REGISTERED COMPANY NUMBER: 10339168 (England alld Wales)
REGISTERED CHARITY NUMBFR: 1175548
Report of the Trustees and
Unaudited Financlal Statements
for the Year Ended 30 November 2024
for
PDGTrI LIMITED
BK Plus Ltd
6th Floor
Gordon Chambers
90 Mitchell Street
Glasgow
Lanai'kshire
GI 3NQ

PDGN LIMITED
Contents of the Financial Statements
FOR THE YEAR ENDED 30 NOVEMBER 2024
Page
Report of the Trustees
Independent Examiner's Reptyrt
Statement ol'Finan¢lal Actlvltles
Balance Sheet
Notes to the Flnanei21 Statements
8 to 12
Dttailed Statement of Financial Activitie5
13

PDGN LIMITED
Report of the Trustees
FOR THE YEAR ENDED 30 NOVEMBER 2024
Thc trustees who are also dircctors of Ihc chariry foi. the purposcs of the Companies Act 2006, pirscnt thcir
Y¥pm"t witb the fillancial statcmcnt8 of thc ch￿"Ity for the yeai. cndcd 30 Novcnibei. 2024. Tl)s Irustccs havc
adopted the provisions of Accounting alld Reportit]g by Charities.. Statem¢ni of Reco[T￿leDdCd Practice
applicable to charities pi"epaiillg their accounts accordance with the Fittancial Reportillg Standai"d
applicable ill thc UK and Republic of Ireland (FRS 102) Icff¢ctive l January 2019).
OBJF,CTIVES AND ACTIVITIES
Objeetives and aims
The objectives and ainis of PDGN Limited are to infomi. by a variety of means including Jnc¢tittgs,
confer¢nces, newslctter5, c-mails and w¢b-based inforniation. clccted Members in national and state
legislattwcs of thc latcst infurnvdtion on diabetes carc, trcdtmcnt and researcl) lo cnablc tlicin to be as
effective as possible in advocating for itnproveynents to secur¢ the relief of nced and rclicf of sickness
amoiigst people affected by diabetes, by fullding> SllPPOrting alld prolliotiiig diabetes research and ethication,
including thc publi¢auon of tbe useful results of any research, relating to thc causes, prevejjtion and QU￿ of
diabctcs.
ACHIFVEMENT AND PERFORMANCE
Charitable activities
In the year to 30 Nov¢mb¢r 2024, PDGN Litllitcd did retiister a modest iticrcasc in the overall numbcrs of its
membership. Maintalliing membership continlles to be a challcng¢, giveh the tUrnOVCT of elected
represcntaLivrg at Genei'al Elections and through ret1ieni￿it. PDGN is particulai'ly active in iiiviling fomier
mcmbcrs lo become alumni of thc Nctwork. PDGN was plcascd io help to establish and support diabetes
worlang g'oups in Ihc Parliamciits of scverdl coiuitries on tbc introduction of soda taxcs. llation&l didbetes
plans and scre¢ning programmes, and it oi'gallised a P￿.11#Melltary Panel of Spanish M¢mbei's of P￿.11a[llcn1
in Madrid in November 2024. Thc Nc¢work has also been r¢presented by its senior Icaderg at several of the
mijoi. diabetes contci'cnccs like ATTD, the ADA Congress, Diabetes UK Annu&l Professional confercDCC.
2nd the EASD meeting.
Th¥ Network lias conliJ]uttd to produce its quai'lcrly Global Diabctcs Advoc&Ly News onliiic publicatioii. It
has been wcll I'cccived and Lii'culation has agaill iilLreased in thc ycai. Cnded 30 Novcmbci. 2024 thallks to
collaboration a￿Cerne￿ts with the Diabctcs LeaderS￿'p Council and its meinbei's in thc United States, and
with Ihc International Diabclcs Fcd¢ration whicli is repi'csent¢d iii most countt'ics. The N¢wsletter fLOW
reaclic.s over 5,000 legislators aiid decision makers. PDGN is most grateful to Dexcom Inc for its
spoii%oi'ship of the Newslctler, gnd was pledsed to secur¢ fundin(F from DexLom lllc to publish it iii 2024125.
PDGN was actively it)volved in th¢ launch of GDAN, the Global Diabetes Advocacy Nctwork whicli was
officially launch¢d in March 2024 in Florcn¢¢. PDGN ploduccd tl)¢ quartei'ly GDAN News for the Netwoi'k
until the hrst quaiter of 2025. for which it received income troin tbe Diabetcs Leadership Council in USA.
GDAN is cun'ently planning a relaunch of its Bctivities, registering itself in the Nctherlan(ts.
AddiLi01)al capacity was i'cciviied dllriiig the year lo cope witli the iiicreascd productioii of publicalioiis. Dr
Sana Ajmal and Cyrin¢ Fw.hat assisted the Secrcfary-General with PDGN'S publibations work.
PDGN instituted a European Award for the Diabetes Parlianlcntary Champion who was judged to have
Iiclpcd raise awareness of diabclc5 in a po.%itive way. Thc Award was preseiited in luly 2024 to the Rt Holi
Sir Liiid4dy Hoyle MP, Speaker of the House of Commoii.% iii Lhe United Kingdom.
Page I

