21••
Iltu17
to19
D•l•W St•t•m•nt 01FhMnd￿ ACIMU

HwlthW4ttth MK CIO
R•port
Th• tnNts*I, who ar• itso dlrncton ofih• ¢h•flty for th• puipomi olth• Compinltt l£t 2(lJ6,
ytsent thelr wlth the un•udi1￿ fin•nd•l Jtitem•nts olth• c￿lIty lor th• y••r •nd•d 31
M•rch 2025.
lIEFER￿ AND AOMINISTrATINI DETAILS
(th•rM7 IIMI
Sutt• i
Mlhort K•mes BuslThess C•nir*
Lknbrd Wood
Mffton Kemes
MK14 6GD
The Dlrertors of the charlt•blE cornpiry •re h Tn￿¢¢$ forlhe purposes OICh•r￿ I•w.
Th• folknwlng Dlr•ctots •nd Twst••s s•md durln8 theyear:
P. 04v
M. ialanl
C Ok4er
M. T•it
J, Mtslen
{ftesl8ned 7 Au8wi 20241
& tsiell
V. Slnih
IResl8ned 8 October20241
(Appoimed 13 November 20241
(Appjlnted 13 Ntsvtmber 20241
IAppolnt•d 13 N(wemb•r 20241
E. Rewan14de￿rE
Ifons
A(￿untants
Flnova Partne￿ Ltd tl• IJR & Co
The 8•m
Ila Cween Catherlne Road
Steeple Claydon
Bu¢kln8harnshlre
MK18 2PZ
OWECTIVESANDAcnvmES
The charvs obhcts are ihe athancement of health and the rellef of those In rteed by reason of yO￿h.111
health. dlsablllty or flnand•l hardshlp. The polkles adopted In fvrther?0￿ of these obkcts ère:
• Prthiklln8 Infomtstk)n and advl¢e to th• general publ1¢ about local heakh and sod•l care seryke4
• M¥kln8 ihe vlews and eXperfert￿ of membtts of the 8ener•l publbc to health arKI soclll ca
pfovlders,
. En•bThni loc•1 P￿p1*tO h•ve • ¥oke In the development, delfvery and equalltyof a¢¢e55 to loul heatth Ind
care5ervkes and fadlR*s, aThl
Pale Z

H•thwtth MK CIO
R•pryt
. ProvKllTh8 li•lnln8 and lh• devebpment o15kllb lor ¥olunl••rt ind th wklercomwnlty In undeM*ndl
sUutln151￿ rèvlewlng Ind moftltorlng local health •nd c•1• MNlc•i Ind fKIMt*s,
Healthwatth MK CIO uses the workln8 n•me 'H••lthw•tch Mlfton K•ym•¢ to f•if•cl +)ur tor• s•ryk• d•ffv•ry
and provK4er of th• I￿1 Healthwatch In Mlltofi Keynes. H••lthw•tth MI￿on K•yn•s alms to 8fv• clltt•rA Ind
communltles In Mlkon Keyne$ 151rongervol¢eto holdtoaccounl, ¢hille￿*1nd Innu•nc4 th• qual￿4￿d d•s
ol heikh and sothl cire servlces provlded wlthln thelr locallty.
Thé trusttes hive ￿[d due regard to 8uldinc•1s5yed by the Ch•rlty Commhslon In d•ddln8 what th•
chartty should undertake. The Tru51ees hwe examlned the guldince Issued ty the Chlrlty Commhslor* and
confftrnt￿I Healthwatch MK CIOrneetsthe publkbenefft r•qulr•m•rrtln both of its•sp•cts Ith• benefft
and the publlc asptrtl.
Healthwatch MK CIO has both stslutory and voluntiry •¢tfvttles. Sl•tutory reswnslblllttes Inthjde repr•5enthi
the ¥lews and experfences of reclplen15 of he4Ah and socL41 care 5eN*es on the local Heatth and Welljelni
oard, rnonllorln8 innual Quallty Accounts produ¢ed by Provide￿ of NHS serylces. publlshlni evhlence ol
seNl¢e user, ￿tIent and taref experlence of health sod•lcare 5eNkes and provldlng advlce •nd swpostkni
to health and 50clal tare support. Volunljry actfvlt￿s kn¢￿de Enter and vlew vblts, the or8¥nts•ilon of pubmc
Ind p¥tlent engagement events, condurtlnaand a5sb5tlng wlth Ind projecls bn the hellthand soc￿1 ure
field. and enSUflng that the patlent and publlc volce kn heard Irbd icted upon.
Whlle the work of Healthwatch MK ao b coordln•tsd •nd ￿MInIrt•r1d by p•ld stsff m•mb•rn, Ifs
•nd scthe of Ils act￿lt￿5 depend up)n volunteers.
ACHIEVEMENTSAND PERFORMANCE
Healthwatch Mllton Keyne5 ensurns that vokes of th publlty ytlents. ser4ke users, thelr farnllbts •nd
carets ar• heard Ind reflèrted In polky d*dsIon.m•kl￿ In the he•hh ind sod•l ur• field. throuth the
publlc•tlon of evldence-based rese¥rch, tn8a8emtnt actMt*s •hd preSentat￿)rtS to strate8k Boards •nd
Commlttees of health and care Cornmlsslofie￿ irbd pro¥lden. Thls Indude5 the Bedf¢rdshlTe. Luton •nd
Mllton Keynes lftte8rated Qre 8¢•rd IBLMK IC81, Bedford5h￿e, ￿t0Th and Mllton K•ynes Hellth •nd ￿1•
partne￿h{pl8LMK HCPI, the Mll¢on Keynes He•tth ar*d Cale Partn¢nhlp IMKHCPI and Its functknns as the
local Heakh and WeMbeln8 Board and 8LMK Integrated Care Sy51em's 'Plxe' 8oaTd. ljlliton K•yn•5 Clty
Councifs Health, Houslng and Aduli Soclal C•re Scwutlny Commlttet Ind Mllton Keyne5 Unlverslty Hosplial
Tw5t Councll ot Govèrnors.
Heahhwaich Miiitsn K•yne5 coll•borrtes ottrk•r He•lthwitch bodbes In Wfroundlng Local AutlKrlty
areas to monltor the dwelopm•nt Ind del￿ery of ihe Bedforthhlr•. Luton and Mlhon Ktynes Intey•t•d
Care System IBLMK ICSI. A memr•ndurn of underntsndln815 ITh plate bètweert He1￿hWa1th Mllton Keyne5
and other local Heatthwatch In Lulon, Centrnl 8edfordshlre and Bedforf Borou8h that Sets out
collaboratlve workln8 agreement to ensure ihat the wJl¢es of all Communllles In 8edlordshlr*, Luton and
Mllton Krynes art equaltyand equftabty In¥olvÈd In the wowk ofthe BedloTd5hlrt. Luton and Mllton Keyn•s
Integrated thre System. A memorarrfum of underst•ndln8 between the BLMK loul Heèhhwatch
Colkboratfve and the BLMK Inte8rated Care 804rd Ls In place and nqutsrty rtvlewed to en$￿￿ that the
and experfences of r•sld*nts wiihln all four unlt•ry autlK>rliles vAth 8•dlordshlr•. Luton and MI1￿￿
Keynes I￿ egualty repres*ffted ar￿ (onslder¢d.
He•llhwatrh Mwton Keynes h¥$ • prn8r•m of seNk¢ e4•lu•ikni •NI suutlny proJ¢£ts whkh In¢￿deS
pro8ramrne of Enter and Vlew vts￿ Into health and ure serllces. He•lthwat¢h Mltton Keyne5 •1so delknr5
• w08fam￿0fefi8a8ementw1th thepubllcthmuih planned4nd respons￿leen8alerne￿ttVents and foc
8roups. Healthwat¢h MI￿on Keyne5' Annu•l GeMral Membèrs IAGMI meetlngwas hekl In Nob*mbtr 2024.
P•Re 3

