our existing work and services. During the next fiiian¢Éal year, we will be developing and disseminating
a Collsultation with both existing and new customer5 to ensure that all current sei'vices continue to meet the needs of
customers and where necE5sary, depending upon the views of customers, will be will looking to develop both existittg
aTrd potentially providing new services.
Where appi'opi'iate, we will continue to se¢k new and addilional fvnds including the potential leasing out of the lower
'ound floor of the PlEtnises and in arLurdance wittL our objective& all money raised will be used to pi'ovide continuous
support to those affe¢tEd by cancer.
GDPR and Data Processin¥
The charity's cloud-based customer relatiottship management database (CRMI eontinues to be fully opciational aiid has
significaiitly reduced the need to r¢taiii paper-based records.
The System Tneets all national data protection
requirements.
FINANCIAL REVIEW
Financiol posilioii
Tile fuiids of the charity at 31 March 2025 wei'e as follows..
General Fund (re5iduel
Designated Fund (for iinprovements)
Restricted Funds (various)
Endow]llcnt Fund-(property)
133,783
225,000
31,818
27S,167
668,268
During the previous financial year the charity had a finaiicial deficit linked pi'imarily to continuous in¢r¢ases in the cost
of living and particulaTly, the high ¢05t of overheads for the charity and despite trying to seek additiOEJal fi]nding from
oihei. 50urce5 including continuing to receive wide public 5llpport including, regular donatioIis from individuals,
legacies, coi'porations etc., we do envisage thi5 siknalion to continue for sonLe tiine 10 come. Additionally) amongst
themselves, chaiities are experiencing giEat¢r competitiun for funds both locally and nationally and coupled with highei.
business costs such as increases to naiional in5urancE etc., greater demand in genei'al on all services, the overall picture
foi all charities including White House Can¢er Support reniains challenging. Moving fonvard. the Charity will cotttinue
to del2ver all cutlEllt Projects alld will work with the ICB and other partnejs to meet dei*and where and when
possible. Fui'ihermore, we will contiftue to seek alternative fvllds oi. source alternative solutiotts to support the oyerall
sustainability of the ehariLy and the services it pi'ovides for those affected by cancel..

WHITE HOUSE CANClf R SUPPORT LIMITEI D
REI PORT of< THE TRUSTEEI S
FOR THE YEI AR ENDED 31 MARCH 2025
FfNANCIAL REVIEW
PrinLipail funding sources
The National Health Service continue5 to undergo many changes and challenges howev¢i', with respect to the
commissioning of services, the focus continues to be centred on both sy.%tcm and place-based services with local sei'vices
beit]g procured and coinmissioned through the Black Counby ICB oll b¢half of local people. Cancel. continues to be one
of the niain priorities of the health servi¢¢ and although to dale, by working wilh NHS gnd Volulltary Sector partners we
have achieved many great outcomes, particularly with respect to ra15ing awareness of both breast and lung cancers,
locally there al'e various cancer priorities and much tnore work to do in respect of raising awareness of all cancers,
scIEening opportunities and pi'oviding phy5ic&I and emotional support for all communEties continues. From a sei'vice
pej'spective, White H(>use Cancer Support transport services continues to receive an atmual grant from the NHS plus,
due to increasing demand for emotional SElPPOrt, NHS funding has L7een received in the fLnallcial year to help pay for our
COLU)selling service du¢ to the success of this project, we are hopefvlly that this funding will continue for the
foresccablc future.
Additionally, we currently continue to receive funding from the Healthy Cornmunities Togethei. pro￿.8mMe to help us in
OUT fight to address health lliequalities and ￿8￿1￿, mucli of the success of this PFoject can be measui'ed by the incieasing
number of people Etttending appointments and by the number of traiTred cottkmunity and GP housed cancer champions,
opernting and supporting various communities across the borough and we are hopeful that due to the success of this
woi'k, more lottery funding through the Healthy Communities Together Progi"amme will follow. Oyei'all, the greatest
gUPPOlters of White House Cancel. Support contlljues to be the general public and local businesses living Lind operuting
in and aiDund Dudley. Without tl)eir linancial support we are in Do doubt that the Lhai'ily would struggle to continue to
suivive however, we recognise that the generosity of ihe public at Idl'¥e 15 only forthcoming because of the services &nd
support the charity has and continues pi'ovides to the peDple of Dudley and beyond.
Inve5tfflent policy gnd objective5
The Memorandum & Articles of Association for the chai'ity authorise the trustees to make and hold investments using
general funds of the chai'ity. Accordingly, lega¢ies re¢eived in iecent years are invested thi'ough Bi'ewin Dolphin, based
in Binninghain, on behalf of the chai'ity and ils members, and continiie to earn highe¥ retunjs than would be gained
through ￿nveSting the ￿ndS with Hi¥h StÈtet Banks.
R¢5erve5 policy
It is boai'd policy to atte]npt to maintain a cash iTserve equivalent to at least a year's potential expenditure.
Goiiig eoiieern
The charity has E)0 potential problems in continuing its a¢tivitie5 Iri the tnedium terrn and has I'eseyves available to meel
and address any contingencies that tnay occur. It 15 envisaged that the cost of living impact and other thieals either
Iwally. nationally internationally will continue to cause a crisis in FUlld￿ng for all charities including White HDuse
Cancer Suppoit, p8niculai.ly in respect of our investments and the amount the ch&rity eam otT these inve5tm£nts. The
Board of Directors along with the Chief Executive Officei., will Continue to tTroTritor any potential threats.
FUTURE PLANS
In line with the chai'ity'5 cul'rent business plan. where possible we will co￿tinUe to diversify and expand Service provision
to meet client deTnand. Our contract foi. the tt'ansport service has recently been I'enewed by the Black Country ICB and
we will continue to meet the requireinents ol this service. Due to tlie Current 5UCCeS5 Of our recent partnership with
Dudley Talking TheiapiES Plus, we envisage the ¢ontinualion of this Service to help meet the einotional distress a cancer
diagnosis can bring. Additionally> alongside NHS and voluntary 5¢Ctor colleagues. we will continue to w(Trrk within the
Hcalthy Communities Together project in order to address health inequalities foi. all commi￿lties. We will continue to
asse55 the needs of both those affwted by cancer and the suitability of Wh5te Haus£ services and premists to ensure we
are meeting the needs of all.
STRUCTURE, GOVERNANCK AND MANAGEMCNT
Governing dDeuEllent
The chaTity is contt'olled by its goveming docuinenl. kn'iicles of Association (aTllet)ded pursuallt Lo a special resolutioll
dated 16 September 2014}, and constitutes a li￿lted CDmpany, limited by guarantee, as defined by the Companies Act
2006.

