Registered number- 08240913
Charity number.. 1149758
ARK CANCER CENTRE CHARITY
(A Company Limited by Guarantee)
TRUSTEES. REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEM8ER 2021

ARK CANCER CENTRE CHARITY
{A Company Limlted by Gulranteel
CONTENTS
Page
Ref•r•nce and Adrnlnlslrati¥¢ Detaih ol the Company. Its Trusteos and Advlsern
Trustee5' Report
Tnv4t00s' R￿PonSIbIlItIeS Statemont
Independent Audlior4' Report on th• Flnanclal S¢at•m•nts
8-11
St•toment of Flnanclal Actlvltlès
12
8•l•nce Sh•ot
13-14
Stat•ment ol C••h Flows
15
Not•B to th• Flnancial Statemonts
16-29

ARK CANCER CENTRE CHARITY
{A Company Llmlted by Guarantee)
REFERENCE AND ADMINISTRATIVE DETAILS OF THE COMPANY. fTS TRUSTEES AND ADVISERS
FOR THE YEAR ENDED 31 DECEMBER 2021
M Reg8
S Fell, Chalr
R Finlayson
Company r•glstered number
08240913
Charlty r•gl$lered numb•r
1149758
Rogl•t•r•d ollk¢
Tho th Conference Centre. DirM1¢)ryj￿ D￿r￿e. Basingsloke. Hampshire, RG24 9NN
Company 8•cretary
Muny
Indopendent auditorn
& Co, Wey Court Welt. UnKm Road. Fthiam, Surrey, GU9 7PT
P¥g• 1

ARK CANCER CENTRE CHARITY
IA Company Limlted by Guarantèe
TRUSTEES. REPORT
FOR THE YEAR ENDED 31 DECEMBER 2021
The Tnjslees {who are also directors of the Charity for the purposes of the Companies Acti preserbt their annual
report. which 18 also the direelofs, report, together wrth the audited financial slalemenls of Ark Cancel Centre
Charity Ilhe company) for the year ended 31 D￿ernber 2021. The Trustees confirm th* the Annual Report
and Financial Slalemenls of the company comply with the currènt stalulory requirements. the requirements of
the cwipany'5 goveming document and the provisi￿$ of the Slalement of Re￿mmended Practi￿ ISORPI
"A¢counling and Reporting by chant￿$. leffeclive 1 January 2019).
Since th• Company qua￿e3 as 8mall ￿hler SeC￿n 383. the Strategic Report requir&J ￿ medium and
c￿panIeS undw the Companies Act 2006 (Strategic Report and Oirectors. Report) Regulations 2013 18 not
required.
Structurn, management and 9overn•nce
• Structure
Ark Cancer Centre Charity is a C¢)mpany Limited by Guarantee INQ.. 8240913} and a Charity Registered in
England and wa￿ (No.. 11497581. tt is govemed by rts Memorandum and Arts'ckn of Associatson. The Trustees
¢on8lrtule Directors of the Charity for the p￿￿Ose$ of céynpany law.
Ark Cancor Centre was re9iStered as a ccmpany on 4th October 2012. It was registered as a charity on 141h
November 2012 and as a resuli wa8 approved lo change rts company name to Ark Cancer Centre Charity on
26th Novembgr 2012.
Enyha8i6 is placed on t￿ s￿11¥ of the Trustees lo an8ure Trustee$, full Gonlribution to the Charity's
development.
• M•n4gwn•nt
The management of the Chanty Id18 Into threo araa8 of r•8ponsibility'.
Identification of the fundraising project..
The Trustees have Identrfiod the need lo raise funds lo onhance thg patient experience above NHS standard in
proposed new cancor canlro lo be built by Hampshire Hosprtals NHS Foundation Trust. Those funds will be
U8od In ts¥o distinctive wayi..
the desvjn of the building to maxtmise the therapeutic envmnmenl
the prowsK￿ of tho Cory1￿mentsry 8NJ suppryt serwces
The Trustees are committed to fundraising actNilie8 kn fxilrtate grarrt applicalicA)s from Ham￿hIre Hosptsls
NHS Ftyjndation Trust. Isee ObjeclNes and Activiliesl.
C¢ynMUn￿atIOn'.
Trustees will ensurn that aims of the Charty we prciected with accuracy and darity to the genaral
publ￿, xross *1 fundraisin9 actsvrt￿s and inrtwtivos lo ensure a true reflection of rts objects.
Financ* and administrat￿n.
Responsibility fw thg accountsng. secrelanal. Iggal and wJministratMI requirnm•nt$ cl the Chty we managed
by thg Trustees.
Page 2

ARK CANCER CENTRE CHARITY
(A Company Limited by Guarnntegl
TRUSTEES. REPORT ICONTINUEDI
FOR THE YEAR ENDED 31 DECEMBER 2021
StnKture, maTrag•m•nl and govemancfr Icontlnuedl
• Governan¢•
1. ObJedNes Atliwlies
The Charity's objects a¥ slated in rts Articles of Assrxialion fn".
The relief of sickness and the preservation of health and lo assist in the treatment and eare of per$ons affecteil
by cancer Ihfough the enhancements of all aspects of cancer care in¢luding.'
providing or assisting in the provision of equipment, facilities and seJvices ancillary or supplementsl
to those provHled by the statutory authorities or other care provider5
IL
tri proNth (Y •88bSt in the provi$*)n of funding for enhanced or improved ffttirKJ out and decoration
or any imprownenl to the aesthetsc aspects of new or e￿$tIng cancer cafe cenlies run by
statutory aUth￿ties or other cafe pffjmders to enharKe tho wellbeiryJ of persons
affected by c4ncer
Prov￿1ng or assisting in the prOvisK￿ of,. or provKJing funding for statLrtory a￿th0nt￿ or other we
providers lo wovide. ancillary and complementary eare services and therapies lo enhance the
wellbeing of persons alfecled by cancer
iv.
provide support, assistance and infomiation directly or indirectly to people affected by c￿r and
their carers, faMil￿S arbd friends
prornole and Influenee effective care, involv•ment and support for people affected by carw, their
car8rn. families and friends
The furtherance of such objects and purposes lo be carried OLrt in North Hampshi￿ or genèrally in the United
Kingdom beirvJ object3 aNJ purposes whKh arn exclusively charrtable according th8 law of England and W*s.
2. Pthlic Benefft
The Charity ha5 looked at the public benefits of ils objectives and has concluded that there is sign1ficanl
èvidence highlightin9 that offerin9 treatment in a pleasant, Interesting. innovative environment benefits palienls
and greatly improves the ouicome of their Irealmenl. The grants will ensure the provision of..
Therapies and Counselling will b• provided in an uplffting environment lo help improve the
axperience of patsenls Irving with cancer.
A range of s￿1port Iherap*s. i.e. psychological support, survivorship courses. access to health,
filnes$. conylementary Iherapie3. etc plus Ccffip￿hen5ive informali¢)n resources. These services
will enab￿ patbpnls lo manage Ihwr co￿lIt￿)n Ihroughoth diagnosis and treatment to a5Si5t people
Ip41ng *ilh cancer Iheir famlies.
In summary th• publK benefrt of Ark Cancer Centre Chanty is to ensure thal enhanced la¢ilit*S are awailable for
anyone who need8 SUPPOrt, whether they aro receivirwJ treatment or are famity members engaged in SLPPOrting
a Sufferer during or after their treatment.
Page 3

