CENTRE FOR HEALTH AND THE PUBLIC INTEREST (CHPI)
(A company limited by guarantee)
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDING 31ST MARCH 2022
(not subject to statutory audit)
Company Registration No. 8047440 (England & Wales)
Charity Commission Registered Charity No.1157077
•ABEXSLIW*
1811012022
COMPANIES HCiJSE
Al1

CENTRE FOR HEALTH AND THE PUBLIC fNTEREST (CHPI)
(A company limited by guarantee)
Cornpany No. 8047440
Charity No. 1157077
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDING 31 ST MARCH 2022
(not subject to statutory audit)
CONTENTS
Legal and Administrative
Information
Trustees Re
ort
Inde
endent Examiner's Re
ststement of Financial Activities
Balance Sheet
Notes to the Financial Statements
10
11

CENTRE FOR HEALTH AND IHE PUBLIC NTEREST (CHPI)
(A company limited by guarantee)
Company No. 8047440
Charity No. 1157077
LEGAL AND ADMINISTRAMVE INFORMATION
Other Names Used:
CHPI, The Centre
ststus:
CHPI is a Gharitable company limited
by guarantee, incorporated on 26
April 2012. On 16" May 2014 CHPI
was entered onto the Charity
Commlssion Register of Charitles.
Registered Office:
The Brick Yard (fornierly Grayston
Centre). 28 Charles Squaro, London
N1 6HT
Banker5:
Unity Trust Bank PIC
Nine Brindley Place. Birniingham B1
2HB
Trustees (also Company
Directors):
Trustees who have acted during the
period of this report were:
Prof Colin Leys
Dr Guddi Singh
Dr Jonathon Tomlinson
Ms Sue Charteris lappointed S July
20211
Ms Lois Rogers (appointed S July
2021)
Dr John Owens (resigned 22 April
2021)
Dr David Mccoy (￿SIgned 2 March
2022)
Executive Director:
The day-to4ay management of CHPI
is delegated to the Executive
Director:
Mr David Rowland
Independent Exarniner:
Ed Tombs

CENTRE FOR HEALTH AND THE PUBLIC ￿TEREST (CHPD
(A company limited by guarantee)
Company No. 8047440
Charity No. 1157077
TRUSTEES REPORT
FOR THE YEAR ENDING 31ST MARCH 2022
The Trust8es present their report and financial ststements for the year ending
31. March 2022.
Structure Governance and Management
CHPI is constituted as a company limited by guarantee and is governed by a
Memorandum and Articles of Association. In the event of the company being
wound up, all Trustees have guaranteed to contribute to the assets of the
company as may be required to an amount not exceeding £10. The Trustees
have no beneficial interest in the company nor its activities and are not
remunerated.
New Trustees are appointed by way of a decision by the existing Trustees.
Objectives and Activities
Objects
The objects of CHPI as set out in the company articbs of association are..
to advance the education of the public in healih and social care policies
to promote infomied debate and research for the public benefit in all
aspects of that subject and to publish the useful results
Principal Activities, Achievements and PerforTnance
Building on our research activities during the pandemic we have Gontinued to
h￿hlIght issues relating to the public interest in health and sctial care.
In October 2021 our work examining the contract belween the NHS and the
pnvate hospitsl sector during COVID was published in the form of a report 'For
whose benefit - the contract bel￿een NHS England and the private hospital
sector, in October 2021. It gathered significant press and media coverage.
In January 2022 Our report on conflicts of interest in the health sector - Mapping
Joint Venture Business Ventures in private health care - was ¢overed
exclusively in the Guardian and was featured in 5 separate articles by the
newspaper.
In March 2022 we hosted an event at the Royal Society of Medicine entiued
"Putting the Public Interest at the heart of health and soGial care policy making.
Here we presenled our research to an audience made up of over 50 senior
members of the medical profession. professional regulators. padiamentarians.
patient Gampaigners and journalists.

