Registered Company Number: 08713676 (England and Wales)
Registered Charity Number: 1165881
Guy's and St Thomas, Hospital
Kidney Patients, Association
la company limited by guarantee)
Report of the Trustees and Flnancial Statements
Year ended 31st March 2024
(MknpA
GSTT
Guy's & St.Thomas'
idney Patients ￿ociatIon

Guvs and St ThoTnas' Hospital Kidney Patients, Associatlon
Contents for the year ended 31st March 2024
PAGE
Reference and administrative information
Report of the trustees
Independent examiner's report
io
Statement of financial activities
li
Balance sheet
12
Notes to the financial statements
13-20

Guvs and St Thomas, Hospital Kidney Patients. Association
Reference and administrative information for the year ended 31" March 2024
Registered Charity Number:
1165881
Registered Company Number: 08713676
(England and Wales)
Registered Offices:
Renal Offices
6, Floor, Borough Wing
Guy's Hospital
Great Maze Pond
London SEI 9RT
Trustees:
Mrs Teresa Durkin
Mr George Brown
Ms Sabrina Nelson
August 2023
Hadizat Olanrewaju - ¢v-vpled 30 July 2024
Niraj Haria - co-opted 9 September 2024
Peter Harrison - co-opted 23 October 2024
co-opted 21 March 2023,. appointed 21
Independent Examiners:
Avraam A550ciates Limited
Chartered Atcountants
495 Green Lanes
Palmers Green
London N13 4BS
Bankers:
National Westminster Bank PLC
Charities Official Investment Fund

Gu￿$ and St Thomas, Hospital Kidney Patlents, Association
st
Report of the Trustees for the year ended 31 March 2024
The Trustees, who are a150 directors of the charitable company forthe purposes of the Companies Art 2006,
present their report with the financial statements for Guls and St Thomas. Kidney Patients, Association Ithe
Charity) for the year ended 31, March 2024. The Trustee5 have adopted the provisions of Accounting and
Reporting by Charities.. Statement of Recommended Practice applicable to charities preparing their accounts
in accordance with the Financial Reporting Standard applicablé in the UK and Republic of Ireland IFRS 1021
(effective I" January 20191. The Trustees have complied with the duty in section 4 of the Charities Act 2011
to have due regard to guidance published by the Charity Commission regarding Public Benefrt.
Structure, Governan¢e & Management
Governin
Document
The organisation is a charitable company limited by guarantee, incorporated on I" October 2013. The
company was established under a Memorandum of Association which established the objects and powers
of the charitable company and its goveriiiiig under its AIliLlg5 vl AsSVLldtiun. ITI the event of the companv
being wound up, members are required to contribute an amount not exceeding £1 each. The Charity was
dormant until I, September 2018 when it took over the assets and operations of Guy's and St Thomas,
Kidney Patients, Association (charity number 2850861.
Trustees Executive Committee and Mana
ement Committee
The dirertors of the company are also charity trustees for the purposes of charity law and are known a5
members of the Executive Committee. Under the requirements of the Memorandum and Articles of
Association the members of the Executive Committee are elected to se￿e for a period of three years. No
one person may serve as Chair for more than three years, without re-election.
In addition to the Executive Commlttee, there 15 a Management Committee which consisted of 13 non-
Trustee committee members. The Management Committee does not have power5 to make decislons on
behalf of the charitable company. The Trustees meet 5 times each year, the Management Committee meets
5 times èach year including the Annual General Meeting. The following were trustees or members of the
managèment committee and at the time this report was approved and served throughout the year, except
where shown=
Trustees ond
Executive
Committee
John Ogilvie- Chair- Iresigned 7 March 20241
Susan Lyon Iresigned 10 August 20231
John Connor (resigned 12 August 20231
Teresa Durkin
Sonia Moorhouse (resigned 10 August 20231
George Brown
Sabrina Nelson I¢o-OPted 21 March 2023, appointed 21 August 20231
Hadizat Olanrewaju l¢0 opted 30 July 20241
Niraj Haria Ico-opted 9 September 20241
Peter Harrison IcD-OPtp.d 24rd nrtnhgr ?n?41
Other
Committee
Members
Adisa Akintola
Adora Beleno-Harriott
Edmund Clottey
Omolara Fasegha
Sally Halford
Nlcola Ibe
Charles Jaja Iresigned 4 April 20241
Mr Nicos Kessaris
Yvonne McPherson
Nicholas Palmer (resigned 18 January 20241
Margaret Rodgers (resigned 18 July 20241
Dr Manish Sinha
Janice Stephens ITreasurerl- (resigned b
March 20241
Irica Tate