WHITE HOUSE CANCER SUPPORT LIMITED
REI PORT OF THE TRUSTEI ES
rtOR THE YEAR ENDED 31 MARCH 2025
STRUCTURE, GOVERNANCE AND MANAGEMENT
Recruitmet]t and Appuintmeiit of neiv trustees
Trustees aiE usually appointed by the board during the year, subject to election by members of the Company At the next
Annual Getkeral Meeting (AGM), and then for a term of thi'ee Ye￿￿.
Organisational structure
Th¢ working names by which the Chrity is also known are, White House Cancer Suppoil, Cancer Support Dudley,
Dudley Cancer Support and C&neer Siipport.
Indu¢tion and ti?inillg of new truslecs
A Trustee indutiion pack is available to all new trllstees. Throughout their term in otTice, trustees have th£ power to
invitc p()tcntial trustees onto the board, however, all trustees are to be elected by the members at the following Annual
Genei'al Meeting.
Key management remuneration
No (rustee receives any remuneration, but all professional staff are pttid and have the opportunity to be included in the
charity pension scheme.
Risk managem¢HI
I'he trustses have a duty to identify and review the risks to which the charity is exposed and to ettsure appropriate
controll are in place to provide reasonable assurance against fra5]d and error.
The charity contis]ues to pui'cha5e insurance for the truslees and 0￿]cerS of the eharity ggainst liability arising from
wrongful act5 in relation to the chaTIty.
REFERENCE AND ADMINISTRATIVE DETAIIS
R¢gister¢d Company number
07604847 (England and Wales)
R¢gi5tcred Charity number
1141904
Registered office
The White House
10 Ednam Road
Dudley
West Midlands
DYI IJX
Trustees
Mi's T Beese (resigned 13.1.25)
Mi's D R Brownlee
M P Day C8teJ'er
Miss J L Emery
5NGFojan
G P Singh
Ntrs L Smith (appointed 6.12.24)
Company Secretary
Ms C fvl Webb

