
## Lancaster Footcare Service Annual Report June 21 – May 22 




**1) Lancaster Footcare Service** opened on 11[th] December 2012 under the name Lancaster Toenail Service, it was registered as a charity No. 1157622 on 27[th] June 2014 under the new name of Lancaster Footcare Service, it is currently based at Lancaster Centre, 53 Lancaster Road, Enfield, Middx, EN2 0BU. 

## **Charity Trustees** 

Tim Fellows Lori Norman Lyn Pettit Joyce Smith Birgitta Whitaker Teresa Window 

## **2) Management Committee Members** 

Joyce Smith - Chair Lyn Pettit - Treasurer Tim Fellows – CEO Lori Norman Birgitta Whitaker Teresa Window 

Ann Taylor – Co-opted Member 

## **Governance** 

## **Membership of Lancaster Footcare Service** 

Membership of the Lancaster Footcare Service is open to all volunteers of the footcare service who have been with the service for more than six months. 

## **Structure of Board of Directors** 

The Board of Directors currently consists of founding and new volunteers of the service. Each year, at the AGM, all volunteers that have served for more than six months are invited to join or continue serving on the board. 

## **3) Objectives and Activities** 

The preservation and protection of good health of the retired and disabled population of Enfield and the surrounding area by the provision of foot care services. 

We do this by offering a toenail cutting service for the retired and people with disabilities who are unable to cut their own toenails at a cost of £15.00 or if they require a more comprehensive foot care service (i.e. for ingrowing toenails, large corns, calluses, fungal infections or other foot care issues) we offer the enhanced service for the low price of £25.00. 

## **4) Achievements and Performance** 

The service continued to go from strength to strength with a steady flow of new clients. 

We now have over 400 service users and facilitated 1,451 appointments this year. We attempt to see most clients every eight to ten weeks. Some, particularly those accessing the enhanced service, may have to be seen more frequently. This number is building back up following the lockdowns. 

1 



## **5) Financial Review** 

This year we have successfully obtained a grant of £5,000 from EVA’s Health Champions Fund. Tim is a trained Health Champion and this enabled us to bid for the grant. This grant was to enable us to look for undiagnosed or uncontrolled diabetes in our clients. 

However, even with this additional funding we made a loss of £7,525 this year. For this reason, on 1[st] April 22 we were forced to raise our prices. 

The basic service went from £13.00 to £15.00 and the enhanced service from £20.00 to £25.00. This is the first increase in charges for the enhanced service since we opened 10 years ago. 

## **Costs of governance and volunteers** 

The members of the Board of Directors give their valuable time voluntarily, for this we are very grateful. 

We do however offer travel costs in keeping with volunteering best practice. 

## **Cost of generating funds** 

When required, funding applications for Lancaster Footcare Service are undertaken by the Manager, under the guidance of the board. 

## **6) This Year** 

This year we have seen a slow and steady flow of new clients, we are aware however that we have lost a number of clients to Coronavirus and have other clients that have not felt safe to return to us yet. 

During the lockdown AgeUK Enfield closed their toenail cutting service and are now referring clients to our service, as is the NHS for this reason we have employed an additional Foot Health Practitioner. 

The Health Champions Grant has enabled us to carry out circulation checks on all new clients using a new doppler machine. We have also facilitated a training course for all foot care volunteers on ‘Recognising undiagnosed or uncontrolled diabetes in feet’. 

We have carried out our annual customer satisfaction survey this year again after several years of not being able to due to covid. See appendix 1. 

## **7) Next Year** 

Our challenge this coming year will be to cope with the increasing demand for the Enhanced Service, which is ever increasing. 

We may need to consider employing an additional Foot Health Practitioner to increase our capacity in the Enhanced Service. 

## **8) Conclusion** 

We have had a reasonably successful year recovering post covid, and the service continued to build on our success. 

2 



Finally, we must say a big thank you to so many people who have helped us this year: Lori Norman, Lyn Pettit, Joyce Smith, Birgitta Whitaker, Teresa Window, our Directors. 

Rose Asaro, Georgette Laidlaw, Virginia Moore, Lori Norman, Lyn Pettit, Joyce Smith, Ann Taylor, Linda Tsang, Birgitta Whitaker, our footcare assistants. David Lambert, Anne Peck, Teresa Window, our receptionists. Steven Gordon and Aswin Shah – The Greene Partnership - our accountants. 

Report written by Tim Fellows CEO 

## **Risk Assessment** 

The Lancaster Footcare Service has carried out a full Risk Assessment on its activities. 

The main areas of concern for most voluntary and community sector organisations are staff, accommodation and hygiene. We have particular concern with hygiene practices during treatment of our clients. 

Before reopening after Lockdown1 a comprehensive Risk Assessment was drawn up and implemented. All staff are made aware of their responsibilities in that assessment. This has been amended as things have changed during the pandemic. 

The service now directly employs one paid member of staff and has all appropriate liability insurance for all its footcare assistants. We are aware that the loss of volunteers could jeopardise the capacity of the organisation and to this end we will continue to attempt to recruit and train additional volunteers when needed. All volunteer foot care workers are DBS checked. The service does not see children. 

Our service is currently provided from Lancaster Centre which provides barrier free, safe and suitably maintained venue with appropriate public liability insurance. In addition, they have all the portable electrical equipment safety checked regularly, the fire extinguishers are serviced annually, and the Gas Safety Certificate is also renewed annually. The Lancaster Centre is fully DDA compliant. 

