The Friends of Conquest Hospital REPORT OF THE TRUSTE IAL.S AND MEI%TS F TheY•¥En ersham ASHFORD Kert 5TH Pagè I
CON E FINAN STATEM For nded 30 Jun¢ 2025 Chanty Inftyma 3k•4 5107 Irm18rjant Examws ReF( Bara Slwt 10 Statement of Cash 11 12to22
CHARtrY INFORMA Patron.. 8arThw FLM)k8s DBE Chaimlan.. Mr Tknas Garthtr Trea5UW". Secretary." Mrs Joanna aark Memtrr5hip SwAetary.' Furnl Raign9.' Mrs Lisa F1 Mws Lsa Fidd Management Cornmittee.. Tnte•S (r) D Wafker Dr R Wray DL Mr A FaIY MT J Uthvdlyn- Jontss Mr R Fther K4rs S Ko* DL Ms S Ccw)p Mr T Gar(liner DrRGuy Mr N Sweet Mrs Joanna Clwk Mrs Lisa Field Mrs C Bridges Mr5 K A&lnthJe (T- 121111251 Charty Number. 11&3652 . Chanty Offw.. The Ccwuest Hc6pil RkJ98 Sl Leonards Sea East Sussex TN37 7RD Ind8Fendenl Examiner. Casswjys Lin¥t•Y Scothh Sl¢xJr Offmxs Musham Th125 7HS Ba6". HSBC Bank Hasb"ng5
Inv8Stments.. PO BOx 545 Oarfinglon DL19TQ CCLA 1 Anw Lane London EC4R 3AB
E TRUSTE ForTh• Y•ar ENled June 2fd5 The Tnjstees wes•ntthdrreFXYt, tcytherwith Ihe finartial ststenwts. forthe )rendj 30th Jvre2025. .The Charity, kncwn FrigfK13 01 Co Hcwal CIO was terj Thrylh Ihe Chty cornmlssm on the M8y 2019 rerth'ng the entity kn as The Lee of Frrth ol the Conquest Ho$tal whith was previoUY registe wilh th8 Chanty Comm15sKm on 13• Septernb8r 19YJ. It ts g)vemed by its Object and Rulgs which were aoopted on the 23nl January 2019. Ulr these Rules. Ihe Board of Trustees may crwt members of the Friends to th? C(xnrnit18e to fll vacanraes a5 the need arises. Cwrentty there are 15 committee m8mbers. 11 of tse btyng truste8s. Tnjstaes a nomwlty elected at the Annual Genei Meeting and a gNen an Inducti to assi them in dtaknng their fL4e, du• to a number of tr res>2natK)ns, apkKintmerts lo bxome a trustee have had io be made during online meetiTrJs. Obj¢¢t of th• Friends The object of the Fnend5 is hl01d., to offer rèlief to patients. visrtc¥s, slaff and fomw patients OF th8 Hcw)al and dhef inVts in the comrrwjnity who are Sick, conval8nI. dt5atyed, hdicapped. infinn tx in need of assistance. to generally 5UPP(t the Char[e work ofthe Cwu8s¢ t¥the beE)efft of Ih8 communty. Act5vttie5 of the Friend$ and putAK ben•fft The main activities of the Fri8n¢s are to raise frJn(ts in OrrIOlUffjI ts obl"t #5 Statsd we, and to rais8 awarenes5 of the Friends. by the fkin9. to invite gjpwjrtws to becorne Members of Il FiieTrJ$ ofthe Hospi. to run two shop5 in the hosprtd. to organise fundraising events, lo invite donations and legacies. to purchase hc6pital equiprnent in IlablYatic wih the medi¢d aThl managwrnt stalt. to support inibatives makiry Ihe Conquest Hoswtal a W ol b8St rtr"t rare and wdujrning to the general putrAi Mernbers ofthe public ¢an FI1J$ of ty PThJ al18ast £15 for a year1£12 a year if paying by DDI. fuThJraiyThJ at least £15 voluniwrwj wth the friKls. The Frwds currenuy have approxirnately 213 a(ve rnembers and 8 c18 member. The Friends provkye a number through thg The m Sh IcJrrfectiorwry. n6wspaper5. magazines, stalionery, rards. softtlrys, ¢rink5. sweets. u•#rn and Nati(al LOtterytketsI and tho grft shop (fresh cut fioww5. grft5. baby dothes. b811c$ and Ar¥ Mann by ono lrne an(J oTre part empbyees plu5 