Guvs and St Thomas, Hospital Kidney Patients, Association
Report of the Trustees for the year ended 31st March 2024 (continued)
Recruitment & Induction of New Members
Recruitment of new committee members takes place from time to time if existing members stand down.
The Executive Officers endeavour to ensure that new recruits bring additional skills or experience in order to
maintain the balance of the committee.
Risk Management
The Trustees have considered the major risks to which the charity is exposed and have reviewed those risks
and established systems and procedures to manage those risks.
The Trustees consider a key risk is the competitive market for charities and have been refreshing the
fundraising Strate￿ to ensure the Charity will continue to receive income to enable it to meet its objertives.
The charity has updated and improved its website and has reviewed its processes to ensure it complies with
GDPR legislation.
The Charity's major operational risk is to ensure that it has appropriate controls in place. The Trustees have
reviewed the adequacy of the Charitvs current internal controls. This review eonfirms that the Charity's
Internal financial ¢ontro55, in particular, conform to guidelines issued by the Charity Commission. The
Systems of internal control are designed to provide reasonable, but not ab501ute, assurance against material
misstatement or loss. They include:
an annual budget approved by the Trustees;
regular consideration by the Trustees of fin3ncial results of the charity..
delegation of authority and segregatSon of duties;
an on-line storage facility;
identification and management of risks.
The Trustees have considered the risks to the Charity following the Covid-19 pandemic and do not believe
this represents a risk to the status of the Charity as a going concern. In setting its budget plan for 2023124
the Trustees considered a number of scenarios for future income and costs. The Charity has an established
reserves policy and considerable free reseryes. In addition the Daniel Panormo restrirted fund could be
utilised for a wide range of projects within its restrlctlons. The Charity has minimal fixed costs and would be
able to adjust grant making should there be a sustained reduction in income.
Objectives and activitie5 for the public benefit
The principle objects of the Charity relate to the patients of Guvs & St Thomas, NHS Foundation Trust (the
Hospltall and are to promote the welfare of patients of Guy's and St Thomas, Hospital and their satg.Ilitg.
untts and the Evelina London Children's Hospital, who are suffering from kidney disease or kidney failure and
to support research at Guy's and St Thomas, Hospital.
Public Benefit
The charitable objects of the Charity are set out above and centre on support for kidney patients of the
Mospital. The Hospital, as an NHS Foundation I rust, provides free healthcare at the point ot delivery for
members of the general public seeking relief from sickness. The adult and children's Kidney Servlce provides
care to circa 3,000 patients of all ages who are suffering from chronic kidney disease, 2,300 of whom are
receiving renal replacement therapy throush either a transplant or dialysis. ￿ a specialist Kidney Centre the
Hospital also undertakes research. with academic institutions, into kidney related diseases and treatment to
improve care and outcomes for current and future patients.