H••lthW•tth MKao
TrustMsAnnuAI R•wt
H*1￿hwItth Miiion Keynw pub115hes •n Annu•l R•port on 30th Jun• •acfv y••i, • morfhty dWI
MW4Ietttrfof sub5crlbefS, qU•rt•rty Isjues reports forih• publk•nd lor h•alth •Thl•¢r• prof•Jsk*n•lJ, •Thl
m•knl•lns • perni•nent telephone•nd web-b¥sed lfiformitlon ind ilinpostkniseNk•lorth• wbktoswk
suppor( s￿rI exper4•nc•5 of c•r• Ind rats• compllfflqrrts Ind Cowfns •boui h•alEh •nd ur•
s*Thlcos.
He•fthwiich Mllton KeyThe5 publbhed fflThdln8s from a prwimme of Enter •nd tth to thkieen Caf•
Homes, •nd three GP PrKllces. The chJrlty publlshed ieports on GP *cess Ind Ini*hts from the D:De*f
commun*y, P•tlent Partklwtlon Group IPPGI support toolkjt 4r￿ In¥ofv•m•nt In h••tth r•M•fth.
H•althwatch Mllton K•yThes und*rtook several slnbficant •ni4•ment •Cll¥ltkn Ir¢ports pend
publltatlonl Ineludlne co4e518n workstr¥)ps for Mustulo.skoletsl )trvkes. e¥ptrlenceJ of c•r* In l¢m•l•
menial health Inpal￿fit facllltle5, i55es5ments ol the local h•ahh Mrvk• provlslon ol trahststbtsn and
terpretknB and an knp•ct revlewof support io Pafent Qrers.
Heahhw*th Mll¢on Keynes r•n publk en8•Kwn•n( and 115t•nln8 •vents conc•mln¢ m•nopause.
rnenial heakh support. mèn'5 health. stayln8 well In Wlnter, Tr*ns+ experlences ol GP s*rvkes, and
Inequalltles. Healthwatch Mlkon Wnes supported Health￿tCh Engl•nd tts devebp specbfflc trnlnlng lor
lunteers undertaklng EThler and vl¢w kn Care Hoffl•s. prov4d•d C•r• hom• st•ff wlth •war*ne5S tr•lnknR
Of LG8TQ+ •nd took•n ￿t￿e rtslE In IrKre•sln8 en8•8em•nt In th• lo¢•1 Pharniaceutkal Needs
•nd lO￿lAtt￿n Nètwork on Hypertenslon.
In add￿kIn, the chorlty contlnued to t•ke •n •Ufve role In supportln8 the strntqk commbslonlni work ot
Bedfordshlre, Luton irbd Mlfton Keyn*s Inte8rnted C•r¢ Sysi¢m IICSI Ind supportln8 Mllton Keynes He•lth
•nd Care P•rtfiersh￿ to reylew pro8ress a8ibnsi its 8￿tchI￿ Pathfftnd•r InIt￿t￿.
*althw4t¢h Mllton Keynes 1fm1￿e$ tltlzens dlrertty In Its aclmtles In¢ludln8 thelr vlews on wh* •ufvltle5
the Charity shoutd prforltise. In the p*nnlng and delivery of lis Entei Jnd V*w vlslts. ITh reseirth, anaty$6
•nd as patlent represtntaifves •t bc•l eoard$ •nd Fowms. Healthw•tth Mlhon K•ynes rn•knt•lAs a youp
voluntee￿. excludln8Trustees.
FINAficiAL REVIEW
The charty rece￿*$ irnnt fvndln8 frorn Mllton K*ynes Coundl, ￿ld anfiu•l￿. The currefit irnnt •8reement
covers a perlod frorn 1st Aprll 2023- 3151 Mar¢h 2026 for the sum 01£173.644 p•r innum. Th￿ sum Is
constantthrou8hout the 48reem•nt perlod Ind not subject to Infvtlm.
There Is no current Indlcatlon of In re8•rd tothe Charws miln 8rJn¢ but H•althw•tch Mllion K•yn•s
lao) holds sufflclent funds foi a 5ofvent c105ure ￿ means of three month's operatlnB costs hebd In rtserves
•nd on these ba￿ the Board of Truste•s belkn the8oln8 concern ￿$1$ of prep•riiion 6 •pproprkiit.
It Is the pollry of H•atthwat¢h Mllton Keyn•s to unrestrlct•d funds whkh hiv• not b••n d•sl8nited
for 1 5p¢¢fflc to rn•lntaln reserves at a lev¢lto support runnln8 costs bn the eventth•l a chaNa• In
government or COMM￿s1OnIng pol* necessltstes the wlndbng up of the or8an15atlon.
On an annu•l Heakhw•tch MI￿0n Keynes wlll woduce a bud8et lor the full flTr•nc￿I ye•r. •nd • slx-
month Reforecast forOrtober- March. and wlll Set i Th￿nIMuM ieserves cakulatlon based on itsestlmates of
the sums requlred to achle¥* In orderty close4own of the or8aTh15o1k*Th Thls Is bal•n¢•d wtth the fundkn8
av¥li4ble •nd t•kes Into conskleratlon the Ilketyfunds requlred to support the oryinh•tlon W the￿ & • lat•
payment of • eontract Involce.
P•Re4