PDGN LThIITED
Report of the Trustees
FOR THE YEAR ENDED 30 NOVEMBER 2024
FINANCIAL REVIEW
Financial position
The incoine receivcd for PDGN'8 work in produlitig ibe Globa] Diabetes Advocacy Network's quarterly
publicatioii hclpcd to incrcasc th¢ incomc of PDGN in the year to 30 November 2024 to £146,250.
Expcnditurc also increased ill the year to £96,660, resulting in a surplus of illcoinc ovei. cxpciiditurc of
£49,590 (2023 £6279).
Witli unrestricted fi3nds of £111,502 at 30 Novembcr 2024. and a faiTly hcalthy cash position. the In￿1¢¢8
Lollsider that the Nctwoi'k has adeq￿al¢ cash rcsoui'ccs to carry Élul ifb work in thè coming year.
Regular pbysieal and virtual ineetings bave taken placc tn thc year with cory)orate p￿t￿¢[s. other potential
parthcrs and Associatc illenibcr8.
FUTURE PLAP4S
The Netwnrk plaii.% to organise 2 meeting in Malta of Members of Parliament from a number of differeiit
counli.ies iii Noveinber 2025 to mai'k World Dtabetes Day. At this planned meeting, thc Presidenl ot ihc
ilctllalional Diabeies Federation will ￿0￿nCe a major iiiitiative in iiational diabctcs reporting? and thc
highlight will be tlie prcscntatioii of the Global Diabclcs Parliamcntary Chanipion Awai.d to the formcr
Prime Minister of tlie United Killgd0￿ the Rt Hon tbc Baronc5s May of Ma]dcnh￿d (The￿$￿ May). It is
illteiided that tbe event will hclp to incr¢as¢ tb¢ Inembership of PDGN through establishing aiid
strengtheniiig Diabclcs Parliamciitary Working Groups, ui line with the PDGN Strategic Plan's
Implemcntation Plan.
Netwoi'k will continu¢ to strengthen its ties with Members in othei. legislatures, and it will bc rcprcscntcd at
major diabetes conferences attd meetings.
STRUCTURE, GOVEIiNANCE AND MANAGELVAENT
Governing document
The charity is controlled by its goveniing documeiit, a deed of [n￿t, and constitutes a lirnited company
limited by gua￿ltee, as dctmcd by thc Conipanics Act 2006.
PDGN Liinilcd is govcrii¥d by a bolwd of diirctors wl)o arc both UK citizciis, as rcqiiii'cd undcr ils ballkiiig
arrangements with Santander UK. The Secretary General i'cports to the Board 2nd canies out its policy
decisions. The tsi]stees of PDGN Limited, for the purposes ot. reporting to the Charity Commission with
whom it is registered, are Sir Michael Hirst and Johii Bowls OBE. The Co-chairs of the Global NeNvork are
Sir Michacl Hii'si. Jolin Bowls ORE and Christophci. Delicuta of Malta who have served tI￿OUghoUt the year.
The Sccrctary-GcJicral, Ath.ian Sanders. ha8 continued tt) serve throughout th¥ year undcr revicw with
distinction. and the Trustees again r¢¢ord their appreciation of i]is outs¢anding scivicc. Ath'ian st¢pp¢d back
from 50m¢ ot- his i'¢sponsibilities as Secretary-Genei'al in April 2025 aTid was suc¢ecd¢d by Dr Sana Ajll)81,
who had been appointed Deputy Sec1.e￿Y-Genei.al of PDGN in Januaiy 2025.
REFII RENCK AND ADMINISTIL4TIVE DETAILS
Registered Company number
10339168 (Englaiid and Wales)
Registered Ch4rlty number
1175548
Pagc 2