Guvs and St Thoma5, Hospital Kidney Patients, Association
Report of the Trustees for the year ended 31st March 2024 (continued)
The Charity meets its objects through providing grants to improve the lives of patients. It achieves this by
providing a range of grants including funding social activities for patients and their families on dialysis,
supporting attendance at the Britrsh Transplant Games by adults and children who are patients at the
Hospital. It also promotes awareness of organ donation and Seeks to raise awareness of chronic kidney
disease. Where funds permit it supports research projects at the HospiLdl diid a550clated academic
institutions in relation to chronic kidney disease and transplantation.
The Trustees have reviewed guidance from the Charity Commission in relation to Public Benefit when setting
aims and objectives and terms of its grant giving policy and believe they have complied with the duty to have
due regard this guidance.
Achievements and Performance
During the yeai tlie Charity malnralned its financial position, ensuring that grant commitments are affordable
within its expected annual income and free re5eTves. The Charity is pleased to report the following
achievements following grants made or activities undertaken during 2023124-
Patient su
ort
The Charity committed grants totalling £15.237 to the Dialysis Units and Renal Wards at the Hospital. Units
organised parties and social events and purchased a Christmas gift for patients. A grant of £5,000 was made
to the Adult team towards the cost of attending the Transplant Games. The KPA organised the Fun Dav aRain
in 2023. at a cost of £3,330. A grant of £3,000 was made to King'5 College London for a renal dermatology
meetlng, in line with fund restrictions. A grant of £21,921 was made to Dr Theodoros Kasimatls for
feasibility study into biomarkers of rejection.
Other activities
During the year the Charity also undertook the followin8 activtties=
Supporting runners in the London Marathon.
Working in partnership with other Kp￿ IreEional and nationall
Producing a regular newsletter availahlg to all pationts. visitors and staff about KPA activitics and events.
H05ting a Facebook Group enabling patients to speak to other patients on-line.
Posting regular updates on www.gsttkpa.org and the KPA Twitter atcount
Membership of the National Kidney Federation Con*erence.
Attending patient information and education sessions at the h05Pltal to raise awareness of the KPA and
offer peer support to new patients
The charity is indebted to patients, their friends and family and H05Pltal staff who donate their time to raise
money for the Charity.

Guvs and St Thomas, Hospital Kidney Patients, Association
Report of the Trustees for the year ended 31st March 2024 (continued)
Plans for the Future
The Charity will continue to raise funds to SUPPOrt kidney patients atthe H05Pltal through a variety of means.
Following expenditure In recent years, free rese￿eS stood at £223,86612023'. £197,3501, with the Charitv
Reserves policy being £63,750. The Charity plans to commit further charitable grants in order to continue to
reduce the level of free reserves. In particular, the Charity is working with the hospital's Renal Psycho108y
Team to understand the best options for funding support that would specifically benefit the mental health
and wellbeing of kidney patients.
The Charity will continue to support patients through grants to the Dialysis Units, and for attendance at the
British Transplant Games. Following the success of previous Fun Days the Trustees restarted this popular
event in summer 2023 and plans to continue it.
The Charity plans to continue to grow its brand on social media. connecting with a wider audience through
a greater presence on Twitter and Facebook and is currently recruiting for a social media volunteer.
The Charity had five Gold Bond place5 in the London Marathon 2024 enabling sponsored runners to fund
raise for the Charity.
Raising awareness of kidney disease and organ donation remains a key objective and the Charity will work
wtth the Hospital and other related charitie5 to host information stands wherever possible.
For all of these plans to be successfully delivered, the Charity works in partnership with kidney patients, their
families/carers. kidney staff and the Hospital.
The Risk Management section sets out the assessment of the risks to the Charity a5 a result of the Covid19
pandemic and the mitl8ations in place to deal with any reduction in donations and income should they arise.
Financial Review
The Charity sets a budget for each year of expected income and planned expenditure. The Charitvs income
is derived from voluntary donations by patients, their relatives and friends, and through sponsored events.
Total income for the year to 31" March 2024 was £128,50512023'. £60,802) which includes legacy income of
£48,86112023.' £16,762). Given increases in interest rates investment income was £43,26512023- £17,0611.
The remainder includes income from sponsored events, in memory giving alongside gift ald. Income from
events such as the London Marathon has continued to grow. Total expenditure for tlie yvdl WdS £62,060
12023.. £36.6391. Overall reserves increased by £66,44512023.. £24,163). The Trustees remain committed to
continuing to reduce free reservès.
Reserves Polic
TheTrustees have agreed a reseNes policy to maintain unrestricted free reserves of £63,75012023= £53.2501
to enable it to meet regular grants as well as to finance governance and administrative costs for eighteen
months. The charity ended the period with free reserve5 of £235,828 12023: £197,350) and has been
discussing how this can be committed to bring its reserves back down to its resetves policy.