The charities financial situation is monitored at each of our quarterly board meetings. 

Board of Directors. 

3 



Appendix 1 

## **Lancaster Footcare Service Customer Satisfaction Survey 2022** 

As part of our ongoing commitment to service improvement and customer satisfaction we have conducted our annual survey. Of our approximately 400 clients we surveyed 50, here are the results. 

1. How easy do you find it to make or change your appointments? 

|Excellent|Good|Neither good nor poor|Poor|Very Poor|
|---|---|---|---|---|
|41 – 82%|9 – 18%|0%|0|0|
|2. How accessible do you find the building?|||||
|Excellent|Good|Neither good nor poor|Poor|Very Poor|
|33 – 66%|16 – 32%<br>1 – 2%||0|0|
|3. How clean and welcoming do you find the centre?|||||
|Excellent|Good|Neither good nor poor|Poor|Very Poor|
|46 – 92%|4 – 8%|0|0|0|
|4. How helpful do you||find the reception staff?|||
|Excellent|Good|Neither good nor poor|Poor|Very Poor|
|44 – 88%|6 – 12%|0|0|0|
|5. How helpful do you||find the footcare staff?|||
|Excellent|Good|Neither good nor poor|Poor|Very Poor|
|47 – 94%|3 – 6%|0|0|0|
|6. How would you rate the footcare you receive?|||||
|Excellent|Good|Neither good nor poor|Poor|Very Poor|
|48 – 96%|2 – 4%|0|0|0|
|7. Do you feel that the||footcare service is value for money?|||
|Excellent|Good|Neither good nor poor|Poor|Very Poor|
|42 – 84%|7 – 14%|1 – 2%|0|0|



8. If you have any comments or suggestions how we may improve the service please write your comments below. 

4 



## There were 27 comments. 

- Exceptional service. 

- Always received excellent treatment and feel welcome. 

- Very pleased with the service offered to my husband. Thank you. 

- Very grateful for the treatment. Thank you. 

- As you see I consider the whole affair an excellent facility for the community. 

- Keep up the good work. 

- Very efficient, friendly and well run. Sometimes difficult to get appointment for less than 8 weeks due to popularity. 

- All staff very friendly. 

- Parking outside. 

- Presently no recommendations 

- Very happy with the Lancaster Footcare Service. Thank you. 

- All staff do a brilliant job. Very satisfied. 

- Very good service. 

- Always very helpful. 

- Just hard to get appointments, a popular service well booked up. 

- Everything is first class. Cannot fault staff or service. 

- As my comments say the staff are happy in a good atmosphere with a good rapore with customers. Keep up the good work. 

- Wonderful staff. 

- I would like to keep to 6 week intervals if poss. 

- Most welcoming staff make you feel at ease straight away, only to pleased to help in anyway they can. Treatment is first class couldn’t be better. 

- I’ve been bringing my Mum here for the last 2-3 years & have always had a great service. My Mum always looks forward to coming here. We hope you continue for many years. 

- Ann was excellent. 

- Always Friendly – Good service would not go anywhere else. 

- All very good. 

- Please make more appointments available. 

- I have been using this service for a long time. Everyone is very friendly and helpful. The service I receive is excellent. A vey well run service. Thankyou. 

- • Having more days of the week available for appointments would improve the service. (But I’ve so far been given convenient dates and times.) 

As usual Q2 was the poorest result with most commenting on poor parking in the area, something we have no control over. 

5 



RF.GISTEKF.D CHARITY NUMBF.R: 1157622
ort of thc Tru5tce5 and
Unaudttld Financial Statemcnts for thc Yegr Tr.ndcd 31 Ma
2022
LANCASTF.R TrOO'I"CARF. STr:RVICTr-
The Greene Parincrship LLP
Chanered ALLounlants
Suite 2L. Brosnan HO￿￿¢
175 Darkes l.ane
Poiiers Bat
14ertfordshirc
F.N6 IBW

I.ATr4CAS"fFII TrOOTCARTr. STr,RVICF.
Cont¢t]ts of the Finanrixl %tatcm¢rtts
for the Year Tr.ndcd 31 MA Y 2022
Page
Report of the Trust¢es
Indcpendcnt F.yamiNcr's Repurt
Statcment of Tr-inancial Activitics
Ilalancc Sheet
Notes to the Tr"inancial %tgtemcnts
l)etsil¢d Statcment of Trin4ncial Activities