WHITE HOUSE CANCER SUPPORT LIMITED
REPORT OF THE TRUSTEI Ci S
FOIi'I'HE YLAR CI NDED 31 MARCH 2025
REFERENCE AND ADMINISTRATIVE DETAILS
liidep¢n(lent Exwmlner
BlaikthuTllS
Cliartertd Accouiilants
Admiral House
Waterfront East
Brieiley Hill
West Midlands
DY5 IXG
Staff
Cliief oifi¢er
TrallSPOrt OfficeT
Infoi'matthon ajid Support oificer
CaTolin¢ Webb
Joi) Rebello
Kelly Macchiarelli
Diane Lloyd and Sue Casli (Left 18.10.2024ILeann¢
Dunn (Appoi￿ted 06.03.20251
Rtt¢ptionladMiRistTation officei's
ASSETS HELD AS TRUSTEE FOR OTHERS
The ¢liaritable company acts a5 sole corporate trustee Iwitli trust corpordtion status) in respect of the Whitc House
CallCCI' Support Charitable Trust which holds the frtthold property knowi) as The White House. 10 Ednain Road,
Dudley, Wesl Nqidlaods, DYI IJX from wlii¢h the Chai'itabl¢ ¢ompany oprrates.
The object5 of the White Hol￿¢ Cancer Suppoit Chal'itsble Trust are..
To relieve canctr pali¢￿ts, Ilieir fainilies And tlitir frieiids resident ill tli¢ Dudky M¢tropolilan Borougli aTea and
lleighboui'iiig a￿$. of the trauma of the diagnosis and tre&tmcnt of cancer by the provision of practical help aiid
etnotional support.
- To fvrlher the knowledge and understanding of Cancer. ils treatment atMI its effe¢ts. on the patient and Il*ir f￿￿1[Y and
friezids. IK)th clirtically and psychologically.
These tsbje¢ls ¢oiii¢ide witli thos¢ of th¢ ¢hai'itable G￿Mp￿ty.
The property has been iiieludd in fjxed assets aiid is accouijled for in the reconciliation of ￿lIdS to represent thal the
company Controls and m8tiages the property as ¢orporaie trustee.
i £ Id ..424. and si8n¢d on its behalf by..
Approved by order of the board of triistees on ................................
MissJL

JNDF.PENDlI NT EXAMINER'S REPOH'I I'O THE TRUSTEI ES OF
WHITE HOUSEI CANCER SUPPORT LIMI'fED
Indepcndent ¢xaminer'5 report tts the truste￿ of White House Caneer Support Limited {'Ihe Company,)
I ￿pOrt to the charity trustees on rny examination of the accouDts of the Cotnpany foi. the year ended 31 M￿'¢h 2025.
Responsibilities and basis of report
As the charity's tnistees of the Company land also ils directors far thc purposes of company law) you are responsible for
the pr¢piiratiun of the accounts in accordance with the Irquii'emetLts of the Companics Act 2006 (the 2006 Act,).
Having satisfied my5clf thal the accounts of the Company are not required to be audEted LEnder Part 16 of the 2006 Att
and are eligible for independent ¢xamination. I report in respect of tny examination of your charity's accounts as carried
out under SectKon 145 of the Charities Act 2011 {'the 201 l Act,). In cariying out my examination I have followed the
DiiECtions given by the Charity Commission under Section 145(5) (b) of the 201 l A¢t.
llldependent examiner's st%t¥￿ellt
I have completed my exaTnination. I conf￿rn that no tnatters have come to my attention in cO]￿eCtion with the
examination giving tne cause to believe-
ac¢ountEng records were not kept ￿ respect of the Company as Tequired by Section 386 of the 2006 Act. or
the accounts do not accord with those records. or
the accounts do not comply with the accounting requirements of Section 396 of the 2006 Act other than any
requirement that the accounts give a true and fair view whi¢h is not a matter considei'ed as part of an independent
examination; 02.
the accounts have not been prepared in accordance with Ihe methods and principles of the Statement of
Recommcndcd PTaetice for accounting and reporting by chorities (applicable to charities preparing their accounts
rn a¢coi'dance with the Financial Reporting Standard applseable in the UK and Republic of li'eland (FRS 102)).
I have no concerns and have come across no other matters in eonnection with the examination to which attention should
be drawn in this repoit in order to enable & proper understanding of the accounts to be irached.
Victoria Bra55inglon BA FCA
Blackthorns
Chartei'ed Accountants
Admiral House
Waterfront East
Brierley Hill
West Midlands
DY5 IXG
19 August 2025

WHITE HOUSE CANCII R SUPPORT LIMITED
STATEMEI NT OF FINANCIAL ACTIVITIES
FOR THE Ylt AR ENDEI D 31 MARCH 2025
31.3.25
Totsl
funds
31,3.24
Total
funds
Unrestricted
funds
Restricted
funds
Endowinent
fund
Notes
INCOME AND
ENDOWMENTS FROIVI
DoEJations and legacies
65,856
65,856
70,106
Other trading activities
Investment income
74,078
12,115
16,848
90,926
107,857
12,911
Total
152,049
16,848
168,897
190,874
EXPENDITURE ON
Raising funds
6,772
6,772
6,115
Charltable activities
Social Caie
202,564
11.709
214,273
226,732
Other
13.482
13,482
340
Total
222,818
11,709
234,527
233,187
Net gainsl{losses) on
investments
(4,922)
(4,922)
NF,T
INCOMEI(EXPENDITURE)
175.6911
5,139
170,552)
(42,313>
RECONCILIATION OF
FUNDS
Total funds brought forward
358,783
31,318
278.167
668,268
710,581
T(YT AL FUNDS CARRIED
TrORWARD
283,092
36,457
278.167
597,716
668,268
The notes foi'm part of these financial statement5