Gu￿S and St Thomas, Hospital Kidney Patients. Association
Re
ort of the Trustees for the
ear ended 31st March 2024
continued
Grant Commitments
During the year all grant commitments made were reflected within expenditure. The Charity finished the
year with £21,948 of commitment5 not yet paid 12023.. £nill. The Charity has no other grant or other
commitment5 which have not been reflected in the accounts.
Desi
nated Fund
The Trustees have established a principle that around IO% of any substantial unrestrirted donation would
be set aside into a designated fund for research, and the Charity intends to continue with this. This could be
awarded to support small research projects at the Hospital. During the period the no such legacies were
received 12023.. nill. A donation designated for research of £3,125 was received during the year. The
designated fund was £11,96212023'. £8,873)
Restrlcted funds
At 31" March 2024 the Charity had restricted funds of £632,87812023= f 606,5741. Of this E535,81312023:
£510,841) relates to a restricted bequest to Guvs and St Thomas, Kidney Patients Association (charity
number 2850861 by Miss Maureen Currie, in memory of Dr Patricia Currie, for the purchase of portable
kidney dialysis machines. That charity completed commitments to assist patients wrf(h home haemodialysis
through a grant to fund a specialist nurse in previou5 financial years. The Charity is discu55ing with the
Hospital how to commit the remainder of this legacy to achieve the maximum benefit and meet r(s
restrictions in light of the market for such equipment and research developments on the hortzon for such
treatment. Detai15 of other restricted funds are set out in Note 9 including the restrictions on their use.
Bank Accounts
The Charity has two bank accounts,. a current account with National Westminster, through which day to day
income and expenses are managed. and the COIF Charities Deposlt Fund which earns a higher rate of interest
and where donations are held ahead of grants and commitment5 being paid. All cash at bank 55 held in
instant access accounts.
Related Parties
The Charity has no related parties. However, it doe5 work in partnership with a number of organisations in
pursuit of its objects, all of whom are separate legal entities. These are Guy's & St Thomas's NHS Foundation
Trust Ithe Hospital), the National Kidney Federation, Kidney Care UK and other Kidney Patient Associations.

Guvs and St Thomas, Hospital Kidney Patients, Association
Report of the Trustees for the year ended 31st March 2024 (continued)
Statement of Trustees Responsibilities
The Trustees are responsible for preparing the Report of the Trustees and the financial statements in
accordance with applicable law and United Kingdom Accounting Standards (United Kingdom Generally
Accepted Accounting Practice).
Company law requires the Trustees to prepare financial statements for each financial year which give a true
nd fair view of the state of affairs of the Charity and of the incoming resources and application of resources.
including the income and expenditure, of the Charityforthat period. In preparingthose financial statements,
the Trustees are required to:
selert suitable accounting policies and then apply them consistently..
obserye the methods and principles in the Charity SORP,.
make judgements and estimates that are reasonable and prudent,. and
prepare the financial statements on the going concern basis unless it is inappropriate to presume that the
charitable company will continue on that basis.
The Trustees are responsible for maintaining proper accounting records which disclose with reasonable
accuracy at any time the financial position of the charity and to enable them to ensure that the financial
5tatementg comply wtth the Companies Act 2(X)6. They are also responsible for safeguarding the a55ets of
the charity and hence for taking rpasonable steps for the prevention and dctection of fraud and other
irregularities.
So far as the Trustees are aware, there is no relevant information of which the charitable companrfs
independent examiners are unaware. and each Tnjstee has taken all the steps they ought to have taken as
a Trustee in order to make them aware of any relevant information and to establish that the charitable
companWs independent examiners are aware of that information.
The trustees are responsible for the maintenance and integrity of the charity and financial information
included on the charity's website. Legislation in tlie Uiiiled Kingdom governing the preparation and
dissemination of financial statements may differ from legislation in otherjurisdictions.
Independent Examiners Report
This report has been prepared in accordante with the special provisions of part 15 of the Companies Act
2006 relating to small entities. Avraam Associates Limited were appointed independent examiners and have
expressed their willingness to continue in office and a resolution proposing their reappointment will be
submitted at the forthcoming Annual General Meeting
Approved by order of the board of trustees on 23, October 2024 and signed on its behalf by:
Sabrina Nelson- Trustee