I,ANCASTF.R FI)()TCARF. SF.RVICF.
rl o( thc'l-ru5tces
rtsr the Year P•nd¢d 31 MA Y 2022
I he trustees pre5cnl thcir report with the fjnancial stsiements of thc charity for the year ended 31 May 2022. The
IrusieL'S havc adoptcd ihc provision5 of AcLounLing and Reporting by Chariiics". Staiemeni of R¢c()m]nendcd Practicc
applicable to chariiics prcparing thcir aLLounts in aLcordance with ihe financial Reportinb Siandard applicablc in the
UK and Republic of Irclclnd (I.'RS 1021 IcffeLiive l January 2019).
STATU%
LdnbasiLI" l.oolcare 8crvice is on unincorpordted chariiy and has chariiable 5tatus_ I'he charily number is 1157622.
011.IF.CTIVTr.S AND AC-rivi'i'iF..
C)hjCet1￿L'5 artd
Thc PlL'bervalion and proicction of good hcalth of the elderly and dhsablcd pjpulation of Lnfield and the surrounding
rea by ihty provision of loot caic services.
.%l'RUC'fLKF., C-OVTr:RNANCTr. ANI) MANAGF.MENT
(Juvcrnin2 doeument
'l-hc Lharity is controlled by Lis governing docLllwnt. a deed of and con5tilui¢S an unincoTporated Charity.
RF.TrTr-IlTr.Nc￿. AND ADMINlS'fRA'I'IVF. DTr.'fAILS
Ilegi.4tLred Charity numbcr
1157622
l)rincip21 addres5
53 Lanca%icr Road
I'nfi¢ld
MiddlLsLX
l-.N2 Ollu
rustee
-1. I,Lllows
11 Whiiaker
"l- Wirtdow
L Norman
Independtnt F.xamincr
8 A (iordon
ACA I.'CCA
'l-he CJrcgnL Pannership Ll.P
Ch￿7￿¥rLd ALLouniaAiS
%uitc 2(. Brtssnan IIousL
175 1)<irkLS Lane
S)oiter8 Bar
I Icrtford5hire
I.'N6 IHW
07.0? 2
Approvcd by ordei ofthe boord oftwstecs on ..........
. and signed on its behalf by:
'I' l.cllows
USILe
Pagc I

Indt
ort to thc Tru5tCLS of
I,ANCAS-I-F.II POOTCARb. Sk.RVICF.
eiidL'nl F.¥2mincr'5 Ilc
I¥Ld¢p¢ndent cxamincr's report to the trustee5 of l.ANCAS'fTr"R FC)OTCARE SERVICE
I rcport ti) thL Lhariiy iruslees on my examination of ih¢ account5 of LANCASTI.-R I.'OOTLAKE, SF..RVICI,' (thc l-rust)
for thc ycar endcd 31 May 2022.
Ilespon.sibililics and ba5]5 ul r¢port
Ab ihL chariiy Iruslees of thc Trust you are responsible for thc prcparnlion of the accounts in accordance with the
requirLmcnts ol-Ih¢ Charities ALI 2011 I'the Act.).
I report in rcspect of my examination of the TnLSt's accounts carried out undcr se¢tion 145 ofihe Act and in carrying out
iiiy cxaminiilion I have folloivLd all applicable I)irections given by thc Charity Commission undei se¢iion 14515llbl of
the Act.
IndcpLDdent cxarnin¢r's statemcnt
I havc LoinplLtcd tny Lxaminaiion. l ¢onfJnn ihat no malcrial inalters hav¢ come to my atteniion in connection with the
exaiiiinalion giving mc Cciuse io beliei'e diat in any maierial respe£t'.
accouniing IcLords wcrc noi kept in respect of the Trnsl as required by section 130 0(Ihe ALt.' or
the aLc()iints do noi accard with those reLords: or
lh¢ accoiinis do not comply with the applicable requireTrKnts conceming the fom) and con￿nI of a¢¢ounts sel out
in thc LharitLLS (Accounis and Reports) Regulaiions 2008 othcr than any rcquircmcnt thai ihe aLLounis give a
irue and fair vicw which is noi a matter ¢on%idered as part of an Éndependcnt examinaiion.
I havc no Loncern5 and have come acro&s no other mailers in connection wilh the examination to whiLh atlenlion should
b¢ drawn in ihis report in order to enablc a proper understsnding olthe accounts to ￿ rea¢hcd.
A (Jordon
ACA I-.(-CA
-I'lic CJrLLllL Parttjership LLP
l-.hartcicd Accountanls
uiie 2(.- Ilrosnati Ilous¢
175 1)arkcs Lanc
Poiicrs 14ar
IlcMfi)Tdshirc
l.:N6 Illw
l)ilte'.
Pagc 2

I.ANCASTF.R FOOTCARF. SF.RVICTr.
tatcmcnt ()( Fijiancial Activilies
for the Yc9r F.nd¢d 31 MA Y 2022
31.5.21
Total
funds
Unrestricicd
fi￿dS
Kc51rictrd
filnds
Total
funds
Notcs
INCOMF. AND F.NDOWMTr.NTS FROM
l)onaLion5 and legacie5
12
5.000
5.012
Oiher trading actii'itics
Investtneiii sncome
24.656
24,656
11,645
25
I'ulal
24.671
5.0
29.671
11,676
:XPF.NI)Il'Ulib, ON
Chxritablc attlVLti¢s
l.i)ot Lare serviLes
l.-nficld VolUn￿ry Action
34,267
34.267
3.050
17,288
3.050
Total
34,267
3.050
37.317
17,288
Nb.'l- INCOMb.l(Tr=XPTr-Nl)I'fuRF.)
{9.596)
1,950
17,646)
15.612)
Rb'CONCII.IATION OF FUNDS
'I'otJl funds brought furward
20,525
20.525
26.137
T()'I'AL TrUNI)% CARRIF.D FOHWAKD
10,929
1,950
12.879
20.525
The notes form pan of these fjnancial siaietnents
Pagc 3