ARK CANCER CENTRE CHARITY
IA Company Llmlted by Guarant•e}
TRUSTEES. REPORT ICONTINUEDI
FOR THE YEAR ENDED 31 DECEMBER 2021
Structure, m•n¥g•m8nt •nd governance lcon￿nU0dl
Therefore the Trustees believ& that they have complied with the duty to have due regard to guidance published
by the Charty C*Jnmi5sion.
• Grnnt maklng polley
Funding 1$ ft)ad8 available lo Hampshire Hospitals NHS Foundation Trust via grants. Grants are mad6 to
Hampshire Hospitsls NHS Foundation Trust at the Trustees, discretion. The Trustees assess all bids from
Hampshire Hospitals NHS Foundation Trust to ensufe Ihal Charity wouky r￿1 be 5ubslituting other fundirig
reo$ for standard NHS provision but would be conlnbuting lo enhancing what 1$ expected over and abova
trbal will be provthd by Hampshir8 Hosprtals NHS Foundation Tnjst.
Gmt reque818 lo provide integrated xc855 lo Complen￿n1ary Iherapw4 and SUPF¥)rt servus are required to
demnslfate that they meet atlgast of the foll¢ywing objectives in tyder to be considerod for funding.
Enhancing the qualty of care receive(I by patients and families over and above the NHS Standanl
provision
Improving patient confidence in care provvJ8d
Pump priming and supporting innovation
Supporting the development and grovrth of the Wellbeing cent￿ to ￿able acce88 to moro patients
Attract￿n. retention and development of staff of the highesl calibre
iv.
Grant• aro not made to 8ny other organi58tion or in¢JivKlual.
OrKe 3 grant has bèen approved the comrtment li reco9ni8ed and the grant is pakl in a9raed inslalmenls over
duration of the project.
Fln•ncl•l rnvl•w
• Inv￿lm•￿t pollcy
Following the after offgcts cl Covid19 and the extreme vdalilty in lh8 markets. funds hekj by th8 Charity were
not commrtied to any b)ng temi investments. The Charrty will continue lo use h￿h interest rale deposrt a￿)unt5
and wll thi$ wlicy as ma￿et$ Improve.
R•¥erv•s policy
At th8 year end the Charity held unreslncled re8¢rve$ of £2.710.642 (2020 £1,518,412 rnstaled lo
£2.643,412).
The Reserve8 policy is regularly revi8od to onabla ts facilitation of grant$ to Hampshire Hospital Foundation
Trust in line with its Grant Making Policy.
A 8ucee5sfvI grant application wa$ reeeivgd 1981 year wh￿h onabled the Wellbeing Centm to be built and a
further grant application expected next year lo faeilrtate the reerurtment of qualtfied $laff lo delNer Ihwapies
and counselling services {ernployed and managed by N¢)rth Hampshire Hospital Foundation Trusll.
Orte servicos are e$tabli$heil it is our lnteTrt￿n to reviffw the fesep4eS polw to ensure we have funds wi place.
for thè ne￿< >year period to support the devekJw*nt of this very important seTrice provis￿n.
Page 4

ARK CANCER CENTRE CHARITY
IA Company Llmited by Guarantoel
TRUSTEES, REPORT ICONTINUEDI
FOR THE YEAR ENDED 31 DECEMBER 2021
Achlevements and perforniance
• The Wellbelng Contre
Following last yearfs successful grant application. we are pleased to report the completion of the therapy and
courESelling rooms in an attraclive and uplifting Wellbeing Cenlre.
Additionally, following a donation from the Lady EtJwina Mountbatten and Leanora Children's Foundation Trust
calming and colourful wellbein9 garden ha5 been designed and buitt. This realty attractive sunny area with
rwsed beds and paths provides a peaceful srtting area for patients and relatives.
Looking forward we expect lo Teceive a grant request from Hampshire Hospital Foundation Trust. lo facilrtate
the recruitment of therapists and counsellors lo provide services lo Hampshire Hosprtals cancer patients.
Initially focusing on massage, acupuncture. reftexology plus a variety of counselling services. Thè refefrals wll
be managed by the cancer servi¢es teams and patients will be directed to thg most appropriate services and
delivered by the Wellbeing team.
• Ftsndraising actlvity ovor tho pait y•af
were vary fortunate to receive not[r￿allOn of a eonsiderable *acy donation during 2020, received in 2021,
from a long-standing supporter of the chanty for which we are extremely grateful. This will help to ensure
security of funding for the delivery of wellbeing services to many cancer patien15 referred by Hampshire
Hospitals Cancer teams.
We are pleased to have the continued support of the members of the 50.50 Club during this year.
The recycling banks continue to be very successful and we have an additional clothing bank which is Sot on the
srte of a k)cal Business SUPPOrter.
Many of the Aths Our Partne¢ supportef5 and individual supporters have continued their support throughout
the year with one of the main events being the virtual LEJOG (Land's End lo John O'Groat51 walk by a long-
tenn supporter.
There has been a steady income through our online shopping platforms such as Amazon, Facebook. Making a
Difference Card5, Easy Fundraising and CAF. These have been very important throughout the year to keep
engaged wi(h supporters and donors.
Further activity
Going ft)rward the Chanty will be relaunching a refreshed branding together with an updated website. We will
a150 be introducing contactless donation wi(h the abilty to donate directly through our website. This will create a
seamless online and offline interaction for our donors.
We al80 hope to engage with people who may wsh to volunteer for us. and build long-temi relationships wlh
the families and patien15 through our wellbeing seNiee.
INe are immensely gratefijl for the continued 5UPPOrt of our charity partners. fundraisers and supporters lor
continuing to be involved and committed lo our charity at Such a challenging time. The money we have raised
togethef has helped lo bring fruition to the Wellbeing Centre and support the services going fomard.
Pag8 5