Guvs and St Thomas, Hospital Kidney Patients, Association
Independent examinerfs report for the year ended 31st March 2024
Independent examinerfs report to the trustees of Gu￿5 and St Thomas. H05Pital Kidney Patients.
Association I'the Compan￿}
I report to the charity trustees on my examination of the accounts of the Company for the year ended 31"
March 2024.
Responsibilities and basis of the report
A5 the charity's trustees of the Company land also its directors for the purposes of company lawl you are
responsible for the preparation of the accounts in accordance with the requirements of the Companies Act
2(X)61'the 2006 ACVI.
Having satisfied myself that the accounts of the Company are not required to be audited under Part 16 of
the 2(K)6 Act and are eligible for independent examination, I report in respect of my examination of your
harity'5 accounts a3 carried out under section 14? of the Charitie3 Art 20111'the 2011 Act'l. In tarrying out
my examination I have followed the Directions Eiven by the Charity Commission under section 145151 Ibl of
the 2011 Act.
Independent examiners statement
I have completed my examination. S confirm that no matters have come to my attention in connection with
the examination giving me cause to believe:
accovnting records were not kept in respert of the Company as required by section 386 of the 2LK)6
Act,. or
the accounts do not accord to those records,. or
The accounts do not comply with the atcounting requirements of sectlon 396 of the 2006 Act other
than any requirements that the accounts give a true and fair view which is not a matter conSide￿d
as part of an independent examination; or
The accounts have not been prepared in accordance with the methods and principle5 of the
Statements of Recommended Practice for accounting and reporting by charities lapplicable to
charities preparing their accounts in accordance with the Financial Reporting Standard applicable in
the UK and Republic of Ireland IFRS 10211.
I have no concerns and have come across no other matters in connection with the examination to which
attention should be drawn in this report in order to enable a proper understanding of the accounts to be
reached.
C05ta
ICAEW
Avraam Associates Limited
495 Green Lanes
Palmers Green
London
N13 48S
Avraam
io-

Guvs and St Thomas, Hospital Kidney Patients, Association
Statement of Financial Activities (incorporating income and expenditure accounti
for the year ended 31st March 2024
Na* Swdj ItÈltrkkndlrKrffje
4fot•l
21ll3TMI
81.726
350
U64
43.741
3SO
13J33
29A32
13265
3L596
6331
6*33
45A82
524>
27,791
4A52
4A40
768
5.292
¥639
40.141
26304
24J63
IletM•rtmÈitknFt
40.141
44$
ToTrl
io
2S9A97
574
S66￿11
TOts1F￿9C¥rn2dFoAy2Ta
io
299.578
631.078
The statement of financial activities includes all gains and losses in the year. All incoming resources and resources
expended derive from continuing activities.
The notes on pages 13 to 20 form part of these finaneial statements.

Gu￿5 and St Thomas, Hospital Kidney Patients, Association
Balance Sheet as at 31st March 2024
ole F*i*
Rexrk*dFw•ts
Asm31stM•rth
QJRREIIT ASSEfs
3571
869Qd5
¢athAt8ank
>20.4SI
6329OS
$53.356
632905
872h16
uABiunEs
tr1E￿TORS. thr￿5F3￿m (X* Wthn
Oneyear
25521
27
IIETaJRAÈ14T ASXTS
299&78
632018
9x456
866fj11
roy￿A$SET$ LtSSTOTALUA8iunES
Z99.5n
456
FVIIDSOFTrECII•Airi
ZB7ts16
IL962
287h16
11962
632378
Des*natedlrtoTh
8A37
606574
632378
TOTALSUIIDS
21Y,S
6XV•
The charitable company is entitled to exemption from audit under Section 477 of the Companies Act 2LX)6 for the year
ended 31" March 2024.
The mernbers have not required the charitable company to obtsin an auditof its f1nancial statements forthe yearended
31" March 2024 in accordance with Section 476 of the Cornpanies Act 2006.
The trustees acknowledge their responsibilitie5 for".
Ensuring that the eharitable company keeps accountin8 records which comply with Sections 386 and 387 of
the Companies Act 2006 and
Preparing financial staternents which give a true and fairview of the state of affairs of the charitable companv
as at the end of each financial year in accordance with the rèquirements of Sections 394 and 395, and which
otherwise comply with the requirements of the Companies Act 2006 relation to financial statement5. so far as
applicable to the company.
These fin8ncial statements have been prepared in accordance with the special provisions of Part 15 of the Companies
Art 2006 relating to small charitable companies.
The financial statements were approved by the board of trustees on 23 October 2024 and were signed on its behalf
by..
Sabrina Nelson - Trustee
The notes on pèges 13 to 20 form part of these financial statements