PDGN LILlllTED
Report of the Trustees
FOR THE YEAR ENDED 30 F40VEMBER 2024
Registered vftlce
44 Eloward Ro<id
New Malden
sU￿¢Y
KT3 4EA
Truste¢s
Sir M Hirsl
J C Bowls
CoTnpally Secretary
Sir M Hii'st
Independent Examlner
BK Plus Ltd
6th Floor
Gordon Chambers
90 Mitchcll Strcct
Glasgow
Lanarkshii'c
GI 3NQ
Approvcd by order of the board of trustees on 16 May 2025 and signcd oll its bchalf by..
IL.
Sir M Hirst- Secretary
Pagc 3

Independent Eiaminer'5 Report to the Trustees of
PDGN Llmlted
Independent examiner's report to the trustees of PDGN Limited ('the COmpa￿Y'}
I repoit to tlie chaiity tiwstC¢5 on my examination of th¢ &c¢oullts of the C.ompally for the year ended
30 Nov¢mber 2024.
RespoDslbi]ities and basis of report
As thc charity's trustccs of the Company {aiid also its directors foi. thc pu4)oscs of LOInp￿lY law) you aTC
r¢sponsible for thc pi'eparation of the aCCo￿ntS in accordance with tlic rcquircments of tbe Companics Act
20061'the 2006 Act,).
Having satisficd myself tbat thc accounts of Ihc Compaiiy arc not rcquiied to be aiidited uiidcr Part 16 of the
2006 Act and are eligiblc foi. indcpcndeTht exaii]tnation, I rcpui't in i'espect of niy rxamitiation of YOUT
chai'ity's 2Lccounts as caiTied out und¢r Se¢tion 145 of thc Chariti¢s Act 2011 I'ihc 2011 A¢t'). In cairying out
rny cxainination I have followcd the DireLtiolls given by th¢ Charity Conlluission widci. ScGtioo 145(5) (b) of
tlic 2011 Act.
Independent examlner's statement
I have completed my exasn1￿tIO1i. I confirm that llo n￿tterS have eome to my att¢ntion in connection with
thc cxamI￿atiOn giving rlle Cause to believe..
accounting rccoi'ds were not kept in i'esp¢ct of tb¢ Company as Yequii'ed by Section 386 ot th¢ 2006
Act,. or
tb¢ accounts do not accord with those records; or
the dCCOllnis do not cO￿pIY with the aLcoiintiiig requiret￿nts of Section 396 of the 2006 Act othcr
than any requircincnl Iliat the a¢coullts givc a Inic alld fair view which is IkQt a matter considci'cd as
part of an indepcndent examination; or
the accounts havc not been pi'epared in accord2n¢e with the mcthods and principles of thc Statement
of Rccoiiiiiicnd¢d Practice for accounting arhd reporting by charities (applicablc to charities pr¢paring
their accouttls in accordance with th¢ Financial Repotting Standard applicablc in the UK and
Republic of Ir¢land (FRS 102)).
I have no concciiis and havc come across no other mattci's connectton with thc cxatnillation to which
attention should be drawn ID this report in order to enable a proper ullderstandiiig of the accounts lo bc
reached.
Doiiglas Woodhouse
BK Plus Ltd
6th Floor
Gordon Chambers
90 Mitchell Street
Glasgow
Ldniirksl)ire
GI 3NQ
19 MAY 2025
Page 4