ARK CANCER CENTRE CHARiri
{A Cornpany Umlted by Guarant•o1
TRUSTEES. REPORT (CONTINUED
FOR THE YEAR ENDED 310ECEMBER 2021
Small ¢ompanios not•
In preparing this report. the directors have taken advantage of the small comp8nies exempt￿$ provlded by
8OCtw)n 415A of the Companles Act 2rth.
Dlsclo•ur• of Infonnation to audilors
Ea¢h ol the persorbs who ar8 Tnjstees at ts Ume Wh￿ thrd Trust￿. Report 13 approved has confirmed th&.
so far as that Trustee Is aware. t￿[8 is no rèlèvant audlt mfomialion of which the charity's audltors aro
un8w8r8, and
that Trust89 has taken 811 the steps that ought to havè teen taken as a Tnjstee in ¢ydgr to be aware of
any relevant audit inlomiation and to eslablish that the ch8iitWs auditors are aware of that information.
Audltor•
The auditors, Wise & Co. havo indKxted thair willThwness lo conunue In offKe. The desigrwted Trust•ès wdl
Propose a motlDn rpappointing the audito￿ at a meetin9 of the Twstees.
foved by ord8r of the Members of the board ofTTusla8s slgned on tt*ir behalf ty.
3 Fell
Trustee
Pw6

ARK CANCER CEKTrE CHARITY
IA Company Lknh•d by Gu￿nI¢•>
STATEMENT OF TRUSTEES, RESPONSIBIUTES
FOR THE YEAR ENDED 31 DECEMBER 2021
TnJslg0s {WI￿ arn also the d1￿ClOT$ (* Ihe Company for th& purposes of (xjmpany lawl ￿ r9$[￿311)le for
rKèparing the Trustoes, Report ar¥J ts financial statements in 0￿rdanc• ¥rith appli¢able l&v and Urited
crfn knntiry sianduds {U￿d Krydom Generally Accewed Accounting Practic•l.
c￿panY law fequlr88 lh• Trustees to proparn flnancial statements tr oach financial . Under ￿)rnpanY Iww. Iho
Trustees must Tr)t approve the ffnancial statements ￿￿85$ they are sabsffed Ihal they give a and l*r view
of the stste of 8ffaks of the Company arths of rts inu1m￿9 resourw arKY applicatbon of re8ourc8s, induding its
hx>)m w#1 eypen(Ituro. forthat perth. In finandal ststemgnts. Ttustaes •m rèqulred to:
so*t suitable aLzounling pol￿195 and than apply tham con8iStentiy'.
observe tho methods and prlndples of the Chanlies SORP IFRS 1021",
m8k• judgmants 8fKI accourting estunates that are re8sonabl8 arttj pnxl8rit
slat8 wh8th8r applic8ble UK ArL(wntr@ Stsndards IFRS 1021 hBvo b88n fc41owed. subject to wy
t8riV41 departuros disdosed arKI è¥plain8d in th8 financial s13tem8nts:
epare the ffinanci81 statements on thg wlng c4wm b88as unles81118 inappropriat• to presuma thal the
cC4np￿Y will ￿lttnue n tXJSin•S8.
The Trusl&&s are fosponsitrfe for keeping *Jequate aCzou￿.rffd r￿1)r￿S that ar• sufficsenl to show and explain
the cOmpa￿S transacbons and disd06e wth re3sonabl8 atturacy ot any Ilmg the financial position of the
Cryany and enabk them to en8UM Ihot the finanual statements cOm￿Y vllth the Companies Act 2006. They
arg also rasponsible for saf8guardlThJ th• assets of tho Company and Iwco tr lakh] rgasonab￿ steps for Ihg
evention d¥tac￿n ol fraud and olher wregLHth.
Agproved by ordor of th• mamb8rs of th• ofTw61¥os on
bghall by.
An(i &gned on its
S F•ll
Page 7

ARK CAPICER CENTRE CHARITY
IA Company Limited by GuaAnt••l
INDEPENDENT AUDITORS. REPORT TO THE MEMBERS OF ARK CANCER CENTRE CHARITY
Oplnlon
Wo havo audited tha financial ststements of Ark Cancer Centre Charity (the 'charitable company'l for the year
ended 31 Docember 2021 which comprise the Slalemenl of Financial Aclivrties. the Balance Sheet. tl
ststemgnl of Cash Flow8 and thè related notes, intlL¥Jing a summary of significant accounting policies. The
finanual feporting framewoth that has been èpplied in their preparation is applicable law and United Kingdom
Accounting Slandards, including Financial Reporting Standard 102 'The Financial Reporting Standard
applicable in the UK and Republic of Ireland. Iuniled Kingdom Generally A￿epted Accounting Praclicel.
In our opinK)n the financial $lalemenls'.
give a true and fair view of the stale of the charilable company's affairs as at 31 December 2021 and of
rts incoming resources and applicab.on of resources. Induding rt5 income and expendrture for the year
then 8nd¢d',
have bgen propeTty prepared in acc(￿dance v4ith Unitod Kingdom Generaty Accepted Accounting
Praclie". and
have beon prapared in accordance with the reqU1￿MentS of tho Companies Art 21x6.
B••1* for oplnlo
We conducted our audrt in accordance with International St8nd8rds on Audrting IUKI {ISAs {UKII and applicable
law. Our respon3ibilrties under those standards are further described in th• AuditQTS' responsibilities for Ihe audrt
of the financial slalemenls section of our report. We are independent of the chantable company In accordance
wth th6 ethical requ1￿mentS that are relevant to our audrt of the fin8nci81 $18lemenls in the United Kingdom.
including the Financial Reporting Council's Ethical Standard, and we have fulfill8d our othw ethical
responsibilities in accordance with these requirements. We believe that the audit evidence we have obtained li
Sufficient WKI approprwte lo prov￿¢ a b881$ for our opir)ion.
CoDcluslons r¥lallng to golng con¢•rn
In aud￿Ing the finan¢41 statem8nts. wo ha¥0 condud•d th* lh8 Trnstee$' use of the goiThJ concem balis ol
accounting in the preparation ofth• financial statements 1$ appr¢)priat8.
Based on Ih we have perfomied, hm ry)t pJentffj￿d any material It￿ertaIntIeS relating to •¥•nts or
ndilFons that. indwidualty or colleclivety. may cast swnificanl doubt on the charrtable company's abilty to
continue as a going c¢MKeTn for a per￿ of al Igasl ￿e¢ve monlhs from when the financial stalemenls are
authonsed for issue.
Our ro3ponsibililies and the respon&bililies of tho Trusto9¥ wilh respocl lo going concem are described in the
rdevanl sections of this report.
Page 8