Guvs and St Thomas, Hospital Kidney Patients, Association
Notes to the financial statements for the year ended 31st March 2024
Basis of Preparation
We have set out in the Report of theTrustees a review of the financial performance and charity's reserves
P031tion. We h4ve adequate resources and are well placcd to manage the businc": ri4k. Our planning
process, including financial prtsjèctions. has taken into consideration the current èconomic climate and its
potential impart of the various sour￿5 of income and planned expenditure. We have 8 reasonable expectation
that we have adequate resources to continue in operational existence for the foreseeable future. We believe
that there are no material uncertainties that call into doubt the Charitvs ability to continue. The financial
statements have ther&fore been prepared on the basls that the charity is a going concern.
The f1nancial statement5 of the Charity, which is a public benefit entity under FRS102. have been prepared in
accordance with the Charitie5 SORP IFRS 1021'Accounting and Reporting by Charities.. Statement of
Recommended Practice applicable to charities preparing their accounts in accordance with the Finantial
ReportinR Standard applicable in the UK and Republic of Ireland IFRS 1021 leffective I" january 20191,.
Financial Reporting Standard 102 The Financial reporting Standard applicable in the UK and Republic of
Ireland, and the Companie5 Act 2006. The financial statements have been prepared under the historical cost
convention.
Accounting Policies
The principal accounting policies are summarised below. The accounting policies have been applied
consistently throughout the year and in the preceding year with the following exceptions. The presentation
currency of the financial statements Is the Pound Sterling 1£).
Fund Accounting
General income funds are unrestricted funds which are available for use at the discretion of the Trustees in
furtherance of the general objectives of the Charity and which have not been designated for other purposes.
Designated income funds a￿ unrestricted funds which have been designated for a Specific purpose by the
Trustees. Unrestricted income funds can be transferred to the restTlCted fund wherethere is a shortfall in funds,.
however, this is not available vice versa.
Restricted funds are funds which are to be used in accordance with specific restrictions imposed by donors or
which have been raised by the charity lor particular purposes. The cost of Tai5ing and administering Such funds
are charged against the specific fund. The aim and use of each restricted fund are set out in the notes to the
financial statements.
bl
Incoming Re50urce5
Income 15 recogni5ed in line with the following treatment..
Donations and legacies are includèd in the accounts when they are received.
Donations received net ot tees are grossed up.
Gift aicl is recognised on an accruals basis where conditions have been met to be enable it to be recovered
The value of any voluntary help received is not includcd in the acttsunts but i"
deatribcd in the Trustee s
annual report.
Investment income is accounted for on an accrua15 basis.
Support costs are allocated between the c05t of generating funds and governance costs based on
estimated time spent by the administrator where incurred.
13