PDGN LIMITED
Statement ofFinJncial ALtivlties
FOR THE YEAR ENDED 30 NOVEMBER 2024
2024
Uni'esti-ILted
fund
2023
Total
funds
Notes
INCOME AI¥ID ETrIDOWMENTS FROM
Donaliolls and leLFacies
146,250
85,409
EXPENDITURE ON
RaisiDg funds
1,874
4,723
Cliaritable *ctAvltles
Costs incU￿ed on cliaiitablc activities
94,786
74,407
Tfrtal
96,66D
79,130
I￿T INCOME
49,590
6,279
RECONCILIATION OF FUNDS
Total fiu)ds brought forward
61,912
55,633
TOTAL FUNDS CARRIED FORWARD
111,502
61,912
Tlie iiotcs form parl of these financial statemenls
Page 5

PDGN LIMITED
Balance Sheet
3U NOVEMBER 2024
2024
Unrestrifted
fund
2023
Total
funds
Notes
FIXED ASSETS
Tangible asscl
CURRENT ASSETS
Debtoi's
Cash ai ballk
9,618
66,301
146,177
146,177
75,919
CRF.DITORS
Amounts falling due within onc ycaT
(34,676)
(14,008)
NET CURREDJT ASSETS
iii,soi
61.911
TOTAL ASSETS LESS CURRENT
LIAB￿lTIEs
111,502
61,912
NET ASSETS
111,502
61,912
FUNDS
Unr¢stti¢t¢d funds
111,502
61.912
TOTAL FUNDS
111,502
61,912
The charitabl¢ Gompany is entitled to exemption from audit ullder Section 477 of the Compallies Act 2006
for tbc ycar ciidcd 30 Novenjbcr 2024.
The in¢mbers have not requircd thc company to obtain an audit of its hnan¢ial statements foi. thc ycar ended
30 Noveinber 2024 in accoi.dat)ce wilb Section 476 of th¢ Compdnies Act 2006.
The tiwtccs acl(nowl¢dge their responsibilities foi.
la}
clisuriiig that the charitable company kEeps accounting records that coll)ply with Seetiolls 386 and 387
of Ihc Compallies Act 2006 and
(b) prcp¢iriiig fin4incial statenicnls wliicli give a ttue and fair Yicw of tjic state of affall's of tlie charitablc
Company as at thc cnd ot ea¢l) financial year and of its sui'plus or deficit foi. cach financial y¢ar in
accordance with thc i'cquii'ements of Sections 394 and 395 and which oth£rwi5c conjply with tbe
requiremcnts of the L'onjpallies Act 2006 rclatiiig to financial statemcnts, so faT as ttpplie2ble to the
charitabl¢ company.
Tlie notes form part of these financial statemcn18
Pag¢ 6
conÉinued...

PDGN LIMITED
Balance Sbeet- continued
30 NOVEMBER 2024
These fiiiaiicial statements havc be¢n i)r¢parcd ift aLcordai)ce with the provisions applioablc to charitable
companics 8ubjcct to the small companieg i"E8ime.
The tinancial stat¢ment8 were approved by the Board of Truslces and authorised for issu¢ on 16 May 2025
and we￿,gIgned on its behalf by..
M Hll'St- Trustee
J C Bowls- Trustcc
Tbe iiotes foi'm part of thesc finaniial $lutem¢nts
Page 7