W•tth MK ao
TNttwsAnnu•l R•wt
Res*ms revlews wlll tike Into 4c¢ount stifl c05ts Idurln8 th• cloi• down Ind •t th• •nd olth• corfr•cl,
•5sumln8membeTS ol staff are not transferred to •nother ory•nls•llon und•r TUPEI; any contr•rtt•rr
{olhte atcommodavon and office supplle51' legal 8fid profeMlon•l lees •nd runnlfq Costs. Th• 8o•rd w
keep the level of restThES under an annual revl•w to •nsur• th•t •d•w•t• •Thl ipprowl•t• to me•t th•
requlrtments of th• oryanlsatloTh. Th• wrrent r¢s•Nes sum hii IM•n rwlv*ed ty th• 8o•rd olYnMie•J •t
£69,QlJ).
Total Re5eMs at th*year-end were £119,205
The cash fvnds attheye¥r-end were £125A70. 011 ofwhkh Is unrestrkted.
In addltkn to the core fvDdlNd mentlonèd •bove 01 £173,644. Hel￿bWatth MI￿0￿ Keynes ret￿nISed
fvrther IrKome from 8rants and contracts of E112,485. A*nffic•nt element of the cash lor this fvrther
Income was rect￿ed In the prevknus flnanthlyeor.
The tlme span forsome ofthe Pfo*cts cobtrs both 2*25 ind 2>26 and thus Incon* h•$ onty Wn
recognised In the Inc¢the and eXpendl￿fe ac¢ountwhen It has been earned. Any fvndlng re￿￿ed ty3tst
March 2025 but relatin8toworkiO be carrled out afterth• year end k shown a5 deferred Income In the
ba￿￿te sheeL
Hea1¢h￿dtch Milton Keynes current end ofyearfvnds e%￿ed that of our planned reseryes as it3V3125.
Funds belng carried forward Into ihe 202>26 refiett the need to bumd up reserves to cover Yea￿ In the
fuwre where there may not be $0 much opportUDltyto Increose fvndsthrough prolEW-SO c•n conllnue
io be ableto pottnllaltyvAnd upthe thailty In an ordeth m•nner.
The charlty Is budgeted to mak• ¥ delkjt In 25126whkh In¢￿d•S ¥ hjsson MKCcore sef%kn the
Infiation olc05ts related to the provlsknn oftht seThtces bekngcovered tythe lebtl ol the ir•nL
The trustee5 have a$5e5sed the mah>r rbsks to whkh the tharlty b exwd and are ￿t￿lled that systems are
in place to mit4gate eiptssufe to the major rtsks.
STRUCTURE, GOVEf¢NANCE AND MANAGEMEKr
The charity ts a chafiuble Incorporated oryanIsat￿n s￿l￿ed ty a Charlty Comm555k>n Founthtlon model
constitutlon for a Charft•ble Incorporated Organlsatbn. Hearth¥Rtth Mltton Keyres QO amended Its
governin6 documèntfrom c￿ AssoclatktTh IReglstered 21 Marth 2016to 00 Foundatk*n on 29 September
20231.
re8tstèred as a charitywth thè Charlty Commtssknn on 2tst March 2016, charlty number 1166148.
Trustees are appointed folkswbng the procedures lald th)wn In the Consiitution. TNstees a￿ appoknted for a
temi ofthree ye•rs. and can serve forthree consecutNtt•m% The maxknum number of trust•es permltted
15 12.
Healthw*th Mltton Keynes ha5 0 nucleus of Pa￿ stsff. In¢ludlnga full-Ilm* CEO and dewity CEO. and three
parttlrn* office￿, deal1￿ ￿PecI￿ety wfth admlnbtratlon. communkatlons. engagement. and proyamme
delfvery. The charitycontratts sessional worker5 for ad h¢K 5UPPOrt. One sessbortèl WO￿trWaS *mployed
the thoilty In 2023-24. Yhe Charfty also funded, from athlltlohal grnnts and wntracts tempornry posts for
delfvery of 4reed a¢Uvttles.
PWS