Guvs and St Thomas, Hospital Kidney Patients, Association
Notes to the financial statements forthe year ended 31st March 2024 {continued)
Rèsour¢e5 expended
Expenditure is recognised on an accru31 b3SiS as a liability is incurred, where a legal or constructive obligation
commits the charity to paying out resources. Expenditure includes any VAT which cannot be recovered, and the
VAT is reported a5 part of the expenditure to which it relates..
Costs of generating funds comprise the costs associated with attracting voluntary income.
Charitable expenditure comprises those costs incurred by the charity in the delivery of its activities and
services for its beneficiaries. It includes both costs that can be allocated directly to such activities and
those costs of an indirect nature necessary to support them.
Governance costs include those Costs associated with meeting the constitutional and statutory
requirements of the charity and include the audit fees and costs linked to the strategic management of
the Charity.
Charitable Grants
Charitable 8r3nts made by the charity are cotnrnitted to expenditure once a constructive obligation is made,.
decision by the Trustees to award a grant is treated a5 a commitment and is charged to expenditure with
corresponding liability created. This commitment is released once the grant is paid.
Tangible Fixed Assets and Depre¢iation
The charity does not own any tangible fixed assets.
Taxatio
The Charity is entitled to exemption from corporate tsxation on its charitable activities.
14

Guvs and St Thomas, Hospital Kidney Patients. Association
Notes to the financial statements for the year ended 31st March 2024
(continued)
Incoming Resour0$
Re5trktedFuThts
2024Tc¢al
ZQZJToi31
vobJrtsrylrKrrfne
Donati
13.gJ7
16341
48161
3.527
14161
16,341
4&861
9.143
14985
16.762
2051
43.741
SpDn5ared Events
£IftAid Rtcti*ab
82.726
2.164
A¢tr4th*sFofGÈrtralryFu
F￿n Dèy
350
3SO
Irt4estsnemitKLYne
InvesDnentlnEome
I3￿33
13,833
29A32
29A32
17M61
43.265
I7￿51
31,556
IU.SUS
SU,BD2
15

Guvs and St Thomas, Hospital Kidney Patients. Association
Notes to the financial statements for the year ended 31st March 2024
(continued)
Total Resources Expended
1024Towl
2023T•i•l
1374
SJGO
6131
Lsrj
717
EYeThtP*4&thkn Fee5
5.2
3ts91
4.4C
TrawrfG3mes
2J62
131
?Sy
IIA
.106
125
15,237
Famty
33>)
33
76Z
Wet&rtt &S(KiIIMeth DEYeknprnÈnt
Wetsrte Martenar
Ix)20
sx
4320
3J17
12Y141
21921
2L9U
4S.182
5293
5Q775
27.791
852
817
13
S&7
5.292
3&639
16-

GUVS and St Thomas, Hospital Kidney Patients, Association
Notes to the financial statements for the year ended 31st March 2024
(continued)
Detsi15 of cèrtain items of expenditure
al Ernployees
There were no employees during the period and as a result. there are no ernployees who received employee
benefit5 (excluding employer pension costs) of Tnore than £60,00012023-nill.
bl
Trustee Remuneration and related partytran5actions
No remuneration or other bÈnefits were paid to the Trustees during the ye8r12023-nill. One Trustee was
reimbursed for expenseg of £13 incurred on behalf of the Charity1202B- F1 ?)
No Trustee or other person related to the charity had any personal interest in any contract or transaction
entered into by the charity durin8 the year12023-nill.
Independent Examintrfs Remuneratlon
Independent examinerfs remuneration for the year was £3,60012023.. £3,600).
Grant Making
The Charitv made thÈ fnllnwinB grants during the year:
Grnronakti
(hilysi& UnitGoTtsfiYpartie5ande*ents
Ath1ITfdtsplantGam￿Te?rn
Renèl DeTmatCAWm￿Tr8
FeasitMEty- &oma￿erS ofreiEthon
lSJ37 P?the1andeverttsfDrdvd￿5Is unrts
7,162 Grartlorte¥m wrbupationintrawplant8ames
3.ow 6rnntlOvdèrd5 ren31dematO￿BY meet
21921 GoDttoreseètthbirrnath*5frrfrÈRrti
47320
Debtors
Restrt*&Furts
20Z4Tctsi
2023Totsi
Debrors
6rftAid Re(eriab
QthèrDÈbtors
865
3966
3.366
2.706
3571