WHITE HOUSE CANCER SUPPORT LIMITED
BALANCE SHEET
31 MARCH 2025
31.3.25
Total
fund5
31.3.24
Total
funds
Unrestricted
fuIids
Restricted
funds
Endown]ent
fuIid
Notes
FIXED ASSETS
TangFible assets
10
2,226
278,167
280,393
280,921
CURRENT ASSETS
Debto
Investments
Cash at bank and in hand
2,698
258,855
267,371
2,698
258.855
303,828
7,095
317,224
289,140
12
36,457
528,924
36,457
565,381
613,459
CREDITORS
Amounts falling due within one
year
{248,0581
(248,058)
(226,112)
NET CURRENT ASSETS
280,866
36,457
317,323
387.347
YOT AL ASSETS LESS
CURRENT LIABILITIEI S
283,092
36,457
278.167
597,716
668,268
NET ASSETS
283,092
36,457
278,167
597,716
668,268
FUNDS
Urrestt'Ected
ResliiLltd fLSnds
Endowment funds
15
283,092
36,457
278,167
358,783
31,318
278,167
TOTAL FUNDS
597,716
668,268
The charitable company is entitled to ¢xemption fi.om audit under Setiion 477 of the Compatties Act 2006 for the ye￿.
ended 31 March 2025.
The members have nol Jequired the cotnp8ny to obtain aTr audit of its financial stateinent5 for the yeai. ended
31 March 2025 in accordanee with Section 476 of the Companies Act 2006.
The trustees acknowledge theii. responsibilities for
{&)
ensui'ing that the ch81'itable company keeps accounting records ihat ¢oinply with Sections 386 and 387 of the
Companies Act 2006 and
preparing financial statements which give a true and fair view of the State of affairs of the charitable CgTnpany as
ai the end of each financial year and of its surplus oi. deficii for each financial year in accordance wilh the
requircincnts of Sections 394 and 395 and which otherwise comply with the i'equirements of the Companies Act
2006 I'elating to financial statements, so far as applicable to the charitable compally.
{b)
The notes form part of these financial siateinents

WHITE HOUSE CANCER SUPPORT LIMITED
BALANCE SHEET - Continued
31 MARCH 2025
Tli¢s¢ fillaETrGial stateinejits have beeli prepared in accordance with the provisions applicable to chaTitsble ¢ompanie8
subject to the sinall ¢oinpanies regime.
Th¢ finan¢ial statements Mere approved by the Board of Trnslecs and authorised for issue
..IZ.m. Ao4KISA....gw..L.f.. aiid were 518ncd on its belialf by:
on
The notes fomh parl of these financial stateinenls

WHITE HOUSE CANCER SUPPORT LIMITED
NOTES TO THE FINANCIAL ST ATEMLI NTS
FOR THE YEI AR ENDED 31 MARCH 2025
STATUTORY INFORMATION
White House Cancer Support Limited is a private coJnpany* limited by guai'antee, regi%tcrcd in England and
Wales, registered nutnbei 07604847. Its registered office is The White House, 10 Ednam Road, Dudley, West
Midland5, DYI IJX.
The fin&ncial statement5 are presented in Sterling, which is the fijnctional currency of the company.
ACCOUNTING POLICIES
BA5is of preparing the financial statements
The f￿anCIal statemcntE of the charitable company, which is a public b¢￿triL eILtity under FRS 102, have been
pirpared in accordance with the Charities SORP IFRS 102) 'Accounting and Reporting by CharitEes'. Statement
of Recommended Pi'actice applicable to ohari(ies piEparing their actounts in a¢¢ordance with the Financial
Reporting Standard applicable in the UK and Republic of Ireland ￿R8 102) (effective l January 2019),,
Financial Reporting Standard 102 The Ftn8n¢ial Reporting Standai'd applicable in the UK and Republic of
Ireland, and the Companies Act 2006. Th¢ financial statements have been prepared under the historical c05t
conventioD.
Inrvme
All inLome is recognised in the Statement of Financial Aelivities once the charity ha5 entitlement to the funds, it
is probable that the in¢omE will be received and the atnount can be measured reliably.
Income from Governinent and other gt7nts, whether 'capital' grants OT 'revenue' gronts, is recognised when the
charity has tntitlement to the ￿nds. any perfoi'tnance conditions attached to the gi?nts hav¢ been met, it is
probable that the income will be re¢¢ived and the amount can be measured relEably and is not deferred.
Expeniliture
Liabilities are recogni5ed as expenditure 8s soon as there is a Icgal or ¢onstrmctive obligation committing the
charity to that Expenditui'e, it is probable ihat & transfer of econoinic benefits will be I'eqiiircd in scttlement and
the amount of the obligation can be measul'ed reliably. Expenditure is accounted for on an acciuals basis aiid has
been Classified under headings that aggregate all cost related to the eategory. Where costs ¢anJiot be dtrectly
attributed to particular headings they have been allocatcd to activilies on a bagis consistent with the use of
resources.
Tangible fixed assets
Depreciation is provided at the following aM]u&l l'ates in order to write off each asset over its estimated useful
life.
Non beneficial I￿tereSt in property
Fixtures and fittings
Computer equipment
not provided
IOts/o on cost
33 /0 Oil Cost
All fixed asset iteins above £500 are capitalised in th¢ year of purchase.
The freehold propeity is not dcpreciated because it Is a non beneficial interest as detailed in note I l.
T#xAtion
Th¥ charity is exempt froin corporation tax on its charitable aciivities.
Fund accounting
Unrestricted ￿lld5 can be used in accordanee with the charitable objectives at the discirtion of the trustees.
Designated fiLnd5 al'e funds that the tru5tee5 have designated for a specific purpose.
-10-