ARK CANCER CENTRE CHARITY
IA Company Llmlted by Guarantè61
INDEPENDENT AUDITORS. REPORT TO THE MEMBERS OF ARK CANCER CENTRE CHARITY
(CONTINUED)
Other Infomatlon
The other infomation comprises the inlomialion included in the Annual Report other than the financial
slalemenls and our Audrtors. Report Ihereon. The Trustees are responsible for the other Information contained
within the Annual Report. Our opinion on the financial slalements does not cover the other information and.
except lo the extent otherwise explicrtly Slated in our report. we do not express any fomi of assuran
(tnclusion thereon. Our responsibility is lo read tho other Infomwlion and, in doing so, conskJer whether the
dher inlom)alion is materially inconsislenl wrth the financial statements or our knowledge obtained In courne
of the audit, OT olherwise appears lo be malerialty misslaled. If we #Senlify such material inconsisteneies or
apparont material misstalement5, we aro required lo determine whether this gives nse lo a malenal
misstatement In the financial statements Ihemsefves. If. based on the Wofk we have perfomed. we conclude
that thora is a material m￿StateMent of other Informat￿n. we are required lo wrt that fact.
We have nothing to fwt in this regard.
Oplnlon on oth•r matters pr•scrlbed by the Companies Act 2006
In our opinion, based on the work undertaken in th8 eour8e of the audit:
the infomation given in the Truslee$' Repert f¢X the financial year for which the financial statements ar
prepared is consistent wtth the financial slalements.
the Truslegs, Rep)rt has been prepared in accordance wilh aPpI￿able *al requirements.
PAailer8 on whkh ￿ •r• rwuired to rvport by excèpiion
In the I￿h1 of our knOw￿dge and understanding of the charrtable company and 11$ environmenl obtained in the
¢outse of the audrt. we have not identsfied malenal misstslements in the Trustees, Report.
We have nothing lo report in respect of the following matters in relation to whKh Companies Ad 2006 ￿qUireS
us to Rport to youll. in our opinion..
adequate accounlin9 records have been kept. or retums adequate for c4Jr audrt have not been
received from branches not ViSrted by u$- or
the financial slalements are not in agreement with the accounting records and Telums.. tx
certain disclosures ol Trustees, remunerab.on specifigj by law are not made," or
have not received all the Informal￿n and explanations we require for our audiL or
the Trustee5 were not enlilkd lo prepare tho financAI stalemenls in accordance wth the small
¢rynpan¢es regime and lake advantsge of the #mall companies, exemptions in prep8nng the Tnjslges.
Report and the re4uiremenl lo prepa￿ a Strategic Report.
Page 9

ARK CANCER CENTRE CHARITY
{A Company Limited by Guarantèe
INDEPENDENT AUOITORS. REPORT TO THE MEMBERS OF ARK CANCER CENTRE CHARITY
(CONTINUED)
Rèsponslbllltles ol tru8to88
As expL8ined more fulty in the Trustees, Responsibilities Statement, the Trustees (who are also the directors of
the charitable company for the purposes of company lawl aro responsible for the preparation of tho financial
statements and for being satisfied that they give a true and fair view, and for sueh intemal control as the
Trustees determine is necessary lo en8t4e the preparation of financial statements that are free from mater￿1
misstslement, whether due lo fraud or error.
In preparing the financial slalemenls, the Trustees are responsible for assessing the eharilable company's
abilty to continue as a going concem, disclosing, as applicable, matters related to going concern and using the
going concem basis of aecounling unless the Trustees erther intend lo liquidate the cbarilable company or to
cease operations, or have no realistic abternats've but to do so.
Audhors. responslbllltles for ihe audlt of the financial ststemènts
Our objeclNes aTg to obtaln reasonable assurance thut whether the financial slalements as a whole are free
from material misstslemenl, whether due lo fraud or error, and to issue an Auditors, Report that includes our
opinion. Reasonable assuranGe 1$ a high level of assuranee, bul is not a guarantee that an audit conducted in
accordance wrth ISAS IUKI will a￿ayS detect a material misstatement when il exists. Misstalemenls can arise
from fraud or error and are considered malefial rf, individually or in the aggregate, they couhj Teasonabty be
expected lo influence Ihe economic decisions of users taken on the basis of these financial statements.
Irregularities, including fraud. are instances of non-compliance with laws and regulations. We design procedures
in line with our responsibilrties. outlined above, lo delecl material misstatements in respect of irregularities,
including fraud. The extent to whith our procedures are capable of dele¢ting irregularities. including fraud is
detailed be&￿1..
We gained an understanding of the legal and regulatory framework applicable to the chantable company and
the industry in which it operates. and considered the risk of acts by the charitable company that were contrary to
applicable laws and regulations. including fraud. We designed audit procedures to Tespond to the risk,
recognising that the risk of not detecting a material misstatement due to fraud is hKJher than the risk of not
delecling one resulting from error, as fraud may involve deliberate concealment by, for oxample, forgery or
intentional misrepresenlalion$, or through collusion.
We fo¢ussed on laws and regulat￿nS whith coukl give rise to a material misstatement in the financia
slalement$. including. but not limited to . the CompanTes Act 2006, the Charities Aet 2011 and UK lax
18gislalion.
Our tests included agreeing the finaneial slalement disclosures to underlyin9 SUPPOrting documenlalh)n and
enquiries wrth management. There are inherent limitations in the audrt procedures described above and, the
further removed non-compliance with laws arKI regulations is from the events and transactions reflected in the
financial statements. the less likety we would become aware of it. We did not identify any key audit matters
relating to Irregularities, ineluding fraud. As in all our audits, we also addressed the risk of management override
internal controls, including lesling journals and evaluating whether there was evidence of bias by the
Trusteès th* represented a risk of material mi$statem*nt due to fraud.
A further des¢ription of our responsibilities for the audit of the financial statements is located on the Financial
Reporting Council's w&bsite at.. ww.frc.o
.uklaudilorsre
This description fomis part of our
Auditors. Report.
Page 10