GUVS and St Thomas, H05Pltal Kidney Patient5, Association
Notes to the financial statements for the year ended 31st March 2024
(continued)
Creditors: Amounts Falling Due within one y•ar
Urre5trh*d Fw#ls
R¢str%ied Fvrds
1024Ti*al
2023Totsi
CRE￿TORs.. Al￿rtIF•￿￿r1XwYthkn
OnEYear
Trnd2Credit(K5
6%05
Gontcommthents
21521
25521
Z7
21,948
25.548
27
6￿5
Ur*e5tykted Furth Re5trKthdFund5
2024TI*l
2024TOtsI
Bto¥ghtlorw4rdrrKMmitsMents
ntC&MmitmeMs inyear
paid illYÈar
Commthentsairriedfthyard
12A54
27.741
42.131
47,320
21521
27
21948
£21.921 of the grant cornmitments not paid at the end of the year related to the Grant for the Feasibility
Siudy Inio tslornarkers of relectlon.12023.' £nlll
RESTRI￿ED INCOME FUNDS
al Funds held
The Charity held the following restrftted income funds during the year for the following purposes and
restrictions
Re5trKtedlru¥hy Fur￿5
MaJreenCLYrfeLegacv Fund
Newcross ur￿tF￿nd
Fund
RestriLWlncoTre Puryha5eof uortab1e(fia￿si5eOul￿eTht
Re5trictedlDcome Patieniactiv(oe5andevents3tthpNewCr￿5 Di3ty55 Unit
Stnctedlnc￿￿e Forp￿￿enthd￿lv5fUr[E￿bIpatrents
ReS￿ded Income TosurWiTMr￿rA￿nIpIti2Trts
Re5VScied Inccffle Ftypsy<ldo8Ka1supportf(Y￿tien
ReSthC￿dlThc0Me fvoR¢tstrthe benefitoffenalp8tlents
TtsnspkrttPati¥lts Fund
PsythSo8icalSur¢thFtyThJ
Dan￿1 PanGymOFL￿d

Guws and St Thomas. Hospital Kidney Patient5, Association
Notes to the financial statements for the year ended 31st March 2024
(continued)
bl
Movement in funds
The movements in funds are set out below
24
Ger*TrIF￿￿5
D?￿￿￿é￿eSe*thF￿r
9a.?84
4125
8Aa7
287hlÉ
I1￿2
TDtrlUn￿stllcTh￿Fw
259A3Y
510•1
13
olithy F￿d
1774
si
1>10
Pe51èwhFw
PÈYthlc%r4lSwrtFur
DardelPinoimoFur
T￿n￿%￿Well% Dl•P4slsLkn￿PL
P•nalDemalolctr
PiV¢ntEvent53réOutiw
Ad￿1T￿r4￿nt*ffi￿5
TDtaIR￿S￿1C￿dF￿
8L491
5.424
A5A?4
12
1641
2.1S2
606574
631878
B$4011
1285QS
162M601
9314S6
Restricted funds of £535,813 relate to 3 leg8¢y which was left by Miss Maureen Currie restricted to be spent
forthe purchase of portable kidnev dialysis machines. The Charity is in discu5510n Wlth the Renal Technology
Department and relevant clinicians at the Hospital about options tn commic a stagscred Spend Lu purchase
portdble machines once suitable machines have been tested and represent value for money. The Trustees
are mindful of the need to ensure that the remainder of this g&nerou5 legacy is cornmitted to achieve
maximum benefit and meet its re5trittion5 in lishi of the market for such equipment and research
developments on the horizon for such treatment.
Gift aid a$50clated With restricted donations is allocated to the restrlcted fund, and interest is allocated based
on the share of ttstal funds.
Thé Trustees of the Charity are in discussion with the relevant units to agree how all the restritted funds can
be committed in line with the Charitls objects and the donorf% restrictions whith are set OUL iii note 9a.
19-

Guvs and St Thomas, Hospital Kidney Patients, Association
Notes to the financial statements for the year ended 31st March 2024
{continued)
Transfers between funds
No transfers were made between funds in the year.
Analysis of net a￿ets between funds
F*edAssets Met￿rr￿ltAS5etr
TLtsI
UnrestrctedFund
RE5trKtedFur
299,578
63U78
Z99578
632￿78
931456
951456
2U-