H•thW•tth MX ao
The thlrfty is p•rt ol • ofloc41 He•lthw•tch ctronllNt•d by• fi•th)￿ Hufvlr￿Cfv
ETh￿1nd.
Al new trnstees •re Inducted by the Ch•lr of Healthwatth Mlkon K•yn•s •nd Chl•f Ex•cu¢hw Offk•r and •r•
ven ￿$1¢ document•tbn on the work olih• ory•nlMtloh, Includlw lh• Comtttulknn, St•ndlrrf Pro¢•dur•s
•nd Tems of Reference lor Trustees.
The Tnjsttes are resp)nslble fof keepkng prop•r •ccounilni r•cordsih•t dlsclom w*h r••wnalA•
•ny tkne the Ilnancknl FKJsltlon of the charlty to ihem to •nwr• th•t the Iln•nctsl
eomptywlth the Companles Act 2W6. The Trusiee5 ire abo responslble for $•fe￿•{d*& the •wts olttrk•
tharfty4nd hence ta*kn8 reasonable stepsforihe preNYntlon Ind d•tortJon of Irdud and other Irrewlath
He•lthwatch Mlllon Keyne515 grant fundod by Mlfton Kynes Councll byt •¢ts ¢ompl•t•ty Ind•p•nd•n*.
The above report has been preparnd In accordance wlth the WO￿10￿$ jppItsb￿ to companl•s subhct 10
Iht small companles re8lm¢ as set In Part IS of the CornponlesAct 2CKJ6 •nd In •¢￿IdarKe vthh th•
Ch•dtles 50RP IFRS 1021.
S*ned on behalf of the t#)ard
Cha*pe￿o￿ ofthe board of Truste•'s
6Au8Wt 2025
Pwe6

H••tthW4tth MX UO
Ind•pIn￿ £K•mln•r's R•portto th•trUSt••s of H•4lthWrtth MK ao
l ￿por¢ to the tharlry trustees on my ex•mlnatlon olthe fln•n¢l•l st•tements ol He•lthWrt¢h MK CIO forth•
y••r tnded 31 M•r¢h 2025.
R•Sp￿￿1b1II1b1S and b•sls of r•wt
Asthe chadtvs tnJ$tees of the Compiny l•nd also ks dlredors for the purposes of c¢)mp•fiy l•wl you •r•
responslble forthe preparatlon ofthe fin•nthl ststements kn Kcordano w*h th• requkewmrts of th•
Companles Act 2006 Ilhe 2006 Act'l.
H•vlN8 ￿tISfied my5elfth•t the fln•nclil statements of Ch•rlty ire not requlred to be •udlttd under P•rt
16 of the 2￿6 Att and are eliqlble for Independent exarnlnatknn. I report In re5ped of nry eMmln•thJn of
yourcharftvs fINanc￿l statements a5 catt*d out undersedlon 145 of tht tharltle5 Att 20111'the 2011
In carrwnKOUt my e￿mInatIon I h¥vt ftsllowed the Olrectlons8k4en tyihe Charbty Comlssh>n urKlerse¢i
145151 Ibl of th* 2011 P£L
Independ•ht ex•mlne¢s st•t•m•b
I have ttjrnpkted my examlnatlDll. I can confirm that no mat•rlal manws ha¥e ¢ome to my atterttknn In
nnection wlth the examlnatlon 8fvI￿ mè cause to telleve..
accounting recordswere not kept in accordanct wlth settknn 386 of 2(1)6 Art. or
the financlal statements do not accord wlth th¢>se records: or
the financlal statèments do not compty wsih the accountlng regulrements undef sethon 396 of the XN
Art other than any requirement th•t the ffinancial statements a'true and fale vlewwhlch Ls not a
matterconsldered as part of an Independent examlrbatk*n,' or
the ffinanclal statements have noi been prepared In accordance wlth the methots and pl1ndp￿S of the
Statemènt of Recommended Prxticl foraccounting and reportlng ￿ charities applicable to charltles
preparin8 their accounts In accordar*e wlth the Flnancbal Reporti￿ Standard appllcabie IA the UK and
ftepublit of Ifeland IFRS 1021.
have no concern5 and have come across no other matter5 In connectlon wlththe examlnatK>rt towhkh
zttpntbn should be drawn In thts report In order to tn•bk ¥ proper understandlt¥A of the financial
statements to be reached.
p4A
Mohammed Ahsen AkafAslam MMT
The A5s0thtkJn ofAccouniing Technldans
Fin¢rd Partners Ltd tla AIR & Co
7he garn
Ila Queen Catherlne Road
Steeple atydon
B¢Kkln8han¥hlre
MK18 2PZ
6 A¢i8USt 202S
P￿*7