I.ANCA%'fF.11 b"l)01-fAIIF. SF.RVICF.
lsalanee shcct
31 MA Y 21122
31.5.22
Total
funds
31.5.21
Total
funds
U￿r￿triCted
funds
liestrictcd
funds
No¢es
CURKTr:N'I' A%STr:TS
Cash at bank
14.240
1.950
16.190
21,713
CRF.I)I-I'ORS
Atnounis falling due within one year
{3,311)
(3.311)
(1,188)
NEI. CURKENT ASSETS
10.929
1.950
12.879
20,525
'r()I'AL A%SF.I'S I.F.SS CURR Tr.P4-1
LIAIIII.I-I-IF.S
10.929
1.950
12.879
20,525
Nb.'r A%STr-'S'S
10.929
1,950
12.879
20.525
PUNI)
lJnrc51ricicd funds
Reslrictcd fund5
10,929
1.950
20,525
'I'()I'AI. Tr UNI)
12.879
20,525
'I'he Iinancial siatcmcnts WCTC approved by the ljoard of l-tustee5 and authorised for issue
and were signed on lis beh311by".
On
J %mith
IUSLCL
The notes fom part of thcse flnancial sthtcments
Pagc 4

I.ANCASI'F.R FOOTCAR Tr. SF.RVICb.
Note.$ to thl Financi￿1 Statemcnt5
fnr thL Y¢Ar Tr-ndcd 3 I MA Y 2022
A(:C()UP4TING I'OI.ICIF.S
Ila5is of prcp#ring thc financiAI 5lat¢ments
'l-he financial statLmenis ol Ihe chariiy. which is a public bcnefji ¢nrity under FRS 102. have been prepared in
cL()rdancL with the Charities S()IiP IFR5 102) 'Ar¢ounting and Reporting by Charities: Staleinent of
liecomincndcd PractlLL applicable io Lharitics preparing their accounts in accordance wilh ihc I'inaiiLial
kcporting Standard applicable in the UK and Republic of Ircland 11-.RS 102) (effeciivc l January 20191.,
I'-Inancial Kcporring SLqndard 102 -rhe Financial R¢porting Siandard applicable in the UK and R¢public of
Ireland, and ihc Charitics Act 2011. The financial statemcnts have beLn prepared under ihe historical c05t
LonvLntion.
Incon]c
All income is r¢cognssed in the Sthicment of Fknancial Activities onc£ ihe charily has enlitlemenl to the funds, it
is probablc that the income will be reLeivL41 and thL an￿ll￿1 ¢an be I￿sured reliably.
F.xp¢nditurc
Liabililics are reLogniscd as cxpcndirurc as soon as Ihert is a legal or construclive obligation con)rnitting tlie
chai'ily lo that cxpcnditure, it is probable that a iransf¢r ofeconomic bcncfjts will i)c rLquircd in settletnenl and
thL amounl ofthe obligaiion can ￿ mca5ured rcliably. Wendi¢urc is accounted for on ali a¢Lruals basis and has
bcLn Llassified undcr hcadings ihai aggrcgalg all c051 relaied io the category. Where costs ¢annot b¢ direLIIy
atiribiilLd io particular headings they have been alloLated io activities on a basis consisteni wilh LhL use of
iesoui'cLs.
Taxalion
I'hL chai'ily is exempt from tax on its Charitsble activilies.
und aceounting
Unrcsliicicd funds Larl be used in accordance with the charitable objectives at the dis¢relion of thc truslees.
Restricted funds can only be used for panicular resthctcd purpose5 widiin the objects of thc charily. Resthctions
ari5L whcn sp￿l[led by ihe donor or when funds are taised lor particular restric¢td purposes.
l.urthcr Lxplantktion of ihe naiurc and purpose of¢ach fihnd is included in th¢ notes to thc financial Sta￿mentS.
I)()NATI()INS AP4D LEGACIES
31.5.22
31.5.21
Gifts
Cirants
5,000
5.012
O'I'IITr.11 I'RAI)INC: ACTIVITIF.S
31.5.22
31.5.21
rool Larc 5Lrvices
24,656
11,645
Page 5
continued..

I.ANCAS'fF.11 FQI)TCARF. SF.RVICF.
Nolc5 t(> the P-inancial Statcmcrtts- continucd
for the Year Tr'nded 31 MA Y 2022
INVb,STMTr.NT INCOME
31.5.22
31.5.21
l)Lposil account intciesi
25
CIIARI'I'AIII,F. ACTlVI'fiF.S COSTS
Direcl
Cosis
Suppori
Losts
Totals
root Lare servicts
.tJliLld Voluntary A¢tion
780
34,267
3,050
3,050
36.537
780
37,317
TRUSTF.b.S' IiF.MUNb-RA'fioN AND BENF.FITS
-IherL w¢re no tntstces, remuncrn¢ion or other b¢nefJts for ihc y￿r Cnded 31 May 2022 nor for the year endLd
31 May2021.
'rru5tecs' ¢xpens¢s
l)uring the yLat ¢ndcd 31 May 2022, trustees wcre reimbursed ihe cost of trdvel.
C()￿11.ARATjVEs Tr()K'fiiF. S'1'ATF,MF.NT OTr FJP4ANCIAL ACTlVI'fiF.S
Unresiricled
funds
Restricted
(unds
I'olal
funds
INC()MTr: AP41) b.Nl)C)WMTr.NI'% TrROM
l)onations and IcgaLies
()thLr Lrdding activiiies
LnveslmLnt income
11.645
25
11,645
25
'I'ot21
11,676
11.676
Tr.Xl>Tr-NI)l-I'UIITr. ()N
Ch#rilablc actlVbtiC5
'-oot Lar¥ SLrviL&%
17.288
17.288
NF.I' INCOMFJ(Tr.XPTr;NI)ITURE)
15.61?)
(5,612)
RF.COP4CILIATION ()Tr Tr"UNDS
l-olal fund5 brought forw#rd
26.137
26,137
I-()I-AI. FUNDS CARRXTr:I) TrC)RWARD
20,525
20,525
Page 6
conlinued.