ARK CANCER CENTRE CHARITY
IA Company Limit￿ by Guarant￿?
INOEPENDENT AUDITORS. REPORT TO THE MEMBERS OF ARK CANCER CENTRE CHARTr
ICONTINUEDI
The compalative figures presented in these financwl statal￿nts are not audited.
UM of our report
This report 18 m•Je solely to the chafttsble ccmpanws memters, 88 a body. In accordance vdlh Chapter 3 of
Port 16 of the Companies Act 2006. Our audit work has been undertaken so that we might stste to the
charitable company's members those matters are required to state to them in an Auditors, Report and for no
other purP￿e. To the fulksl extent pemitted ty do not accept or assume respjnsibility lo anyone otlK*r
the charitable *))nwany 8Th1 its Memb￿5, as a Ixty, for ow work, for this report, or for the ownions
M•rft Dlckln•on FCA Isoniof Stattltory Audltor
and on behalf of
Wl•• & Co
Chartered Accountants
Statutory Auditors
Vrfey Court West
Union R¢)ad
Farnham
Surrey
GU9 7PT
11[0
a(*2
P•Je11

ARK CANCER CENTRE CHARITY
IA Company Llrnlt¢d by Guarantee)
STATEMENT OF FINANCIAL ACTIVITIES IINCORPORATING INCOME AND EXPENDITURE ACCOUNTI
FOR THE YEAR ENDED 31 DECEMBER 2021
As r8sl818d
Tolal
funds
2020
UTrrestricted
fvnds
2021
Tot•1
funds
2021
Income from:
Donations and legacies
Other trading acti¥ili85
Investments
116,353
SS,894
2,152
116,353
55,894
2,1 $2
1,233,599
74,946
8,211
Total income
174,399
174,399
1,316, 756
Expendlturg on:
Raising lunds
charrtab￿ aclivrties
3,342
103,826
3.342
103,826
3,652
219.810
Total expenditurg
107.168
107,168
223,462
M•1 fflovemollt in fund¥
67.231
67,231
1.093.294
R9concllla￿0n of fund•:
Total furKls brought forniard 8$ previousty 8tal•d
Pritir y￿r adjustment
1.518,412
1.125,000
1.518.412
1.125,000
1,550, 118
Total funds brought fO￿ard as reslated
Nel movémenl in hu*Js
2.643.412
67,231
2.643.412
67.231
I,W,118
1,093, 294
Totsl funds carried for￿rd
2,710,643
2,710.643
2,643,412
The r¥)tes on pages 16 to 29 fomi wt of these financial statements.
Pag• 12

ARK CANCER CENTRE CHARITY
IA Comparty Llmited by Guarantee)
REGISTERED NUMBER.. 08240913
BALANCE SHEET
AS AT 31 DECEMBER 2021
As ￿SIBled
2020
20
Not•
Fix•d •M•ts
Tangible ￿8011
11
2.591
545
1591
545
Currnnt a•Mts
Debtors
Inveslmenl$
Cash al bank and in ha)d
12
13
2.435
1. 131.436
2.317.626
1,518,662
2,725.901
2.650,098
Creditors.. amounts fallin9 duo within ono
year
14
117,860}
(7,231)
Net curr•nt •u•ts
2.708.051
2.642,867
Total •M•ts l••s currgnt Ilabllttios
2,710.642
2,643,412
Ptst as801• oxcludlng ￿nsIOn aM•t
2.710,842
2,643,412
Total n•t •s••ts
2.710,642
2,643.412
Charrty funds
Reslricled fund$
Unrestriclgd fvnds
16
18
2.710,642
2.643,412
T¢)t*l fvnd•
2,710.642
2,643,412
Page 13

ARK CAMCER CE14TrE CHARITY
IA Comp•ny Limi1￿ by fwarnnt8•)
REGISTERED NUMBER: 08240913
BALANCE SHEEf ICOPrnNUED)
AS AT 31 DECEM8ER 2021
aco)unl*)g re(ayds arKI weparatkn of flnanC4￿ slatements.
Tho finandal Ststarr￿lS h8v• b••n wepar•d In a(torthrA wilh th8 aprAic8ble l) gnlilos 8ubp¢t to
Thg f￿8n￿l staterngnt• t••r¢ Apwovod authorised for I￿Ve by the Trusteas
and slgnwj on thelr bghav by..
S F•ll
Trust88
Tho Th)tss on p8ggJ 16 ta 29 form p#rt d th•#8 flnandal 8tatsm8nts.
Pry8 14

ARK CANCER CENTRE CHARITY
IA Company Llmlted by Guarantee)
8TATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 31 DECEMBER 2021
2021
2020
Note
Gash flows from operatlng actlvlties
Net cash used in operating adwrties
19
1,207.641
(24.426)
Cash flow5 from Investing a¢tivitig$
Purchase of tangible fixed assets
Purchase of term deposrt accounts
2,8371
1405,8401
N•t cash {used inllprovided by investing activities
1408,6771
Cash Ilows from flnanclng actlvltlos
Net rAsh provided by flnanclng actlvltles
Chang• In rA¥h and cash equivalents In the year
Cash and cash eqLbivalenls at the beginning of th8 ye
798,964
1,518,662
124,426}
1.543,088
Cuh and cash equivalgnts at th• •nd of the y￿1
20
2.317,626
1,578,662
The noles on pages 16 to 29 form part of Ihese financial slalements
P￿8 15