H•thhW•lfh MKCIO
stst•m•nt of Athlll
ft¢th•￿r •nd•d YI M•r<h 202S
Iwith Tfknl lund•
2015
Not••
Donitlons 4r￿ lei•ths
286.129
206.129
244,231
Tat•l
286.129
286,129
244,238
tKp•ndAw• on:
R•151nifunds
Dlrert ch4rlt•bltr •(t￿thI
Indlrttt thirlt•ble •ctMt*s
Tot•1
Sm5
1602
237.986
245,593
2.602
237.986
1.920
),937
196.756
245,593
Net 8alns on Investments
N•t Ir4tom•ll•xp•ndltur•l
Transfers b¢￿ten fund5
40536
40,536
47.482
N•t IrKom•ll•xp•fidlt¥r•l
b•for• 0th•rIaln￿II￿m•lj
Oth•rimlns llDd lo>
mo¥•rn•nt In lunds
10536
40,536
47,482
40536
40.536
47,482
A•¢ondllrfiw of fvnds:
Total fund5 brou8ht forw4rd
78168
78,868
31.386
P•A¢ 8

Hmthwrtth MK ao
Forth•yw•nd•d Ji Mw¢h 202J
286,121
144.231
286,129
244,219
244,238
195,939
np•knMnt offt%èd auets
lJ74
817
245,593
196.7S6
Nei 1ncomèll•X￿ndIiUI•l b•lor• t•x
for t￿v￿r
40J36
47A12
P4•1 In¢¢m•ll•vp•ndStuf• Hwth•y•

HulthW•tth MK CIO
Not•sto th•A¢founts
th• y••r •nd•d JI M•rth 2025
l Acu*ntlw polkl
••sholpryr•tlon
The fknin¢l*l st•tements hi￿ been prep•red In •ttord•nce wbth Ae¢ounllw Ind R•pc*rtlrrf ty Chathkn:
Statement of Attommended Pr•rtke appIl￿b￿ to chrltk•i pr•p•rln4 th•lr •ctovnts kn attord•hc• wfth
the FlnaTrclil Reportl￿ Slandayd appllcabli In th• UK •nd R•publk of Ir•land IFRS 1021 1•ff•rt￿Y i
January 20191- ICh•rttbe5 SORP IFAS 10211, th• F1n•ftt￿1 R•portlni St•nd•rd *ppk•bl• In the UK •rrtl
Republk of Irelind IFRS 1021 Ind th• Comp•nlu Acl 2(X)6.
th•ny In b•* of ￿oUntIn1 ofto W•¥10￿ •ccounts
There has been no change to the a¢¢ouniln8 polkhs (v•￿•tIon rul•s •nd m•thod of •ccounthii1
last ytar •Dd no ¢h•nies hiv• b•¢n m4d• io Iwunts lor pr•vloui y••rs.
Fund tt￿ntI
Unrtstdcted funds These 4re •valLibSe lor use It th• dtscretlon of the trustees In lurther•nc• of the
general objeds of the charW.
These •rn unr•strknqd fund5 elrniarked by the Inmtees for partkul•r puip05es.
Those am unrestrkled funds whkh Include • rev•lu•tk)n reMr*4 r•presenthwth•
restatement of Investment •ssets •t ihelr m•rket v•lues.
Th•s• are av•ll•ble for us• subJ•ct to r•strktkns lrnpos•d tyih• donororthrou
terms of In app••l.
De5*nated funds
Revaluatlon fund5
Restrkted fvnd5
Income
Reco8nitbon of
Income
Income b In¢ludtd lrt the Siitemeni of Flmnclal Act￿lI1e$(SoFA> when the chartty
becornes eTht￿￿d io. and ¥￿ul1￿ ¢ert•ln to recefvè, the Incorne and th• amount ol
th• Incom• c•n be m••sur•d w￿h suffident r•llabllKy.
Incomewiih rel•trd Where In¢ome hw rel•t•d expendltur•th• Income and rnl•t•d exp•ndtiur• Is
expeNd￿Vre
reported iross In lht SOF
Donatbns and
legaclts
Voluntary Incom• r•c•l¥*d by wayof4rants. donitlons •Thl qfft$1s Incknled In ¢he
the SOFA when recefv•bl7 ind o*wh•n th• Ch•rlty has uncondltk+MI
ent￿lement io the Income.
Tax reclalms o
Income from tu rectslms b Induded In the SoFA•t the ume tkn• 4$ th•
don•tlons •nd8fft$ 8fftldon•tlon to whkh bt f*l•tes.
Oonated servl¢es
Th￿* af• Indud•d In Income Iwtth In equlvilent •mount ITh •xp•ndlturel
and facmltles
where the ben*fft to the Charlty h reasonably quantlftable, me•sur•ble Ind
rnateilal.
The v•lue of•nyvo￿ftte•r ￿e￿Id h ftot Induded Inth• accounts.
Vdunteer help
IrwestnRnt Income Thts h Induded In the x¢ounts W￿ft rneth•bh.
Galnsll105sesl on
Thls Includes •nyyln or k)u rt5ultlw from Investments tt* rn•rkei ￿lue
r•valuatknnof fftx¢d at th• end ofthe ￿¥T.
assets
GalnslllDS5e51 on
Investment •￿t￿
Thts Inchjdes any8•kn or loss on the sale ol Irwestments,
PIRe 11