I,ANCA%I'F.R FO()TCAHF. STr.RVICb.
N()les ti) the FinAnciAI Statcmcnts- fontinued
ror the Year FJll(Ecd 31 MAY 2022
.IITr:I)ITORS: AMOUNTS FALLING DUF. WITIIIN ONF. YF,AR
31.5.22
31.5.21
l'axi￿ lion and social security
()Ihcr crLdiiors
23
3.288
.188
3,311
1,188
M()VF.MF,P4T IN FUNDS
tnovemenl
in funds
At
31.5.22
At 1.6.21
Unrcstricted fund
InLvmL from fi)oi carc treatments
20.525
(9.596)
10,929
Reslriclcd fund5
l-.nlield Voluntary Action
1.950
1,950
'I'OTAL FUP4DS
20.525
(7,646)
12,879
Net moveinent in fund5. included in ihc atM)ve arc as lollows..
Incoming
resources
Resources
cxpcndcd
Movemenl
in funds
nrestrict¢d funds
Incoine frorn foot care trwdimen¢S
24.671
134.267)
(9.596)
Ilestrictcd funds
I,.nfILld Vnlllniary Action
5.000
{3,050)
1,950
'roi"AL FUNDS
29.671
(37,317)
17,6461
Comparativcs for rnovcm¢nt in funds
Net
mov¢mLnl
in funds
Ai
31.5.21
Ai 1.6.20
UnrL'Striclcd fund5
Incom< Irom fool care treaimcnts
26,137
(5.6121
TOI'AL FUNDS
26.137
(5.612)
20.525
Page 7
continued...

I,ANCASTF.11 FOOTCARF. SF,RVICF.
NDlcs to the Financial S(￿tl.Ment5- ronlinucd
ri)r thc Year F.ndcd 3 1 MA Y 2022
M()Vb,MF,NT IN FUND5- conlinucd
Cotnparaiive rlei movenwnt in lunds. included in the above are as follows=
Incoming
rcsources
Resources
expended
Movement
in funds
Unr¢strictcd funds
Income from foot carc trcaimcnts
11.676
(17,288)
15,612)
T()TAI. Tr UNI)S
11.676
117,288)
(5,6121
Resiricted E'-und
l)uriiib the y&qr a Ilcalth ChaTnpions Gtani w&s obtsiDed frotn l.-nfJeld Voluntary Aciion. The grant funds ￿.¢ to
be used to enable all ¢usiomcts re¢eiving looi care tr¢aunent to be 5ciecn¢d for undia¥nosed or unconirolled
diabetes.
io.
RTr.LAI'LD I'AIiI'Y I)ISCLOSUHF.S
Ther¢ were no relaled party trans8¢tions for thc ycar ended 31 May 2022.
Pa8r 8

I.ANCAS"rv.R FOOTCARF. STr.RVICF.
l)clailc.d %latLment of Tr-inaneial A¢livitiC5
flir Ihe Year Tr'nded 3 I MA Y 2022
3 1.5.22
31.5.21
INCOMF, ANI) Tr.NI)()WMF.P4TS
l)thnations aiid l¢gacic5
(iifts
Cirants
12
5,000
5.012
Other trading a¢tivitics
I'-oot care Services
24,656
11,645
lrtvestmcnt income
l)cposit account inieiest
25
'rot21 ineomin2 r¢sourccs
29.671
11,676
.XI)F.NDITURTr.
.harit#ble aetivilic5
Wic gcs
Inslrumcnls and consUn￿bIeS
Ins111'anLc
I.'ILLtricity k autoLlavc costs
I'¢l¢phonc
I ()SlLigc and.%17￿ lioncry
Ilo()In aiid IoLkcr hire
RLfr¢5hmLnis
-fravLllin8
l-'Les pay￿1b1¢
7.(K)O
6,129
547
2.722
350
136
9,221
3,158
J66
1.813
360
2,962
265
401
7.188
617
8.698
36,537
16.628
Support Costs
lJvvernAnce costs
ALLouiiiaDLy
780
660
Toiai TewurL¢5 ¥xpcnded
37.317
17,288
Nct cxpenditurc
{7.646)
15,6121
This page does nol lomi pan of thc sthiuiory financial Sthietnents
Pagc 9

RF.GISTEKF.D CHARITY NUMBF.R: 1157622
ort of thc Tru5tce5 and
Unaudttld Financial Statemcnts for thc Yegr Tr.ndcd 31 Ma
2022
LANCASTF.R TrOO'I"CARF. STr:RVICTr-
The Greene Parincrship LLP
Chanered ALLounlants
Suite 2L. Brosnan HO￿￿¢
175 Darkes l.ane
Poiiers Bat
14ertfordshirc
F.N6 IBW

I.ATr4CAS"fFII TrOOTCARTr. STr,RVICF.
Cont¢t]ts of the Finanrixl %tatcm¢rtts
for the Year Tr.ndcd 31 MA Y 2022
Page
Report of the Trust¢es
Indcpendcnt F.yamiNcr's Repurt
Statcment of Tr-inancial Activitics
Ilalancc Sheet
Notes to the Tr"inancial %tgtemcnts
l)etsil¢d Statcment of Trin4ncial Activities