CENTRE FOR HEALTH AND THE PUBLIC fNTEREST (CHPD
(A company limited by guarantee)
Company No. 8047440
Charity No. 1157077
We have continued our study into the financial impact of COVID 19 on the care
home sector with Warwick Business School and UCL and have presented initial
findings to the All Party Parliamentary Group on Adult Social Care as well as to
civil servants in the Departmenl of Health and Social Care. the Devolved
Administrations and the National Audil Office.
We have successfully r￿ruited a new communications and media manager to
help disseminate our work.
Future plans and activities
In the financial year March 2022 to March 2023 we will publish our research into
the financial impact of COVID on the ¢are home sector- a two year research
study in conjunction with WaThvick Business School and UCL
We will hold an event at the Royal Society of Medicine in Autumn 2022 which will
focus on patient safety in the private hospital sector following the lan Paterson
case and the disproportionately high number of female patients affected by
recent medical scandals.
We will seek to highlight transparency and accountability issues with the
provision of NHS privale patient units through research articles. blogs and work
with media outlets.
We will finalise our research into the new public health system in conjunction
with the public health profession aTrJ will publish a final report on this in late
Autumn 2022.
We will continue to add to the resources of the organisation both in tems of
raising additional funds as well as adding new members to the board of Trustees
and seeking to build and expand our netwoth of supporters.

CENTRE FOR HEALTH AND THE PUBLIC INTEREST (CHP
(A company limited by guarantee)
Company No. 8047440
Charity No. 1157077
FINANCIAL REVIEW
Income
Voluntary income of £39.140 represents donations from individuals and trusts
and has all been received to provide Core fvnding, representing a small increase
on the previous years.
Gift Aid income of £3,846 was claimed from HMRC for donations in the period
from donors who have provided CHPI wtth a Gift Aid Declaration. An additional
£2 was received in interest from HMRC on the amounts claimed.
Income from charitable activities of £104,000 includes grant income received
towards a grant-funded research project: and contract income received for work
to deliver a second research project in line wilh CHPI'S ¢haritsble activities.
Expenditure
Expenditure is primarily made up of staffing costs for a Research Officer and
Executive Director contracted to work full time throughout the majority of the
year.
Reserves
The Trustees recognise the need to hold reserves to protect the financial security
of CHPI in the event of income shortfalls.
A new Reserves Policy was adopted in August 2021. which sets out the intention
to maintain a minimum of 3 months expenditure in reserve. and allocate
additional funds available to furthering CHPI'S charitable work, or investing in
future income generation.
At 31° March 2022 the general reserve held £89.542. amounting to around 10
months of operating expenditure. As such. Tfustees are budgeting to increase
expenditure in the Goming year to draw down on the accumulated reserve level.
The report has been prepared in accordance with the special provisions of Part
15 of the Companies Act 2006 relating to small companies.
Approved by the board of Trustees on 4th October 2022 and signed on its behalf
by:
Jonathon Tomlinson
Trustee

CENTRE FOR HEALTH AND THE PUBLIC INTEREST (CHPI)
(A company limited by guaranlee)
Company No. 8047440
Charity No. 1157077
Independent Examiner's report to the Trustees
I ￿pOrt on the accounts for the year 31 March 2022.
Respective r•sponsibilities of Trustees and examlner
The Charity's Trustees (who a￿ also the Directors for the purpose of company
law) are responsible for the preparation of the accounts. The charity's trustees
consider that an audit is not required for this peri(*J (under Section 144 (21 of the
Charities Act 2011 (the 2011 Act)) and Ihat an independent examination is
required. l am qualified to undertake the examination by being a qualified
member of ICAEW.
Having satisfied myself that the charity ts not subject to audit under company law
and is eligible for independent examination. it is my responsibility 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 Commission (under section 145(5) of the 2011 Act).. and
to state whether particular matters have come to my attention.
Basis of the independent examlner's report
My examination was carried out in accordan￿ 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 limtted to
those matters set out in the 5taternents below.
Independenl examiner's stalemenl
In connection with my examination, no matter has come to my attention:
(1) which gives me reasonable cause to believe that. in any material respect, the
requirements
to keep accounting records in accordance with Section 386 and 387 of the
Companies Acl 2006; and
to prepare accounts which accord with accounting records, comply with the
accounting requirements of Sections 394 and 395 of the Companies Act
2006 and with the methods and principles of the Ststement of Recommended
Practice: Accounting and Reporting by Charities
Have not been met" or
(2) to which, in my opinion. attention should be drawn in order to enable a proper
understand'ng of the accounts to be reached.
14.10.11
Ed Tombs CIMA.. Certificate of business accounting
Tan-y-graig, Facmw￿n, Caemarfon, Gwynedd, LL55 3HD