H••lthWthh MK CIO
Exwthtur•
Ret(*nlllon ol
eypeb)d*urt
Eypendlture Ls recoinlied on in itcru•ls b•its. Eyp•ndttuf• •ryVAT whkh
c•nnot be fvly Yeco¥ered, Ind is reported •$ p•rt of the oxpendRur• to whkh It
relates.
These comprtse the ¢osts isso¢l•ted wlth •ttr•ctlni voluntary kncom•, l¢mdr•&l¥
tr•dlng costs •nd Investment m•n•8ement cojts.
Expendlture on
These ¢omprLse the costs Incurrtd bythe Ch•rlty In the dtltrrtry ol Ms •ctMt*s and
thafftab￿ •ctMtles serylces In tht furtherance ol oblects. *Kludlni th• m¥klni oly•nts •Trd
8overnanc• costs,
All Brant eXpend￿￿re15 accounted for on In ittual pakl basLs plus •n •ccno1 for
grants that have been •pproved by the trustees •t the end of the year but not yel
pald.
Govtmance costs These Indude ih05e costs 4$s￿la￿d whh meetlni the Constft￿lonII •rtd stat￿l)ry
requlrernents of the Charlty, Includlni any ath4ltlindeper4deni examlnaiknn fees,
Costs Ilnked to the 5troteilc manayment ofthe Chirlty, together wlth a share of
other admln15tratk)n cost&
Otherexpendliure These are wpport Costs not •lKated to a part1cuL•r¥rt￿lty.
Expendlture on
r•151ni fvnds
Grlnts payable
The charty 15 exempt from corpOrat￿n taxon its ¢h•rltsble
T*￿Ible Ilxed •sMts and dewed•tlon
Depreclatlon ts Pfovlded atthe follow1￿ annual r•tes Ih oftlerio wrlte off each xset o¥er bts esilmated
Useful Ilfe..
Comwter equiprnent
33.33% St￿l8h¢ Ilne bas
F￿tUre and flttln
15.C¥YA Stralaht Ilne basis
Tr•de•nd other d•btors
Trade and other debtors are recognlsed ai the settkmeTht amount due after any trnde dtscount offered.
Prepayments orevalued atthe arTr)unt prepJbd net of •rtytrad* dlscounts dut.
ash •nd¢ash •qufv•hnts
Cash and cash equfvalents cornprlse cash at bank and on hand, demand dep051ts wlth banks and other
short-terrn hlghty Ilquld Investments whh orfBlnal maturrtl*s of three months or le$5 and baftkoverdrafts.
In the statement of fmancial posllK*n, bank overdrafts are shown wlthln borr￿1￿8$ or currnit Ilèbi1114e
In the Statement ot C¥sh Fbw5. cash •nd c•sh e4UNa￿nts art shown net of b•nk D￿rdraftSthat are
repayabk on dernand and f¢*m an Inttyrjl partofihe companvs cash nwna8erMnL
Trade and oth•r tr￿1101$
Short temi credltors art measur•d atth• tranurtbn prtc•. Othef credltor5 and p￿￿SIr*n$ a
recc¥nLsed where ihe charlty ha5 a present obllsatlon resultI￿froM a past eventthat wlll probabty
result In the trnnsferof fvnds to a thlrd pawty and the alr￿￿Trt due to settle the obH8atk*n ¢an be
measured or estirnated rellabfy. Credltots and pfovlslons ale nomiilty reco8nlsed atthelrsettlement
anbjunt after allowkn8 for any tradè dlstounts due.
Pale 12