WEIITE HOUSE CANCER SUPPORT LIMITED
NOTES TO THE fi INANCIAL STATEMENTS - Continued
FOR THE YEAR ENDED 31 MARCH 2025
ACCOUNTING POLICJES- eontinu¢d
Fund accountiiig
ResÉricted funds can only be used for particular restricted purposes within the objects of the ¢harity. Restrictions
arise wheii specified by the donor or when funds are i?ised for pftrticular restricted purposes.
Furthei. explanation ofthe nature and purpose of each fi]nd i5 included in the notes to the financEal statements.
Hire purchase and leasiiig commiitments
R¢ntals paid under operating leases are ¢harged to the Statement of Financial Activities on a straight line basis
ovcr the period of the lease.
Pen5iQTi Costs and other post-retSrement benefit5
The charitable company operate5 a defmed contt'ibution pension scheme. ContTibutions payable to the charitable
company's pensior) 5cherne are charged to the Statement of Financial Activities the period to which they relate.
Donated goods
Donated pi'ofe5sional seivices and donated facil%ties are recognised 0$ income when the charity has control over
the item, any condÈtSOn5 associated with Éhe donated item have been met, the receipt of economic benefit fi'om
the use by the charity of the stem is prai)8ble and Ihat economic benefit can be measured reliiibly. In accordanee
with the Cliarities SORP {TrKS 102), genernl volunteer time is not recognised in the the financial statements.
Fui'lher ittfoiThation regarding their contribution is included in the Ti'ustees, Ar￿￿￿[ Report.
Oll ieceipt, donated professional gervices alld donated facilities are recognised on the basis of the value of the
gift to the chariry which is the amount the charity would have been willing to pay to obtain services oi. facilities
of equivalent economic bevefit on the open ma￿¢t. a corresponding amount is then iecognised in expellditure in
the period of receipt.
Investments
Investments are shown at fair value.
Cash and eash equivalents
Cash and cash equivalents ui¢lude deposits held on call at banks.
Debtors
Short tem debtors are measured at transaction price. less any impatrment.
Creditors
Short tenn creditors are measured at transaction price, less any impaim)ent.
Liabilities ll) the accounts air for costs arising in the yeai. that were unpaid at the balance sheet date.
Guiiig Concer
The accounts are prepared on the going concern basis as the Charity has SU￿7¢lent funds to meet its liabilities for
more than the nexl 12 months.

WHITE HOUSE CANCER SUPPORT LIMITfi D
NOTES TO THEI FINANCIAL STATEMEI NTS - continued
FOII THE YEAR ENDED 31 MARCH 2025
OTHER TRADING ACTIVITIFS
31J.25
31.3.24
Fundi'aising events
Proyision of services
Sundry income
9,277
76,877
4.772
8,023
81,361
18,473
90,926
107,857
INVESTMENT INCOME
31.3.25
31.3.24
Deposit account intei'est
Cuiyent asset investment
418
11,697
448
12,463
12,911
RAISING FUNDS
Investmeiit managenierjt eosts
31.3.25
31.3.24
Support costs
2,307
2,994
NET INCOMEI{EXPENDITURE)
Net incomel(expenditure) is stated after Chargin￿[credIti￿g)'.
31.3.25
31.3.24
Depre¢iation- owned assets
Othei. operating leases
Independgllt examinatio
1,127
1,620
1,325
TRUSTEES, REMUNERATION AND BENEFITS
There were no (TU5tees' rel￿￿1)er￿tIOn or othe¥ benefits for the year ended 31 March 2025 nor foi. the year ended
31 March 2024.
Trllstees, expense5
Thei'e were trustees. expenses paid for th¢ year ended 31 March 2025 nor for the yeai. ended 31 March 2024.
-12-