I,ANCASTF.R FI)()TCARF. SF.RVICF.
rl o( thc'l-ru5tces
rtsr the Year P•nd¢d 31 MA Y 2022
I he trustees pre5cnl thcir report with the fjnancial stsiements of thc charity for the year ended 31 May 2022. The
IrusieL'S havc adoptcd ihc provision5 of AcLounLing and Reporting by Chariiics". Staiemeni of R¢c()m]nendcd Practicc
applicable to chariiics prcparing thcir aLLounts in aLcordance with ihe financial Reportinb Siandard applicablc in the
UK and Republic of Irclclnd (I.'RS 1021 IcffeLiive l January 2019).
STATU%
LdnbasiLI" l.oolcare 8crvice is on unincorpordted chariiy and has chariiable 5tatus_ I'he charily number is 1157622.
011.IF.CTIVTr.S AND AC-rivi'i'iF..
C)hjCet1￿L'5 artd
Thc PlL'bervalion and proicction of good hcalth of the elderly and dhsablcd pjpulation of Lnfield and the surrounding
rea by ihty provision of loot caic services.
.%l'RUC'fLKF., C-OVTr:RNANCTr. ANI) MANAGF.MENT
(Juvcrnin2 doeument
'l-hc Lharity is controlled by Lis governing docLllwnt. a deed of and con5tilui¢S an unincoTporated Charity.
RF.TrTr-IlTr.Nc￿. AND ADMINlS'fRA'I'IVF. DTr.'fAILS
Ilegi.4tLred Charity numbcr
1157622
l)rincip21 addres5
53 Lanca%icr Road
I'nfi¢ld
MiddlLsLX
l-.N2 Ollu
rustee
-1. I,Lllows
11 Whiiaker
"l- Wirtdow
L Norman
Independtnt F.xamincr
8 A (iordon
ACA I.'CCA
'l-he CJrcgnL Pannership Ll.P
Ch￿7￿¥rLd ALLouniaAiS
%uitc 2(. Brtssnan IIousL
175 1)<irkLS Lane
S)oiter8 Bar
I Icrtford5hire
I.'N6 IHW
07.0? 2
Approvcd by ordei ofthe boord oftwstecs on ..........
. and signed on its behalf by:
'I' l.cllows
USILe
Pagc I

Indt
ort to thc Tru5tCLS of
I,ANCAS-I-F.II POOTCARb. Sk.RVICF.
eiidL'nl F.¥2mincr'5 Ilc
I¥Ld¢p¢ndent cxamincr's report to the trustee5 of l.ANCAS'fTr"R FC)OTCARE SERVICE
I rcport ti) thL Lhariiy iruslees on my examination of ih¢ account5 of LANCASTI.-R I.'OOTLAKE, SF..RVICI,' (thc l-rust)
for thc ycar endcd 31 May 2022.
Ilespon.sibililics and ba5]5 ul r¢port
Ab ihL chariiy Iruslees of thc Trust you are responsible for thc prcparnlion of the accounts in accordance with the
requirLmcnts ol-Ih¢ Charities ALI 2011 I'the Act.).
I report in rcspect of my examination of the TnLSt's accounts carried out undcr se¢tion 145 ofihe Act and in carrying out
iiiy cxaminiilion I have folloivLd all applicable I)irections given by thc Charity Commission undei se¢iion 14515llbl of
the Act.
IndcpLDdent cxarnin¢r's statemcnt
I havc LoinplLtcd tny Lxaminaiion. l ¢onfJnn ihat no malcrial inalters hav¢ come to my atteniion in connection with the
exaiiiinalion giving mc Cciuse io beliei'e diat in any maierial respe£t'.
accouniing IcLords wcrc noi kept in respect of the Trnsl as required by section 130 0(Ihe ALt.' or
the aLc()iints do noi accard with those reLords: or
lh¢ accoiinis do not comply with the applicable requireTrKnts conceming the fom) and con￿nI of a¢¢ounts sel out
in thc LharitLLS (Accounis and Reports) Regulaiions 2008 othcr than any rcquircmcnt thai ihe aLLounis give a
irue and fair vicw which is noi a matter ¢on%idered as part of an Éndependcnt examinaiion.
I havc no Loncern5 and have come acro&s no other mailers in connection wilh the examination to whiLh atlenlion should
b¢ drawn in ihis report in order to enablc a proper understsnding olthe accounts to ￿ rea¢hcd.
A (Jordon
ACA I-.(-CA
-I'lic CJrLLllL Parttjership LLP
l-.hartcicd Accountanls
uiie 2(.- Ilrosnati Ilous¢
175 1)arkcs Lanc
Poiicrs 14ar
IlcMfi)Tdshirc
l.:N6 Illw
l)ilte'.
Pagc 2

I.ANCASTF.R FOOTCARF. SF.RVICTr.
tatcmcnt ()( Fijiancial Activilies
for the Yc9r F.nd¢d 31 MA Y 2022
31.5.21
Total
funds
Unrestricicd
fi￿dS
Kc51rictrd
filnds
Total
funds
Notcs
INCOMF. AND F.NDOWMTr.NTS FROM
l)onaLion5 and legacie5
12
5.000
5.012
Oiher trading actii'itics
Investtneiii sncome
24.656
24,656
11,645
25
I'ulal
24.671
5.0
29.671
11,676
:XPF.NI)Il'Ulib, ON
Chxritablc attlVLti¢s
l.i)ot Lare serviLes
l.-nficld VolUn￿ry Action
34,267
34.267
3.050
17,288
3.050
Total
34,267
3.050
37.317
17,288
Nb.'l- INCOMb.l(Tr=XPTr-Nl)I'fuRF.)
{9.596)
1,950
17,646)
15.612)
Rb'CONCII.IATION OF FUNDS
'I'otJl funds brought furward
20,525
20.525
26.137
T()'I'AL TrUNI)% CARRIF.D FOHWAKD
10,929
1,950
12.879
20.525
The notes form pan of these fjnancial siaietnents
Pagc 3