H••lthW•t¢h MK tro
Notesknth• Accwnts
The CK)l ￿nd￿n*1 •nd pTtsent•tlon•l Cufrnncy h GBP.
Al exth•ry difftrtncrf irt •re t•k*n Into •ccount In •rrMni * n•1 InWM￿+xp•Thd￿U￿.yf•￿*Cl1om In
¢￿￿er￿￿5 other thin the funrtlon•l currency ol the thirlty •f• record•d il the i•t• ol eM¢h•rrf• on th•
d•t* that tht tr•N•ctlon occurred. Monetary •ssets •nd Il•bHttkn d•nomkn•l•d In curr•rtks oth•r th•Tr
tht funrthjnil currency of th• ch•rky •rt tr•nslated •t th• r•t•s ol•Kh•rrf• pre¥•llkni ￿ th• •nd olth•
rtln8 peTlod.
The charlty opefats5 1 d•fined contrllmrtlon plan for Its •mpltyrf*•s, A d•fln•d corfrtlxrtlon plan ts *
pen51on plan ynd*r whlch th• Com￿[￿ Pa￿ fixed contrlbuth)ns Into • 5ep•rat• enttty. Once the
contrI￿tIOnS ha￿ been pald the comp•ny h•$ no further p•yThents olA*atbns, Th• eontrltyjtlons •r*
rtto8n15ed as expenses when ihey fan due. Amounts not pakl •r¢ shown In accruals In th• bal•nc• sh••L
The assets of the plan •re held sep•ratety from the company In Independentty ¥dminbtefed funds.
Rtt•lptof doMt•d ioods,fadlhl•s and s•rbk¢s
All donated 8oods, f•dl¢tles and servkes recefved are reco8ntsed wlthln ￿n￿rnIr￿ resources Ind
expenditute at an estlmaiè of the walue lo the charrty.
2 Comwy st•tus
The company15 a tharltabLe Incorpordted oty•ntsath)n reOst¢red wlth charltles ¢ommtsskJn. Ilmlted
8uarnntee and consequentty does not h4ve5hare capttal.
3 Staten)•nt OfAn￿¢￿Il Acttth. prtw y
Unr•strfcte
funds Tot•1 furrfls
2024
2024
Donat￿n$and le8acle5
Total
244,238
2H.238
244.238
244,238
Expendltur•<)n:
Raisin6 funds
Direct Chorhab￿ artfvltle5
Indlrett chafltable actmtles
3,899
1.920
190,935
3,899
1.920
190.935
196.754
Totsl
196.754
N•t IntiKn•
47.482
47,482
Net incomt befrye oth
ialnslllossesl
Otherylns and lo￿.
Nel rnov•m•nt Infunds
47.482
47.482
47.482
47.482
R•cond15atlon ol fvnds:
Totsifvnds brou8ht fonvard
Tfrtal lunds carrfed forward
34.661
31386
P•A¢ 13

••thwthh MKCIO
T*)
To
10
GnThts from Centr•l & Loc
60￿Mment
Gr•nts fvom ¢hirii•ble &
not4orwfft or8•niutk*ns
Pthf•t• Ind IndMdu•l don•tloni
2n,ts6
277,126
240,645
8.993
8,993
3,575
io
io
286,129
286,129
244.238
5 EMpMditUM ￿ r41￿￿ fvndi
Unr•ttrkt•d
Tot•1
1025
Tot
Fundrolslffj trodlN4 corts
5,IYJ5
5,¢X15
5,ts)S
S,CQ5
3.899
3.899
Eywdltw• M dlr•a ¢h•rtt4bl•
Total
Tot•1
2024
Trustee d￿tr)pMent
Trustee expense5
Account•n
315
315
2,280
2,602
1280
2.602
1.920
L920
EMp•ndltur* on Indlrertth•rltsbl•
Unr•strl¢
Tot¥1
2025
Total
Employee costs
Motor ind trwel costs
Premlses ¢osts
Amorttsatkin, depreclatbn,
Impakrr*nt, pmfrt1kns5 On
d15pos•I of tlxed •ss•ts
GEneral •dmlnlstr•tlve costs
Iwl4nd professlon•l ¢osts
203.634
3,725
,In
203.634
3.725
13.ln
160.ffji
2,512
13.226
817
10.633
4.963
237.985
10.633
4.963
237,985
10576
190,937
P•R• 14

X••lthWthh MK ao
Nrt•sloth• A((￿nts
l N•1 ￿￿11•Xp•r￿tUr•I b•lorn
20
Thls kn siaied iftef char8lni'.
Dewedatlon ofowned ftAed a$￿ts
Independent Eumlner's fee
1,374
1,920
817
lJ20
One or more of the trustees h•$ been pihl exp•ns•s In th• turr•nt or prbr p•rk)th.
2025
Numb•r
NumberoltnJst*es pald expenstS
The nature ofthe rtlmbursed *xptnses
Nwnbv
The onty expen5•s relmIw￿ed In 202S were fortrweL
Total eypen5es Telmlyjrsed to trusteos
10 Stsff co3ts
Salarles and wa8t5
Sodalsecurity costs
Pension costs
20Z4
146.342
186A70
11.210
3,793
2,992
No ernpbyee re¢efved emoluments In exo$5 off60.￿.
11 T***le fix•d •$￿ts
Total
•qulpm•nt
C05t or r•v•lu•Uon
At l April 2024
Additbns
D15P05als
At 31 Marth 2025
7￿61
4.942
16,0741
2.177
9.738
4.942
17.4081
34
l*r•d•tlon and lrnp•lrmqort
At l Apr¥ 2024
6,432
1.691
Depreclatbn tharye forthe ytsr
Depredatlon dbposed of lortheyear
A131 March 2025
8.123
1,371
6,070
1376
855
At 31 Marth 2025
At 31 ￿TCh 2024
P4Rt 15

Hwlthwrtch MK CIO
Not•stoth• Attwflts
IZ D•bton
202$
Tr•de dèbtors
Debrt baLinc*s on TTrde Crtdliorn
Prtpwnents and •¢mied Income
48,010
2CQ
Imounts h111￿ due wkhkn on• yelr
2024
Trade credltors
Other taxes and sodal se￿rIty
Other Cfedltors
AccNa15
Deferred Ina>me
1.035
1,407
26,987
1,896
31,922
881
J,920
67.317
14 D•t•rred ID¢¢m•
MovementoAthe deftrredlncome sljown In Credltorn omountsfvlllngdue wlthln one yeor
67J17
1673171
31.922
Released in currentyear
Deferred in curnent year
At 31 March
13.4801
67,317
15 Mo¥•rn•nt In fvnds
Ineornlni
At31
Mafth
202$
I￿￿UdI
¢)ther
At IAprll
Unrestrkted fun¢ts:
General funds
78.868
286.129
1245592}
Tot•llurKI
16 An•ly51s dn•t •wts b•￿•Th fvnds
Unr•styl¢ted
Flxed
Net tyrreni assets
114,706
114.706
P4e 16