WHITE HOUSE CANCER SUPPORT LIMITED
NOTES TO THEI fi INANCIAL STATEI MENTS - continucd
FOR THE YLI AR ENDED 31 MARCH 2025
ST AFF COSTS
The average monthly number of employees during the year was as follows=
31.3.2S
31.3.24
Paid employees
No employees received emoluments in excess of £60.000.
COMPARATIVES FOR THI STATEIVIENT OF FINANCIAL ACTIVITIES
Unrestricted
RtstrÈeted
funds
funds
Endowment
fund
Total
funds
INCOME AND EI NDOWMENTS FROM
Donations aiid legacies
70,106
70,106
Other trading 8Ctivities
InvestMent income
86,827
12,911
21,030
107,857
Tol81
169,844
21,030
190,874
EXPKIYDITURE ON
Raising funds
6,115
6.115
Charitable activities
Social care
213,451
13,281
226,732
Other
340
340
TDtal
219,906
13,281
233,187
NET INCOMEI(EXPENDITURE)
Transfers bttiyeen fund5
(50,062)
27,733
7,749
(27,733)
(42,313)
Net movement In funds
(22,329)
(19,984)
(42,313)
RECONCILIATION OF FUNDS
Total funds brought forward
381,112
51,302
278,167
710,581
TOTAL FUNDS CARRIED FORWARD
358,783
31,318
278,167
668,268
13-

WHITE HOUSE CANCER SUPPORT LIMITED
NOTEI S TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR II NDED 31 MARCH 2025
io.
TANGIBLE FIXED ASSETS
Non
beneficial
interest
Fixtures
and
fittings
Computer
equipment
property
Totals
COST
At I ApTiI 2024
Addiiions
278,167
101,000
10,457
599
389,624
599
At 31 M8rch 2025
278.167
101,000
1,056
390,223
DEPRECIATION
At l April 2024
Ch&rge for year
98,289
1,040
10,414
87
108,703
1,127
At 31 Mai'ch 2025
99,329
10,501
109,830
NfT BOOK VALUE
At 31 March 2025
278.167
1,671
555
280,393
At 31 March 2024
278,167
2.71 1
43
280,921
The non beneficial interest in propeity represents the fiEehold property, The White House, 10 Ednam Road,
Dudley, West Midlands, DYI IJX which is held ￿ a charitable trust known as White House Cancer Suppoit
Chaiitable Trust, with the company a¢ting as the sole corporate tivstee (with ti'ust eorporation status).
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.3.25
31.3.24
Prepayments and accrued income
2.698
7,095
12.
CURRENT ASSET INVESTMENTS
31.3.25
31.3.24
Listed investments
258,855
317.224
The inve5ttnent is with Brewin Dolphin in a managed investment portfolio which is redeemable on demand. It is
stated at fair value at the year ¢nd.
14-

WHITE HOUSE CANCER SUPPORT LIMITED
NOTEI S TO THE FINANCIAL STATEMENTS - eontinued
FOR THE YEAR EINDED 31 MèiRCH 2025
13.
CREDITORS: Amouiyfs FALLING DUE WITHIN ONE YEAR
31.3.25
31.3.24
Bank loans and overdiafts (see note 14)
Trade creditors
So¢i81 security and other taxes
Other Creditors
Accrued expenses
238,811
657
2,344
696
5,550
217,712
2,853
5,496
248,058
226,112
14.
LOANS
An analysis of the maturity of loans is given below..
31.3.25
31.3.24
Amounts falling due within one year on demand..
Bank overdrafts
238,811
217,712
15.
MOVEMENT IN FUNDS
Net
ovement
in fund5
At
31.3.25
At 1.4.24
Unrestrieted funds
General fund
Services and property desig4]ated fund
133,783
225,000
175.691)
58,092
225.000
358,783
(75.691)
283,092
Restricted fund5
Healthy Communities Together Project
Rainbow ￿nd
GyEiae Group
Talking Therapics Plus
15,449
15,869
15,449
16,088
100
4,820
219
100
4,820
31,318
5.139
36,457
Endowffteiit funds
Property held as corporate trustee
278,167
278,167
TOTAL FUNDS
668,268
(70,552)
597.716
-15-