yA)mB 30 unpa1 vc4unteers who undertake a wmber of rd&s. A ri8wsp8P8r rwnd 18 mawtained a daity basL8 aThY thè Frn8 also njn a tr¢418y 9orvice to Ihe wauJ5 10 meet the needs ol p8bents. Both SW accept canj payments thr(wh Ep)sN(w. It ha5 been deded thal as wè rk) k)wJÈr have tsvo mana9ers for the p5. and Ihal the grfl sh)p ¢YY open when the Vdunteers a¥ailaLle. From JLdy 2024 al St(k was transfèrr8d to th& 51 and has teen rep)rted a5 such in Ihis finanoJ yèar. Tha wndpal fundr5ing whkh 15 INI81ty Ihe 8nThJal f Yd5 nol hekl Ihls tArt instead we held a number of Craft fair5 as ¢omrnunrty engagemenl ftts. DonatKJn$ and legacies have thvays welcomy bythe Fthyds, rx)ntinug to re1VedOnatioms from grateful paInts and former patients ar¥J th•"r rdatives. Alth(wh the Fiiends K¥efer that donakns received should be on an nstricted basi8. do pt IC)n$ intended ILW the benefit of parb.¢ar ward$. The50 a th8 RestsKtst FuTh15 in 14. Most ol the ordinary funds that are rnL8ed by the FrEnds ae us8d Ic¥ th8 wrchase ol hosptsl equipment and provldlng 3UPPWt for th8 staff. P3tts, and visit¢S to the c)ql*S1 Hwit4. th8 year 2CW.
the Friends have assisted the CcxwLWt Hosprtd wtth purchase of equyment and provKJ8d Serv1 to valua ofover £4.1 rndlDn. Th yearwe wrthasèd wiprn8nt and pljed 8ervJtZ¥ L>)s¢ry £145,863 and the det3ils are in note 21. As wdl as supp)rting the rne¢1 Stsff in the h)spiia. the Friend5 have crIbU to Ihe enjoymenl of patiènts and wsit0 to Ihe hospital by fxrtinuing to tvnd a vThJe rdnge of INe MUS pwformed on the balcony In the main wepts. area. These short perfomwTh of ap[0"MatY 45 nuteS are gNen rxofessional and accrmF4ished amateurs. Financlal Revi•w Tota incoming resokxces for year We £457.375 {2024 £486.0821 arKI total resourrs eXpded were £525.30912024 £403.8841. These fKJuw dde al the sht¥) fraJin9 aThJ unr8aliY gam. Durfrrfj the y8ar. the Iw5tees oflhe FwKls exp1 £145.86312024 £69.9781 on SeNS forthe b8refft of patients. relatNes and visit to the IK)sfAtal. 1cwjetrr wilh the pwcha5e of equvt for use in many dtrferent areas of h05Frflal and as5Lxiated activths Isee note 21 Donaled goods. fa¢ilities and 8ervltts, including ¥oluntews Th8 Irustees are aware of new rewting requir8rnenis lor thity accrrtmts and we induthng the fc41owiThJ InfLYmatK)n as rdevant to the new rgjuirements.. al ¢Jonated b$ W¥e sdd in Iheyearfor£1,77012024 £1.(#)OlaThl Ihe irKxxne i8 lThyYed li diThtKB. bl (Jonated facilities to the value ol aw)rrirnalety £6.¢JX) w8wB rKewd by Ihe ch• fn)rn East Sussex Healthcare NHS Trust Ihe fL¥m of a"[w0n the Sp occu1 by Ihe skjps in the Conquest Hosprtal nJn by the Fr$. tl the semeas ot the Xl vc4un&rs w$ in Ihe shoF6 are not valued in financ twms Ni th8S8 accounts, but Ihew ¢onthbulJns are rec(¥Jntsed ith 9rabtu¢ by the trusleeg. The vdunteers for the Friends are gNen FYelThinary gu0nCe by the East Sussex He9hhca NHS Tn¢t volun SeNces rnanagor and Invited to last•rf Sess$ cornmrtbn9 lo work In the SW. Ir they a surtable lor this type ol thoy attend a fomial wesentatsc and are bèfore being app)Inted. Furthertraining is 9IV8n and rKcxxdures to folrmed by vdunteers the Trust The managers are sPcSle lor suptw)nJ"ng th8 