I.ANCA%'fF.11 b"l)01-fAIIF. SF.RVICF.
lsalanee shcct
31 MA Y 21122
31.5.22
Total
funds
31.5.21
Total
funds
U￿r￿triCted
funds
liestrictcd
funds
No¢es
CURKTr:N'I' A%STr:TS
Cash at bank
14.240
1.950
16.190
21,713
CRF.I)I-I'ORS
Atnounis falling due within one year
{3,311)
(3.311)
(1,188)
NEI. CURKENT ASSETS
10.929
1.950
12.879
20,525
'r()I'AL A%SF.I'S I.F.SS CURR Tr.P4-1
LIAIIII.I-I-IF.S
10.929
1.950
12.879
20,525
Nb.'r A%STr-'S'S
10.929
1,950
12.879
20.525
PUNI)
lJnrc51ricicd funds
Reslrictcd fund5
10,929
1.950
20,525
'I'()I'AI. Tr UNI)
12.879
20,525
'I'he Iinancial siatcmcnts WCTC approved by the ljoard of l-tustee5 and authorised for issue
and were signed on lis beh311by".
On
J %mith
IUSLCL
The notes fom part of thcse flnancial sthtcments
Pagc 4

I.ANCASI'F.R FOOTCAR Tr. SF.RVICb.
Note.$ to thl Financi￿1 Statemcnt5
fnr thL Y¢Ar Tr-ndcd 3 I MA Y 2022
A(:C()UP4TING I'OI.ICIF.S
Ila5is of prcp#ring thc financiAI 5lat¢ments
'l-he financial statLmenis ol Ihe chariiy. which is a public bcnefji ¢nrity under FRS 102. have been prepared in
cL()rdancL with the Charities S()IiP IFR5 102) 'Ar¢ounting and Reporting by Charities: Staleinent of
liecomincndcd PractlLL applicable io Lharitics preparing their accounts in accordance wilh ihc I'inaiiLial
kcporting Standard applicable in the UK and Republic of Ircland 11-.RS 102) (effeciivc l January 20191.,
I'-Inancial Kcporring SLqndard 102 -rhe Financial R¢porting Siandard applicable in the UK and R¢public of
Ireland, and ihc Charitics Act 2011. The financial statemcnts have beLn prepared under ihe historical c05t
LonvLntion.
Incon]c
All income is r¢cognssed in the Sthicment of Fknancial Activities onc£ ihe charily has enlitlemenl to the funds, it
is probablc that the income will be reLeivL41 and thL an￿ll￿1 ¢an be I￿sured reliably.
F.xp¢nditurc
Liabililics are reLogniscd as cxpcndirurc as soon as Ihert is a legal or construclive obligation con)rnitting tlie
chai'ily lo that cxpcnditure, it is probable that a iransf¢r ofeconomic bcncfjts will i)c rLquircd in settletnenl and
thL amounl ofthe obligaiion can ￿ mca5ured rcliably. Wendi¢urc is accounted for on ali a¢Lruals basis and has
bcLn Llassified undcr hcadings ihai aggrcgalg all c051 relaied io the category. Where costs ¢annot b¢ direLIIy
atiribiilLd io particular headings they have been alloLated io activities on a basis consisteni wilh LhL use of
iesoui'cLs.
Taxalion
I'hL chai'ily is exempt from tax on its Charitsble activilies.
und aceounting
Unrcsliicicd funds Larl be used in accordance with the charitable objectives at the dis¢relion of thc truslees.
Restricted funds can only be used for panicular resthctcd purpose5 widiin the objects of thc charily. Resthctions
ari5L whcn sp￿l[led by ihe donor or when funds are taised lor particular restric¢td purposes.
l.urthcr Lxplantktion of ihe naiurc and purpose of¢ach fihnd is included in th¢ notes to thc financial Sta￿mentS.
I)()NATI()INS AP4D LEGACIES
31.5.22
31.5.21
Gifts
Cirants
5,000
5.012
O'I'IITr.11 I'RAI)INC: ACTIVITIF.S
31.5.22
31.5.21
rool Larc 5Lrvices
24,656
11,645
Page 5
continued..