WHITE HOUSE CANCEI R SUPPORT LIMITFD
NOTES TO THI FINIINCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 MARCH 2025
15.
MOVEMENT IN FUNDS- contlnued
Net movement in fijnds. included in the above are as follows..
Ineorning
resources
Resources
¢xp¢nded
Gains and
losses
Mtsvement
i)J funds
Unrestrieted funds
General fund
152,049
(222.818)
(4,922)
(75,691)
Restricted funds
Healthy c.ommunities Together Project
R8inbow ￿lld
Gynae Giuup
Talking Therapies Plus
i 0,000
248
100
6,500
110,000)
129)
219
Loo
4,820
(1,680)
16,848
111,709)
5,139
TOTAL FUNDS
168,897
(234,527)
(4.922)
(70,552)
Comparatives for movement in funds
Net
tnovement
in funds
TraN5fers
betwee
fur]ds
At
31.3.24
At 1.4.23
Unrestricted funds
General fund
Services and pi'opety designated fund
156.112
225,000
150,062)
27,733
133,783
225,000
381.112
(50,062)
27,733
358,783
Restricted fund5
W&tes Fund
Healthy Comtnunities Togeiher Pi'oject
Reducing Health In¢qualities Black
Countsy
Equipm¢nl and refui'bishment
Proslate Cancel. Group
Rainbow fvttd
Bowel Support Group
D Brettell l.ega¢y
Reducing Health Ittequalities Dudley
Borougli
3,500
{3,200)
15,449
(300)
15,449
6,925
1,365
1,703
20,767
789
5,443
(6,925)
(1,365)
(1.401)
13021
(4,8981
15.869
(789)
(5,443)
10,810
700
111,510)
51,302
7,749
127,733)
31.318
Eiidowmetjt funds
Propci'ly held <15 CQtpoI'ate trustee
278,167
278,167
TOTAL FUNDS
710,581
142,J13)
668,268

WHITE HOUSE CANCER SUPPORT LIMITED
NOTES TO THE FtNANCIAL STATEMfi NTS - continucd
FOR THEI YEI AR II NDED 31 MARCH 2025
15.
MOVEMENT IN FUNDS- eontinued
coMpa￿tive net ￿0vement in funds, included in the above are as follows:
Iiieoniing
resources
Resources
expertded
Movement
in fund5
Unrestricted funds
Generdl fi￿d
169,844
(219,906)
(50,062)
Restrieted funds
Wates Fund
Healthy Communities Together Project
Prostate Cancer Group
Rainbow fund
Reducing Health Inequalities Dudley
Boi'ough
13,200)
14,881)
1302)
14,898)
(3,2001
15,449
(302)
(4,8981
20,330
700
700
21,030
(13,281)
7,749
TOTAL FUNDS
190,874
(233,187)
(42,3131

WHITEI HOUSI CANCER SUPPORT LIMITED
NOTES TO THE FINANCIAL STATEMENTS - Continued
OR THE YEI AR ENDEI D 31 MARCH 2025
15.
IVIOVEMENT IN FUNDS- continued
A ¢urreDt year 12 months and prior year 12 months combin¢d p051tion is as follows:
Net
Transfers
between
fllnds
movement
in funds
At
31.3.25
At 1.4.23
Unrestricted funds
General fund
Services and property designated fund
156,112
225,000
(125,753)
27,733
58,092
225,000
381,112
(125,753)
27,733
283.092
Rpstricted fllnds
Wates Fund
Healthy Colnmunities Togethei Project
Reducing He&lth Inequalities Black
Country
Equipment and re￿l'bishMent
Prostste Cancer Group
Rainbow fund
Bowel Support Group
D Brettell Legacy
Reducing H￿[th Inequalities Dudley
Borough
Gynae Group
Talking Therapies Plus
3,500
(3,200)
(3001
15,449
6,925
1,365
1,703
20,767
789
5,443
{6.925)
{1,365)
(1,401)
{302)
{4.679)
16.088
(789)
(5,443}
10,810
700
100
4,820
{11,510)
100
4,820
51,302
12,888
(27.733)
36,457
Elldowment funds
Pi'operty held as corpoTate trustee
278,167
278,167
TOTAL FUNDS
710,581
1112,865)
597,716
18-

WHITI HOUSI CANCER SUPPORT LIMITlli D
NOTES TO THE FINANCIAL STATEMENTS - continued
OR THE YEt AR ENDEI D 31 MARCH 2025
15.
MOVEMENT IN FUNDS- etsntinued
A current yeai. 12 Tronths and prior year 12 months combined net movement in funds, included in the above are
as follows..
Incoming
resources
Resource5
expend¢d
Gains an
105ses
Movem¢iit
in funds
Unrestricted funds
General fund
321,893
(442,724)
(4,922)
1125.753)
Restricted funds
Wates Fund
Healthy Communities Together Pi'oj¢ct
Pr05tate Cancer Group
Rainbow fund
Reducing Health Inequalities Dudley
Boi'ough
ae Group
Talking Therapies Plus
{3,200)
(14,881)
{302)
{4,927)
(3,200)
15,449
(302)
(4,679)
30,330
248
700
100
6,500
700
100
4,820
(1,680)
37,878
(24,9901
12,888
TOTAL FUNDS
359,771
(467.714)
(4,922)
(112,865)
Description of restricted fu￿d$
The equipment and refijrbishtnent fund consists of Yarious grants and donations received to buy eqllipment and
r¢fui'bish the preniises.
The prostate cancer group fvnd consists of donations received for the prostate cancer groyp.
The rainbow fund consists of donations from the i'ainbow breast reconstruction group and othei's.
The bladder, urology, bowel and strome cancer LY'OUP fi]nd consists of donations received for the BUBS cancer
group.
The D Brett¢ll legacy fund consists of a bequest for medical or building needs. The Wates ￿nd consists of a
donation to fi]nd new proje¢l wsts.
The Reducing Health Inequalities In Dudley Borough fi]nd consists of grant funding to help women from divei'se
omn)unitiES in the Dudley Borou￿1 to engage with callcer screening and setryices.
The Reducing Health Inequalities for the Blaek Country fvnd consists of gryanÉ FL￿d￿8 for 1-2.1 engag¢mellts
with Africa Caribbean WOTnen around early diagnosis of br¢ast cuncer.
The H¢iilthy Con7munitie5 Together ￿nd consists of grant ￿ndIng for four days woi'k for the Engagement Fund
cancer slrand.
Gynae Fund is a restricted fund ihai is raised by the Gynae ￿Ollp, who have requested to keep thi5 fund separate
in order to see funds raised and spent by the group.
Talking Therapies 5s a partnership pi'oject that provides l.. I COUnSElling suppoi't.
-19-