ARK CANCER CENThE CHARITY
IA Company Limrted by Guarantw)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2021
General Infomiatlon
Ath Cancer Centre Charity M a private company. Iwnited by guarant* wrthout share capital and
incorporated in England. Its Tegislered oifKe address bs Thè Ark Conference Cenlre, Dwiwoodie Drive.
Basingsloke, Hampshire, RG24 9NN.
Ac¢ountlng pollcl••
2.1 8a31$ of prgpar8tk)n of flnancial statem•nts
The financial statements have bgen prepared in accordance wfth the Charities SORP IFRS 102} -
Accounting and Reporting by Charities. Statemenl of Recommended Practice applicable to eharilies
preparing their ￿ountS in accordance wlh the Financial Reporting Slar¢dard applicable in the UK
Id RepublK of Ireland {FRS 1021 leffective 1 January 20191. the Financial Reporting Standard
appl￿b￿ in tho UK and Republi¢ of Ird)nd IFRS 1021 and the Compan￿$ Act 2006.
Cancer Centre Charity the definf¢ion of a pubk b￿efft entty undor FRS 102. Assets and
liabilil*s are inrtially recognised at his1c￿C?1 cost or transaction value un10$8 othe￿$9 Stated in the
rebvanl accounts.ng poliw.
12 Incom•
All income 15 r¢cognised once the Company has enlrtlement to the income, rt is probable that the
incoff* will be received and the amount of irKome receivabLg can be measured reliabty.
The recognrtR)n ot incwie legacies is dependenl on establishing entrtlement. the probability ol
receipt and thè abilty to estimate with sufficient accuracy the amount receivab￿. Evidence of
erbtitlemenl lo a ￿a¢Y exists when the Corrpany has sufficient evidence that a grft has been left to
them Ilhrough kno￿edge ol the exislence of a valid will and the death ol the benefactor) and the
executor is satisfied that the prcperty in question will not be required to satisfy elams in th? estate.
Receipt of a legaey must be recognised when rt Is probable that rt be received and the fair value
of the amount receivab￿. wh￿h will generalty bo th• expected tssh aFrKJunl to be distributed lo the
Company. can be reliabty measured.
Grants are included in the Statement of Financial Adivrties ￿ a receivable basis. Tr balance of
income received for specrfic Pufposes but not expended during the period is shown in the relevant
funds ¢)n Ihe Balance Sheet. lthere income is received in advancè of 8nlillemenl of receipt, ils
recognition is deleffed and included in Creditors as deferred Income. Where eriti1￿ment ¢Jccurs
boftyo YKomg 1$ rKeived, the iKomg 1$ accrued.
Oonaled servKes or lacilrties ar• recognised t*then the CLYnpany ha$ control over the item. any
condit￿7¥ a$50cialed the donated rtem have been met, the receipt of rf0noM￿ benefrt from the
u¥e of th• Company of the item is prrA)able and that economic benefit c•n be measured ￿lably. In
accordance with tho Charrties SORP IFRS 1021, general volunteer lim• is not rocognised and refer
to the Trustees, reKK)rt for ffK*re information about Ih*r conlnbulion.
On receipt. donated professional services and facilrties are recognised on the basis of the value of
the grfl to the Company which is the amount il would have baen willing to pay to obtain s8￿1¢8$ or
facilities of equivalent economic benefit on tha open mark¢t,' a corresponding amount is Ihfrn
recognised in expendrtufe in thè period of rg¢wpl.
Income tax rewverable in retstK)n lo Investr￿nt incTh is recognised at the time the investment
income i• receivable.
Page 16

ARK CANCER CENTRE CHARITY
(A Company Limitod by Guarantèè}
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2021
Accountlng pollcies leontlnued}
2.3 Expendlturg
Expendi(ure is recognised onc8 there is a *al or constructive obligation lo transfer economic
beneff( lo a third party, it IS Probable that a transfer of economic benefits will be required in
Settlement and the amount of the obligats'on can be measured reliabty. Expenditure is classified by
activity. The costs of each activity are made up of the lolal of direct Costs and shared costs. Including
5UPPOrt costs involved in undertaking each activty. Direct costs attributable lo a single activity are
allocated direclty to that activity. Shared costs which contribute lo more than one activity and support
costs which are not attributable lo a single activity are apportioned be￿een those aclivrties ¢)n a
basi5 consistent wrih the use of resources. Central stsff costs are allocated on the basis of tir
¥pent, and depreciation charges alkKaled on the portion of the asset's use.
Expenditure on raising funds includes all expenditure incurfed by the Company to raise lunds for rts
charitable purposes and includes costs of all fundraising activities events and non<harilable trading.
Expenditure on chantable aclivrties is incurred on directly undertaking the a¢liwtie$ wh￿h further the
Company's objectives, as well as any assoc￿led support costs.
Grants payable are ¢harged in the year when the offer is made except in those cases where the
offer is condrtional, such grants being recognised as expendrture when the condilKJns attaching are
fu￿illed. Grants offered subject lo conditions whbch have not been met at the year end are noted as a
commi(menl, bul not accrued as expenditure.
All expendrture is inclusive of irrecoverable VAT.
2A Governm¢nt grants
Government grants relating to tangible fixed assets aré treated as deferred inc¢yne and released lo
the Statement of Financial Adivilies over the expected useful lives of the assets concerned. Other
grants are credited lo the Slalement of Finanual Activities as the related expenditure is incurred.
2.5 Inlerest receivablo
Interest on funds held on deposit is included when reeeivabbe and the amount can be measured
reliabty by the Company., this is normally upon notfficalion of the interest paid or payable by the
institution with whom the funds are deposited.
2.6 Tanglble fixed assets and depreciation
Tangible fixed assets are initially recognised at C05t. After recognition, under the cost model.
tangible fixed assets are measured al cost less accumulated dep￿tIatIOn and any accumulated
impairment losses. All costs incurred lo bring a tangible fixed asset into its intended workin9
condition should be included in the measurement of cost.
At exh reporting dale the C¢)mpany assesses whether there is any indication of impaiTmenl. If s￿h
indication exists, the recoverable amount of the asset is determined to be the higher of rts fair value
less costs to sell and its value in use. An impaiimènl loss is recognised where the carrying arnounl
exceeds the ￿coVerable amount.
Pago 17