PDGN LIMITED
Notes to the Financial Statements
FOR THE YEAR ENDED 30 P40VEMBER 2024
ACCOUNTING POLICIES
Basi5 of preparing the f￿anCI#l statements
The financsal stdtetnents of Ihc charitable company, wliieh is a public bcnefir entity uMd¢r FRS 102,
liavc bccn pi'epared in accordance with the Charitics SORP (FRS 102) 'A¢eounting and Repoiting by
Chariti¢s.' Statement of Rccommended Practice applicable to chai'ities preparing their accounts in
accordaiice with the Fiiiaiicial Reporting Standard applicable iii the UK and Republi¢ of Irelalld (FRS
102) (effectsve l January 2019),, Financial R¢portino Slandard 102 'Tlie Financial R¢porLing Standard
applicable in thc UK and Republic of Irclaiid, ￿]d thc Compallies Act 2006. The financial statcmciils
havc been preparcd wider the historical cost convention.
Income
All income is reco￿lSed in the Statement of Fiiiaiicial Activiti¢s once the charity has entitIen￿llt to
tli¢ funds, it is pi'obable that the income will b¢ received and the Éunount can b¢ meaS￿'ed i'eliably.
Expendlture
Lidbilities are i'¢cowiised as expeiiditure as soon as there is a legal or con.%t￿ctIVe obligation
¢ommitting the charity to that expcnditurr, it is probablc that 41 transfer of ¢CQllomic benefits will bc
required in scttlement and thc ainount uf the oblig&tioii ran be ineasui'ed reliably. Expenditure is
aceounlcd for on an accruals basis and has becn classified undcr hcadings that awcgate all cost
related ta tlie category. Whcrc costs cat]not be dircctly attributed to particular lieadings th¢y have been
allocalcd to aclivities on a basis tonsistenl with tlie use of resourccs.
Tangible flxed asset5
Deprccialion is provided at the following allnual rates itt order to wiite off each asset over its
estimatcd useful life.
Computer equiprnent
3 y¢ars
Taxation
The ¢liarity is exempt from coiporation tax on it$ eharitable activities.
Fund accounting
Um'c5trirt¢d funds can be used in accordance with the cliai'Ltable objectives at the discr¢tion of the
trust¢cs.
ReStriC￿d funds can only be used for particular I'estriclcd purposes within the objects of Ihc charity.
Restrictiolls al'is¢ when spccificd by the donor or when fi]nds arc iaiscd for particular restricted
purposes.
Further fxplaiiation of the iiatLty¢ aiid purpose of ¢ach fund is iiiclud¢d in the iiotes to thc finaDci&l
statcments.
Page 8
continued...

PDGN LtVllTED
Notes the Financial Statements- continued
FOR THE YEAR ENDED 30 NOVEMBER 2024
NET INCOMEI(EXPENDITURE)
Net incomel(¢xpendithre) is stated after cbarglligl(crcditing).'
2Éb24
2023
Depreciation- owned assets
416
TRUSTEESI REMUNERATION AND BENEFITS
Therc wcrc no trustccs, rcmwicralion or other benefits for the year ended 30 November 2024 nor for
tli¢ ycar elided 30 November 2023.
Trustees, expenses
Expeiises paid to the trusleeb in the year tolalled £13,340 (2023.. £13,047) Th¢sc ¢xpc115ex wcre to
reimbut3e one ttwstee for costs incw'i-ed in tultilling th¢ii. duties lo the cliai'ity. These costs include
travelling specifically foT charity mcctitlgs, confereiices and promoting the charity as well as
admÉnistrative exp¢nses and some me¢ling costs.
COMPARATIVES FOR THE STATEMENt OF FINANCIAL ACTIVITIES
Unrestricte
nd
INCUME AND ENDOWMENTS FROM
Donations and legacies
85,409
EXPENDITURE ON
Raising fi￿d8
4,723
Charitable activitie5
L05ts incurred oil chai"itabl¢ activitics
74,407
Total
79,130
NET INCOME
6,279
RECONCILIATION OF FUNDS
Total funds bioughi foiivard
55,633
TOTAL FUNDS CARRtED
FORWARD
61,912
Page 9
continued...