WHITE HOUSE CANCER SUPPORT LIMITII D
NOTES TO THE FINANCIAL STATEMII NTS - continued
FOR THE Yfi AR EI NDII D 31 MARCH 2025
15.
tigovEMlI NT IN FUNDS- continued
Endowment fi]nds
Thi5 represents IhE charil&ble CoMpan￿S non beneficial interest in the freehold property. The White House, 10
Ednam Road, Dudley, West Midlands, DYI IJX, which is held in a charitable trust known as White House
Cancer Support Charitable Trust, with the cotnpany acting as sole corporate trustee {with trust coiporation
slatus)-
Designated thnds
The tTUSt¢es have designated fvttds to enable the charity to develop, improve or expatsd its range of services
an&0¥ its prenises as part of the Strategic Plan.
16.
RELATED PARTY DISCLOSURES
Thei'e were no ielated party transactions for the year ended 31 March 2025.
17.
VOLUP4TEERS
Th¢ charity uses volunteers in the following areas-
Trans
Volunteei. driveT5 provide transport services for caTtoer patients to take them to hospital appointment5. Where
possible patients gel the same driver throtjghout their treatment to enable them to build a rapport and have a
small, safe Circle of support. Ail of the drivors have been affected by cancer in some way, which enables them to
have a greater understanding and empathy to the concerns of the patients.
Th¢ra
and counsellin
Volunteers provide theTapy and counselling services lo cancer patients and their families. The emotional support
sei'vice provides one-to-one support lo those who need it. Complementary therapies are also offei'ed alongside
conventiojial treatmenis with the pei'mission of the paticnt5' GP.
Athnitti5tration and
eneral
Volunteer5 in this area PTovidE a wide range of support sei'vice5, including administration. peer support,
fundraising and befriending calls.
-20-

WHITE HOUSE CANCER SUPPORT I,IMITED
DETAILED STATELMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR El NDED 31 I￿RCH 2025
31.3.25
31.3.24
INCOME AND ENDOWMElYts
Donations and legactes
Gifts
65,856
70,106
Other trading activities
Fundraisllig events,
Pj'ovision of services
Sundry income
9,277
76,877
4,772
8,023
81,361
18,473
90,926
107,857
Investnienl ineouie
Deposit account interest
Current asset investment
418
11,697
448
12,463
12.911
Total in¢omlng resources
168,897
190,874
EXPCNDITURE
Raising donations and legacies
Other operating leases
Fundraising Costs
3,715
3,120
3,715
3,121
Charilsble gclivities
Wages
So¢ial 5¢curity
Pensions
Ratc5 and water
IM5uI'aDc¢
Light and heat
TclephonE
Postage and stationery
Sundries
Trdv¢I and therapy costs
Bereavement counselling cost5
Cornputers and software costs
Service delivery costs
Repairs attd maintenance
F'ixtui'es and fitting5
Coinputer equipment
124,334
6,190
3.678
3,000
3,584
6,256
2,003
4.167
10,424
21,771
1,680
3,126
127,468
6,231
3,412
3,469
3,163
6,692
9,898
4,191
9,052
30,652
4,305
2,465
5,183
8,931
1,132
488
22.932
1,040
88
214,273
226,732
This page does not forin part of the statutory financial statements

WHITE HOUSE CANCER SUPPORT LIMITEI D
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 MARCH 2025
31.3.25
31.3.24
Support costs
Goveriiance costs
Accountancy fees
16.539
3,334
Total resource5 expended
234,527
233.187
Net expenditure
(65,6301
(42,313)
This page does not fomi part of the statutory financial statements
-22-