CENTRE FOR HEALTH AND THE PUBLIC INTEREST (CHPD
(A company limifrd by guarantee)
Company No. 8047440
Charity No. 1157077
STATEMENT OF FINANCIAL ACTMTIES
FOR THE YEAR TO 31ST MARCH 2022
(not subject to statutory audit)
Restricted Unrestricted
Funds
Funds
Total
2022
Total
2021
Not•
Incoming
Resources
Voluntary Income
39.140
39,140 52.032
Income from
charitable activities
50,(M)O
54,000 104,000 50.095
Gift Aid
3.846
6.412
Other income
9.578
Total Incoming
Resources
96 988 14L988 Ilu
Resources
Expended
Fundraising
-6,646 -6,346 -8,382
Charitable
activities
47.714
46,832 -94,546 -69,338
Governance
-9,200
-9,200 -7,717
Total Resources
Expended
2 379 -110 093 45 437
Net Incoming
Resources
609
Transfers
Net movement In
funds
The statement of financial activities includes all gains and losses in the year. All
incoming resources and resources expended derive from continuing activities.

CENTRE FOR HEALTH AND THE PUBLIC IDtrEREST (CHPD
(A company limited by guarantee)
Company No. 8047440
Charity No. 1157077
BALANCE SHEET
AS AT 31°, MARCH 2022
(not subject to statutory audit)
31 Mar
2022
31 Mar
2021
Notes
Current Assets
Cash at bank and in hand
Accrued Gift Aid Recoverable
Total Current Assets
98.133
56,685
3,040
59,725
98.133
Credltors
Amounts falliro due within one year
1,513
Net Current Assets
96.620
59,725
The funds of the charity
Restricted Fund - Holding
Government and Corporate Power to
Account in the light of COVID 19
Designated Funds
General Funds
Total Charity Funds
7,078
4.792
10
89,542
96.620
54.933
59.725
For the year ending 3110312022 the company was entitled to exemption from
audit under section 477 of the Companies Act 20C6 relating to small companies.
Trustees. responsibilitkgs:
the members have not required the company to obtain an audit of its
accounts for the year in question in accordance with section 476,
the Trustees ackn¢xvledge their responsibilitres for complying wtth the
requirements of the Act with respect to accounting records and the preparation
of accounts. these accounts have been prepared in accordan￿ with the
provisions applicable to companies subject to the small companies regime.
Approved by the board of Trustees on 4th October 2022 and signed on its behalf
by..
Jonath•n Tomlinson
Trustee

CENTRE FOR HEALTH AND THE PUBLIC rKfEREST (CHPI)
(A company limited by guarantee)
Company No. 8047440
Charity No. 1157077
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR TO 31ST MARCH 2022
(not subject to ststutory audit)
1. A¢¢ountlng Pollcies
(al Basls of Accounting
The financial statements have been prepared under the historical cost
convention in accordance wth the Companies Act 2006 and the Statement
of Recommended Practice: Accounting and Reporting by Charities issued
in April 2013.
(b) Fund Accounting
Unrestricted funds are available for the use at the discretion of the Trustees
in the furtherance of the companies charitable objectives.
Designated funds are unrestricted funds eamarked by Trustees for a
particular purpose.
Restricted funds are su*'ected to restrictions on their expenditure imposed
by the donor.
{c) Incoming resource
All incoming resources are included in sL*ment of financial activities
when CHPI is entitled to. and virtually ￿rtain to receive. the income and
the amount can be quantified with reasonable accuracy.
(d) Resourcès Expended
Expenditure is recognised on an accrual basis as a liability is incurred.
Expenditure includes any VAT which cannot be recovered, and is reported
as part of the expenditure to which it relates=
Costs of generating funds comprise Costs associated with attracting
voluntary and contract income.
Charitable èxpenditure comprises those costs incurred in the delivery of
CHPI'S charitsble objects. It includes both costs that can be allocated
directly to such activities and costs of an indirect nature ne￿SSary to
support them.
Governance costs include costs associated with meeting the constitutional
and statutory requirements of CHPI.
io