H￿thWIt￿ MK ao
Not•stoth• A¢¢ounts
17 R•condH•llon ol n•t d•bt
Atjl
AtiA
sh Ind c•sh equfv•lents
145,979
145.979
{205091
120J091
12S,470
125870
Net debt
18 C4M¥nHrn•nts
nual commltments under non￿￿¢t￿bIe optratknu le•ses •￿ as folows:
2025
land aNI
land •nd
bulldltys
bulldlnp
OPeTrtI￿ lease5 w￿h explry d•*..
Wlthin oneythr
7.120
1.137
20
2024
The pensknn cost ch•r8eto the company
ar￿Unted to:
19 R•l*ted yity dlsdosw•s
ControlMnq4Vqrty
The tompany ￿ Ibrnlted ty8u•rantee artd h•$ nosh¥e caphl.. thus no sl* partycontrobthe
company.
Pale 17

H•*lthW•tth MKao
Drfdl•d St•t•m•ht ol Fln•nd•l Adlvlll
lor th• y••r •nd•d JI M•r¢h 20
Unrutrfd•d
Tot•1 fimds l¢A4 lunds
1025
IQ25
Oon•tk)n5 •nd k8¥les
Grants from Cenirnl & Loul
Government
Grantsfrom charlt•bki & not40r-
profftof8•nls•tbons
Prhfatè¥nd kndhkluil don*tb)
277,126
277,126
240,645
8,993
3,S75
io
286,129
2￿.129
io
286,129
286.129
244,238
244,238
Totsl In¢om• and •ndD*•Mnts
Eyndltsr• on:
Costs of othertrndkn8 let￿￿￿$
S.W5
of•xp•ndltur•on
r•lslnthind$
Governanee costs
Trustee development
Trumee expenses
Accountancy
315
315
1280
2.602
1,920
1.920
2,602
Total of•m￿ndIt￿l* o
th•wltsbl••dMt1•5
1602
2,602
L920
Employee costs
S•larleslwage5
Employerfs NIC
Penskjn costs
Staff recrultment
St?ff tralnlng & WelFare
186,870
11.210
3,793
475
L286
186.870
11210
3.793
475
IAIO
146.342
7,999
2,992
858
1,810
203.634
203.634
I60.￿1
Motorand travel costs
Tra￿1 ind sub51sienc•
3,725
3.72S
3,725
3.725
2.512
2,512
Prembses costs
Rent
Prem15e5 thanln8
oiher premlses ¢05
12,946
194
32
13,172
12.946
194
J2.671
330
225
13,226
32
13.172
Pale 18

H••lthWthh MK CIO
O•i•bW 5tthm•nt ol Fln•nd•l A¢tlvlll••
Genff•l•dmknlstr•tlb
5ts,Inch￿I
•mortbitk)n
817
Bank ch4rys
Genernl knsui•nces
P051•ge and tourle
So￿1￿. ITsupport and rel•t•d
costs
351
2,368
3S1
2368
131
St•tlonery ind prtThtln8
IKrWth)ns
T•leplKine, f•¥•Dd broadband
3,573
614
IA72
IlJ93
1,116
1.116
12,491
12,491
Legal and prolesslo￿l costs
Accountin￿ Ind bookkeepknl
Consu￿￿ fee5
2,319
2319
Other kqal and
profe5sbnalcosts
4.963
Total ol•N)•ndlturn ofthh•r r(¥ts
Totsi •yAdl￿r•
Net galnsoTh InVe￿ments
237,985
245,592
237,985
24S592
Is￿1￿37
196,756
NrthKomell•xptndltur¢l
40537
40537
47082
N•t Intom¢llexp¢ndlturnl
b•kn•¢)ther plMllloss•sl
Other Galns
40￿37
40537
47.482
N*trnry+en￿ThtIn fvnds
40537
40537
47A82
R•￿nd11*tI0n of fi￿d5..
TotJllunds browt forward
78,868
78
31,386
Totsl urrled IoThA
Pw19

He•lthW•t¢h MK CIO
Bllance Sh••1
As •t 31 March 2025
Company No. CE006981
Not••
202S
2024
Flxed •ssets
Tangible a55ets
li
4,699
4,699
1.615
1,615
Current asset5
Debtors
Cash at bank and In hand
12
51,076
125,470
176,546
161,8401
114,706
119,405
119,405
2,799
145,979
148,778
(71,52S)
77,253
78.868
78,868
Credltors: Amount falling due wlthln one year
Net current assets
13
Total assets less current Ilabllltles
Net assets excluding pen51on asset or Ilablllty
Total net assets
The funds ofthe charlty
Restrlcted fund5
Unrestrlrted funds
General funds
15
15
119,405
78.868
119.405
78,868
Reserves
Is
Total funds
Approved by the board on 20 lune 2024
And signed on its behalf by:
Chairperson of the board of Trustee'5
6 August 2025
Pa8e 10