PDGN LIMITED
Nutes to the Financial Stat¥ments- corJtiRued
FOR THE YEAR ENDED 30 NOVEMBER 2024
TANGIBLE FIXED ASSETS
Computer
¢quipmcnl
COST
At l D¢cemb¢r 2023 and
30 November 2024
1,249
DEPRECIATION
At l December 2023 and
30 Novcn]b¢r 2024
1,248
NET BOOK VALUE
At 30 Novcinbcr 2024
At 30 Nov¢mb¢r 2023
DEBTORS: AMOUNTS FALLING DUE WITHtN ONE YEAR
21124
2023
Other debtors
9,618
CREDITORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
21124
2023
Deferred income
Accrned expenses
21,567
13,109
7,493
6,515
34,676
14.008
MOVEMENT IN FtMs
Net
movement
iii funds
At
1.12.23
30.11.24
Unre5tri¢ted funds
General fimd
61912
49,590
111,502
TOTAL FUNDS
61,912
49,590
111,502
Page 10
continued...

PDGN LIMITED
Notes to the Finallcial StatemelltS- CODtliiued
FOR THE YEAR ENDED 30 f40VEMBER 2024
MOVEMENT YN FUNDS- contlllued
Nct movcmcnt ill funds, lli¢luded in thr abovc arc as follows=
Incoyning
resollr¢c5
Rcsources
expended
Movement
in fiJnds
Unrestricted funds
Gcncral fiiiid
146,250
(96,660)
49,590
TOTAL FUIYDS
146,250
(96,660)
49,590
Comparative5 for movement ID fllnds
Net
movement
iii funds
At
1.12.22
30.11.23
Unrestricted funds
Genei'al tund
55,633
6,279
61,912
TOTAL FUNDS
55,633
6,279
61.912
Comparativ¢ llet inov¢ment in fimds, included in the above are as follows..
Incoming
r¢50ur¢¢s
Resources
¢xp¢nded
Movement
in fi￿dS
Unrestricted funds
Gcneial fwid
85,409
(79.130)
6,279
TOT AL FUNDS
85.409
179,130)
6,279
A cun.ellt ye￿. 12 months alld prior y¢ar 12 nionths combined position is as follows..
N¢t
n)ovement
ill funds
At
1.12.22
At
30.11.24
Unrestricted funds
General fund
55,633
55,869
111.502
TOTAL FUNDS
55,633
55,869
111,502
Page 11
ontinued...

PDGN LKMITED
Notes to the Financial Statements- continued
FOR THE YEAR ENDED 30 P40VEMBER 2024
MOVEMENT IN FUNDS- Lontinued
A cw'i'ent year 12 mollths attd prioi. ycar 12 months combincd iJet movcinent in fi￿d8. included iti t]Ic
above ayc as follows..
icomuig
resourcc
Rcsources
cxp¢iided
Movement
in funds
Unrestricted funds
G¢nerdl thlld
231,659
(175,790)
55,869
TOTAL FUNDS
231,659
(175,790)
55,869
RELATED PARTY DISCLOSURES
Tbere were no telated paty transactions for thc ycar cndcd 30 November 2024.
Page 12

PDGN LIMITED
Detalled Statem¢nt of Flnancial Actlvlties
FOR THE YEAR Et44DED 30 NOVEMBER 2024
2024
2023
INCOME AND ENDOWIIqENTS
Donations and legacies
Donations
Subscriptions
138,9711
7,280
77,391
8,018
146,250
85,409
Total incoming resources
146,250
85,409
EXPENDITURE
Otljer trading a¢tlvlties
Costs of fundraising
1,874
4,723
Charfitable actlvities
Remuneration of Secretary Gelleral
ReElluneration of assistant5
Administsativc cxpenses
COnfer￿ct expenses
Promotioii of global iictwork
Costs Df oihci. meeliiigs
Website develi)pmeDt and mainteDan&¢
Seminar expen.qcs
Compuler cquipmcnt
50,000
8,149
3,088
19,594
1,778
6J91
36,000
2,888
2,364
15,973
1.090
2,021
43
9,453
416
89,200
70,248
Suppoi't e05t8
Finance
Batjk charges
56D
300
GovernaDee costs
Board m¢¢tings
Ind¢pendcnt examiners fee8
2,376
2,6511
1,479
2,380
5,U2
3,859
Total rcsources exp¢ndcd
96,660
79,130
Net income
49,590
6,279
Tliis page does not form pait of lh¢ stAlulory financial statements
Page 13