CENTRE FOR HEALTH AND THE PUBLIC tNTEREST (CHPD
(A cotnpany limited by guarantee)
Company No. 8047440
Charity No. 1157077
2. Voluntary Income
Unrestrlcted
2022
Reslrlcted
2022
Total
2021
Henry Tinsley
David Owen
Other Individual Donations < £2.5k
20,000
15,000
5,000
32.032
52,032
19.140
39,140
In the interests of transparency. CHPI has adopted a policy of indivKlually
identifying all donations over £2.500 during Ihe course of the year.
3. Income from Charitable Activitles
Unrestricted
2022
Restricted
2022
Total
2021
University of Warwick
Joseph Rowntree Charitable Trust
Social Care Institute for EX￿llence
Transparency Intemational UK
54,000
50,000
12.500
15.000
13.295
50.095
$4,000
50.000
4. Resources Expended
Allocation by fund
Direct expenditure it8ms are allocated by fund according to the purpose of the
expense.
Staffing & overhead costs are re-allocated to the ￿stricted fund for JRCT
grant-funded project according to a project budget agreed with the funder.
Exptndlture
Total
Holdlng Government and
Corporate Power to Account in
the light of COVID 19
Ggneral funds
D1￿cl expenses
Slaffin9
Overheads
420
2,629
100.421
45,168
55.253
6,622
2,126
4,496
Tolal expenditure allocation
109.868
47,714
62.378

CENTRE FOR HEALTH AND THE PUBLIC INTEREST (CHPD
(A company limited by guarantee)
Cofflpany No. 8047440
Charity No. 1157077
Allocation of expenditure to fundraising, charitablo activities and
governance
All expenditu￿ from the restricted fund is for charitable activities to further the
grant-funded project.
For expenditure from general funds. direct expenditure items are allocated to
expenditure categories for fundraising. charitable activities and governance
according to the nature of the expense.
Staffing & overhead costs are re-allocated to these categories on the basis of
estimated proportion of non-grant ￿nded time spent on each activrty: 10OA
fundraising, 750h charitable activities. and 150A governance.
Exp•nditur• from g•n•ral funds
Totsi
Furbdrnising
Charitsbl•
Activities
G0￿ManCe
Direct expenses
Staffing
overf￿ad5
371
2,020
238
S6.609
5,525110Dhl
450110tA* I
6.346
41.440 (7511AI
3.372 {751IAI
46,832
8,288 (15°hl
674 (15°Al
9,200
4.125
Total expendilure allocatlon
62.379
5. Trustee Remuneration, Expenses & Related Party Transactions
No Trustees received any ￿MUneratIon for their services.
Total expenses of £547 vEre reimbursed to Trustees for food and travel costs
during the period (2021- £0).
No Trustee or other person related lo the charity had any personal interest in any
contract or transaction entered inlo by the charity during the year.
6. Taxation
No tax charges have arisen in CHPI.
The vast majority of income is from grants. donations or contracts for public
interest research and is applied for charitable purposes.
7. Gift Aid Recoverable
Gift Aid was claimed and received from HMRC for all eligible donations in the
year to 8th March 2022. leaving a negligible amount unclaimed at the year end.
8. Creditors: amounts falling due within one year
£1,513 was owed across a number of unpaid invoices and expense claims at
31st March 2022.
12

CENTRE FOR HEALTH AND THE PUBLIC tKrEREST (CHPD
(A company limited by guarantee)
Company No. 8047440
Charity No. 1157077
9. Purpose of Restrlcted Funds
Funds re￿iVed from Joseph Rowntree Charilable Trust for a 24-month research
project titled Holding Govemmenl and Corporate Power to Account in the light of
COVID 19 are held in a Restricted Fund. Expenditure is assigned to the fund in
accordance with the agreed projecl bLKlget - vthich includes allocations for staff
time and organisational overheads.
10. Purpose of Designated Funds
Donations in the current or prior year have not been solicited wilh an explicit
purpose in mind, but for core operating costs. Therefore there is no designated
fund in the current year.
11. Staff Costs and Numbers
An Executive Director and Research Officer were employed on a full b'me basis
for the majority of the year.
12. Funds of the charity
Balance
at 31 I￿a￿fv
2021
Total Incorng
FY 2022
Total expenditure
FY 2022
Balance at
31 March
2022
R8$trleted funds
JRCT Holding
Govemment and
Corporatg Power to
Account in the IwJht
ofCOVID 19
4.792
50.0(J)
47.714
7,078
Total restrlcted
fvnds
4.792
50.LKIO
47.714
7.078
Oeslgnated fundg
Unreslricted funds
54,933
96.988
62,379
89.542
Total funds
59.725
146,988
110.093
96,620
13