ARK CANCER CENTRE CHARITY
{A Company Limlted by Guaranteel
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2021
A¢countlng polScle$ Icontinuedl
2.6 Tangible fixed assets and depreciation (continued)
Depreciation is chaiged so as to allcKate the cost of tangib￿ fixed assets less their residual valu8
over their estimated useful lives.
Depreeiation is provided on the following ba8i8'.
Computer equipment
20% straight line ba$1$
2.7 Debtors
Tradè and other debtors ar& recognised al the settlement amount after any trade discount offered.
Prepayments are valued at the amount prepaid net of any trade discounts due.
2.8 Currgnt asset investments
Curygnt asset investments include short-lern depo$ils ￿th a malunty of more than three months
from the date of opening of the deposrt or similar account.
2.9 Cash at bank and in hand
Cash at bank and in har￿ includes cash and $hort4em highly liquid invgstmenls with a short
maturity of throe month$ or 18ss from tha date of acquisrtion or openin9 of the depD$II or Similar
account.
2.10 Li•bilitio$ and pro¥i5i0n$
Liabil((ies are recognised when there is an obligation at the Balance Sheet date as a Tesuli of o past
event, il is probable that a transfer of economic tenefit will be required in settlement, and the amount
of the Setttement can be estimated reliably.
Liabilf(ies are recognised * th& amount that the CoFnpany anticipates rt will pay to settle the debt or
the amount it has received as advanced payments for the goods or services it must provide.
2.11 Flnanclal Instruments
The Company has financial assets #nd financial liabilities of • kind that qualfy as basic financial
instruments. Basic financial instruments are initially recognised al transaction value and
subsequently measured at their setttement value with the exception of bank loans wh￿h are
subsequently measured al amortised cost using the effective interest method.
2.12 Operating lea$•s
Rentals paid under operating leases aro charged lo th8 Statement of Financial Activities on a
slraigh14ine basis over the lease temi.
Page 18

ARK CANCER CENTRE CHARITY
IA Company Limitèd by Guarantoel
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 OECEMBER 2021
Accountlng policies lcontinugdl
2.13 Fund attountlng
General funds ar8 unrestricted funds wthich are available for use at the discretion of the Trustees in
furtherance of the general objecltves of the Company and which have not been designated for other
purposes.
Restricted fvnds are funds which are to be used in accordance wrth specific restrictions imposed by
donors or which have been raised by the Company foT particular purposes. The costs of raising and
administering such funds are charged against the specific ftjnd. The aim and use of each reslricled
fund Is sot OLrt in the notes to the financial slatemenls.
Investment income. gains and losses are all¢xaled to the appropriate fvrKI.
Page 19

ARK CANCER CENTRE CHARITY
IA Company Limtted by Guarant891
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2021
Income from donations and legacles
Unrestricte Rgstricted
d funds
funds
2021
2021
Totsl
funds
2021
Donations
29,458
81,895
29.458
81,895
s,000
Legacies
Grants
Govemmenl grants
116,353
116,353
Included in donations is £21.02412020- £21,024) eslimaled as the cost of salaries donated.
As reslaled
Unfeslricled
funds
2020
As ABslaled
Total
funds
2020
Restiycled
funds
2020
Donations
Legacies
Grants
Govemment grants
58.599
1, 125,OIXI
58,599
1. 125,000
t,000
1, 183,599
50,000
1,233,599
Income from ¢harltable actlvitles
In¢ome from fundraising events
Unrestrlcte
d funds
2021
Total
funds
2021
Income fTom events
55,894
55.894
Page 20

ARK CANCER CENTRE CHARITY
IA Company Limited by Guarnnleel
NOTes TO THE FINANCIAL STATEMENTS
FOR THE YEAR EP4DE0 31 OECEMBER 2021
Income from charltabl• •¢d¥ltles Icontinuedl
Income from fvndrahlng èv•nts Icontlnuedl
unrns1￿t0d
fvnd$
2020
Tt*l
fvnds
2020
IrKome from ever
74,946
74.946
Investment In¢om8
Unrestrict•
d funds
2021
funds
2021
Bank interest ro￿ly•ble
2,152
2.152
Unrestficled
funds
2020
Total
funds
2020
Bank intero81 receivabl•
8,211
8.2fl
EX￿nd￿￿re on ralslng funds
Costs of rnlslng volun¢ary incom•
Unr•strict•
d fvnds
2021
2021
Event c￿18
Online donation fe
Cost d marketing and prizes
2,896
2,898
3,342
3.342
Page 21

ARK CANCER CENTRE CHARITY
IA Company Limlted by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2021
Expenditure on raising funds (continued)
Unrestricted
funds
2020
Total
funds
2020
Event costs
Onlin8 donation fees
Costs of marketing and prizes
426
562
2.664
426
562
2.664
3,652
3,652
Analysis of gxpenditufe on charitable actlvltles
Activities
undertaken
directly
2021
Support
costs
2021
Total
funds
2021
Direct costs
49.380
54,446
103.826
Activili8S
undertaken
directly
2020
Grnnt
funding ol
activities
2020
Support
osts
2020
Total
funds
2020
Direct COSts
1,920
173,561
44.329
219,810
Included in support costs is £21,024 (2020- £21.0241 estimated as the cost of salaries donated.
Page 22

ARK CANCER CENTRE CHARITY
IA Company Limlted by GuaAnt••l
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2021
Analysls of expendlture on ch•rhable activities Icontsnued}
Analysls of support costs
TolJl
funds
2021
Tot
funds
2020
Feeslsubsubptions
Adverts'sing and prorwtir
IAiscellaneous costs
Recharged salary ￿$t5
Stationery
Database costs
T8lephone
Governance cos18
171
62
5.869
36.024
2.239
2.881
137
8,957
436
36,024
1,242
2,594
439
3,483
44,329
Anafysis of grants
Grants to
Institutions
Total
funds
2021
2021
Grants lo Hampshire Hospf(als NHS Foundation TnAt in support of
Cancer Twatmenl Centre
Grants to
Institutions
2020
Total
funds
2020
Grants to Harnpshi￿ Hospitals NHS Foundatson TNsl in support of
Cancer Treatment Centre
173,561
173,561
£50,000 of th• 2020 grant payment has be￿ treolad a8 r¢$tricted expenditure.
Page 23

ARK CANCER CENTRE CHARITY
IA Company Limited ty Guarantee)
NOTES TO THE FINANCIAL STA TEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2021
Audltors. remuneratlon
In 2020 the ac£ounts vnre subject to Independent Examination ratherthan a￿lt.
The auditors. reMuneral￿)n amunts to an auditorfee of £S,64012020- £2,600).
10. Tru•toos' remunerntlon •nd expenses
During the ye￿. no Trustees received any remunwabjn or benefits (2020- £NIL).
During the ￿ ended 31 December 2021, Th) TnJstee expenses Iwe been incurred (2020- £NIL).
11. T•nglble flxed a•8•ts
Computar
equipmènt
Colt or valuation
Al 1 January 2021
Additions
4.072
2.837
11,026)
'sposa
At 310e¢ember 2021
Deprnclatlon
At 1 January 2021
Charge fry the year
On disposals
3.527
791
11,0251
At 31 December 2021
3.293
N•1 book v•lu•
At 31 Drfember 2021
2.591
Al 31 December 2020
545
Page 24