I.ANCAS'fF.11 FQI)TCARF. SF.RVICF.
Nolc5 t(> the P-inancial Statcmcrtts- continucd
for the Year Tr'nded 31 MA Y 2022
INVb,STMTr.NT INCOME
31.5.22
31.5.21
l)Lposil account intciesi
25
CIIARI'I'AIII,F. ACTlVI'fiF.S COSTS
Direcl
Cosis
Suppori
Losts
Totals
root Lare servicts
.tJliLld Voluntary A¢tion
780
34,267
3,050
3,050
36.537
780
37,317
TRUSTF.b.S' IiF.MUNb-RA'fioN AND BENF.FITS
-IherL w¢re no tntstces, remuncrn¢ion or other b¢nefJts for ihc y￿r Cnded 31 May 2022 nor for the year endLd
31 May2021.
'rru5tecs' ¢xpens¢s
l)uring the yLat ¢ndcd 31 May 2022, trustees wcre reimbursed ihe cost of trdvel.
C()￿11.ARATjVEs Tr()K'fiiF. S'1'ATF,MF.NT OTr FJP4ANCIAL ACTlVI'fiF.S
Unresiricled
funds
Restricted
(unds
I'olal
funds
INC()MTr: AP41) b.Nl)C)WMTr.NI'% TrROM
l)onations and IcgaLies
()thLr Lrdding activiiies
LnveslmLnt income
11.645
25
11,645
25
'I'ot21
11,676
11.676
Tr.Xl>Tr-NI)l-I'UIITr. ()N
Ch#rilablc actlVbtiC5
'-oot Lar¥ SLrviL&%
17.288
17.288
NF.I' INCOMFJ(Tr.XPTr;NI)ITURE)
15.61?)
(5,612)
RF.COP4CILIATION ()Tr Tr"UNDS
l-olal fund5 brought forw#rd
26.137
26,137
I-()I-AI. FUNDS CARRXTr:I) TrC)RWARD
20,525
20,525
Page 6
conlinued.

I,ANCA%I'F.R FO()TCAHF. STr.RVICb.
N()les ti) the FinAnciAI Statcmcnts- fontinued
ror the Year FJll(Ecd 31 MAY 2022
.IITr:I)ITORS: AMOUNTS FALLING DUF. WITIIIN ONF. YF,AR
31.5.22
31.5.21
l'axi￿ lion and social security
()Ihcr crLdiiors
23
3.288
.188
3,311
1,188
M()VF.MF,P4T IN FUNDS
tnovemenl
in funds
At
31.5.22
At 1.6.21
Unrcstricted fund
InLvmL from fi)oi carc treatments
20.525
(9.596)
10,929
Reslriclcd fund5
l-.nlield Voluntary Action
1.950
1,950
'I'OTAL FUP4DS
20.525
(7,646)
12,879
Net moveinent in fund5. included in ihc atM)ve arc as lollows..
Incoming
resources
Resources
cxpcndcd
Movemenl
in funds
nrestrict¢d funds
Incoine frorn foot care trwdimen¢S
24.671
134.267)
(9.596)
Ilestrictcd funds
I,.nfILld Vnlllniary Action
5.000
{3,050)
1,950
'roi"AL FUNDS
29.671
(37,317)
17,6461
Comparativcs for rnovcm¢nt in funds
Net
mov¢mLnl
in funds
Ai
31.5.21
Ai 1.6.20
UnrL'Striclcd fund5
Incom< Irom fool care treaimcnts
26,137
(5.6121
TOI'AL FUNDS
26.137
(5.612)
20.525
Page 7
continued...

I,ANCASTF.11 FOOTCARF. SF,RVICF.
NDlcs to the Financial S(￿tl.Ment5- ronlinucd
ri)r thc Year F.ndcd 3 1 MA Y 2022
M()Vb,MF,NT IN FUND5- conlinucd
Cotnparaiive rlei movenwnt in lunds. included in the above are as follows=
Incoming
rcsources
Resources
expended
Movement
in funds
Unr¢strictcd funds
Income from foot carc trcaimcnts
11.676
(17,288)
15,612)
T()TAI. Tr UNI)S
11.676
117,288)
(5,6121
Resiricted E'-und
l)uriiib the y&qr a Ilcalth ChaTnpions Gtani w&s obtsiDed frotn l.-nfJeld Voluntary Aciion. The grant funds ￿.¢ to
be used to enable all ¢usiomcts re¢eiving looi care tr¢aunent to be 5ciecn¢d for undia¥nosed or unconirolled
diabetes.
io.
RTr.LAI'LD I'AIiI'Y I)ISCLOSUHF.S
Ther¢ were no relaled party trans8¢tions for thc ycar ended 31 May 2022.
Pa8r 8

I.ANCAS"rv.R FOOTCARF. STr.RVICF.
l)clailc.d %latLment of Tr-inaneial A¢livitiC5
flir Ihe Year Tr'nded 3 I MA Y 2022
3 1.5.22
31.5.21
INCOMF, ANI) Tr.NI)()WMF.P4TS
l)thnations aiid l¢gacic5
(iifts
Cirants
12
5,000
5.012
Other trading a¢tivitics
I'-oot care Services
24,656
11,645
lrtvestmcnt income
l)cposit account inieiest
25
'rot21 ineomin2 r¢sourccs
29.671
11,676
.XI)F.NDITURTr.
.harit#ble aetivilic5
Wic gcs
Inslrumcnls and consUn￿bIeS
Ins111'anLc
I.'ILLtricity k autoLlavc costs
I'¢l¢phonc
I ()SlLigc and.%17￿ lioncry
Ilo()In aiid IoLkcr hire
RLfr¢5hmLnis
-fravLllin8
l-'Les pay￿1b1¢
7.(K)O
6,129
547
2.722
350
136
9,221
3,158
J66
1.813
360
2,962
265
401
7.188
617
8.698
36,537
16.628
Support Costs
lJvvernAnce costs
ALLouiiiaDLy
780
660
Toiai TewurL¢5 ¥xpcnded
37.317
17,288
Nct cxpenditurc
{7.646)
15,6121
This page does nol lomi pan of thc sthiuiory financial Sthietnents
Pagc 9