ARK CANCER CENTRE CHARI
IA Company Limited by Guaranteel
NOTES TO THE FINANCIAL STA TEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2021
12. D•btors
2021
2020
Du• wlthln one year
Prepayments and ￿Ued inc(yne
2.435
1, 131.436
2.436
1, 131.436
13. Current ass•¢ Invostm•nts
2021
2020
Temi deposit accounts
405,840
14. Cr•dltors: Amounts falllng du• wlthln on• ymr
2021
2020
Accrua15 and defeffed ino)me
17,850
7,231
15. Prlor y•ar adluslments
The Company had been advised thot probate had begn granted on a lega¢y during the year ended 31
De¢ember 2020 and the amount could be reliabty eslimaled and th• comparats've figurès hav• been
8nd•J to refiort the I￿ome acc¥￿1 01 £1.125.0￿).
Page 25

ARK CANCER CENTRE CHARI
IA Company LIMIt￿ by Guarantoe}
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2021
16. Sta¢•ment of fun
St•tement of lunds- current year
As reststed
Balanc• at 1
January
2021
Bal•nce at
31
Decwnber
2021
Incomo Expenditurè
Unrestrlcted funds
Ggnera fund•
2,643.412
174.399
1107.169) 2.710,642
Stalement of fvnth . wlor year
As reslaled
8818nce at
31
Decembei
2020
Balance 81
l J8nu8ry As resl818d
2020
Income Expenditure
Unr•strictfjd funds
Genefal fiJnd8
1,550. 118
1,266, 756
(173,462) 2,643,412
Rèstllctod fufid•
We114>wng centr•
50,Lp
(50,CW)
Totsl of fund•
1,550. 118
1,31¢756
(223,462) 2,643,412
The Well*eing centre fund represents fuThJ8 received to support the creation of a now area lo support
we114>eing.
P•Je 26

ARK CANCER CENTRE CHARITY
IA Company Limited by Guaranto81
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 310ECEMBER 2021
17. Summary offund¥
Surnmary of lunds * cuffent y••r
As restated
Balance al 1
January
2021
Balanc• at
31
December
2021
Income Expgndlture
General fund8
2,643.412
174.399
1107,169) 2.710.642
Summary of funds - prlor year
As reslaled
Balance at
37
Decembe
2020
Ba18nce 81
1 January As reslaled
2020
Income Expenditure
General
Restricted funds
1.550, 118
1,266, 756
(173.4621 2,641412
(50,OOQ)
1,55Q, 118
1,316.756
(223,462) 2,643.412
18. Analysls of n•t 48•ts b•t•men fund•
Analysis of n•t assets between fund• • current y•ar
Unr•strkte
d funds
2021
fundj
2021
Tangibk fixed a8S8t$
Cuffent assets
Credrtors due within one y￿r
2.591
2.725.900
{17.Wal
2,691
2,725.900
117.849)
Total
2,710.642
2.710,642
Pago 27

ARK CANCER CENTRE CHARITY
IA Company Llmited by Guarnntee}
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2021
19. Roconclllation of not mavoment in fund• to nel c••h Ilow from oper4ting ictivities
2021
2020
Net income forthe year (as per Slatgment cl Financ￿1 Activiliesl
67.231
1,093,294
AdJustm•nts for.
Depreciation charges
Decreasellincfeasel in dabtors
Increaselldecreasel in creditors
791
567
1,129.001 (1, 118. 152)
10.618
(1351
Not c••h providod byllused Inl opgraling actlviti
1,207,641
(24,426)
Analysls of cash Ind ¢•8h equlvalents
2021
2020
Cash in h¥nd
Notice deposits {le88 than 3 months)
88.333
2.229.293
1,297. 164
221,498
Total c••h and cash oqulvalents
2,317,626
1, 518, 662
An•ly$is of ch•ngeJ In n•t debt
Ai31
Docembèr
2021
January
2021 Ci•h flows
Ca8h at bank 8nd in hand
Torn deposit accounts
1,518.662
798.964
405.840
2.317,626
405,840
1.518,662
1.204,604
2.723,466
Page 28

ARK CANCER CENTRE CHARITY
(A Company Llmitod ty Guar•Dt8e
NOTES TO The FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2021
Owratlng1oaH commitm•nts
Al 31 December 2021 the Company had c(xMirtrT￿lS to mak¢ firture minimum lease payments under
non4ancellable operating1ga8es as follows..
2021
2020
Equipmont
Not L3ter th•n 1 year
Later than 1 year •nd not latsr than S yews
1.￿7
3.871
731
1,957
2,688
23. mom￿￿. Ilability
member of the charrtable Coffyny undertakes to ¢onlrknute to the assets of the Corry)any In t
event of rt being wourKI up while helshe is a member. or within one yeaf after helshe ceases lo be
member, Such amount as may be required. not exceeding £1 for the debts and liabilrties Contracted
b•fore Wsho ceases to be a member.
R•l•ted wrty tTansactions
No transactions with reloled parties look p*e ￿ the PèrifJd of ac¢ounL
26. P￿1 balanco $he•t ￿•ThIS
SirKe Ihfr year end. the charity has been noIrf￿d that rt has been left a legacy for £70.569.
Contmlling party
DuTln9 ￿ y•ar. t￿ charity wa8 under the control ofthe TTUSte81.
27. Contingent
The chanty entered into the contracl with Gretnham Common Tfust during 2014 where Greenh
Commn Twst confimied il would malch-fund donations for the Ark Charity if tho donations were put
through their 'Find4n•va£rant' portal. this evofved into The Gwd Exchange. The match fvnding was set
i)n a basis of 8 1..1 rat￿ to the maximum amount of £500,000.The Ark Charty reached this match-funding
goal in November 2017. The matched funding payment from Greenham Common Trust will be released
lo Iho charty on recoipl of a copy of the building c(yrpletion cert￿￿￿te.
Pago 29

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