vrAunteers who have a rrf dub.es as serviry custorners. Stla shdves, ta.g 8 rpaper trdley arwnd the wards e&h m(1 and king a trolley of general items around the wards laler in the day. Vdunteer5 are ramtxjrsed fDr travel expenses. The of ¥olwrteers ha5 been by pwdemic tyjl has been SteIty Ie8S1j. R•5•rwe8 Polky Sorne reserve5 are required to maintain the &ffeLve running of shops and to rnake imwovwnents for the futurè. bui the tMJlk of Ihe reserves a twuired io makÈ payments th8 wrthase of hosWI equipment, SO 8ry investments need to be ffa5y rn and are a¢xcYdirwJty. the trustees. Inlenlion not to maintaln high lavels ol rrves, bul to matth the level of purchws of h¢)1 uIpMent to the Incc¥ne re1ve0 frorn donatK)n5 aThl18gacs. and thg proffts the sh. On 30 Juno 2025. the levd of unrestri¢ted fur5 was £269.99312024 £227.9161 and tlwre was £106,551 12024 £214,8721 hehy as T8Stric18d fundg that wer8 not avadabK8 to use as free reseryes. R18k ManÈgernent The Friends. Investments a r0¥9d from ts.mo to time aTrJ a c(Th¥Jered to be in a Icw rtsk categtry. other risks, Including Ihe rnana9eMt of strKk lor are consJ8red salislactory. The rnaJty of shcp wrctta5es are covwe(I by direct detM"l agr88rn8nts aTrJ (th8r are paid imrne¢tety on T91Pl of invol. Tru$te••' Me•tlno9 The Tnjslees have tried to m8et wt4arty durwbg yearwiih the rnagernrtcoMMl1Iee. normlY every other month, there were rKJ rrEebng5 held in August and De¢emb8r and all other meetirys We vithally. The last annual gener31 meeting Vds tId 17th May 2025. At U)ese meetsngs they have consK1er8d a growing number of"bKts" L¥ requesls W4U¥)rn1 that ar8 LItted lo thanty.
statement of Tru5tee8' Responsibilltles The Trustees are required. Ltndèr Slu(l) of the Charity, to prwre ffinaml Slaternts for each financial year. whKh gwe 8 tye and f8ir view of Ihe slate of allairs ol the Chanty and of its for that pen¢xl. In preparing those finanual staiements the Tnlee5 are requireil kn". . seleci suitable 8ccoJnting and appty them c4mtsy'. - make judgements that are reasonaiAe and pruden( . strte whether applicat acc(nIng standards have been folbed. subit to any mn" departures disdosed and exr4asn&1 in the finaThJa statements.. - prepare th8 finawd staternenis on the 9JirKJ Conc ba5B unkss t ks mapt¥cpriate presume Ihat ¢he Chwity will conb"nu8 bne$s. The Trustees are $1e for lralj kYQFer a(ttsJthing reCS dithse re880nable yJrdCy at any time Ilte finanual of the Chanty. They a s0 resn81tAe safegLwrdiry Ihe assets ol the Ch8nty and hence for taking reasonatA8 stsp5 ts the weventiDn and deltion ot rraud and olher irregularibes. Approval This rep apprrAwJ by Ihe ttsrd of T{e$ 14th Marth a)26 was S9[d on behalf by". T. Gardiner Chair
INDE
ND
EPO
TO THE
USTEE
FRIENDS OF
UEST
OSPITAL CKI
I pK)rttothe trustees myexarninalir olthexc
NDSO CD STATEME1 OF A ForTh Y•ar Endad 2025 Nol• Unrestrlcted R•strOct•d Total fuThJs T(*al funds 2025 2024 Income from. DonatK)ns and legacie5 Other trading actswtss Investments Total 36.%3 387.521 5.453 429.937 31.578 68.541 387.521 5.453 461.515 135,352 5.753 4T6.714 31.578 Expendltuwv on: Raising fvnds Charitabl8 thibes Total Expendmure 1.355 522.258 523,613 2.671 399.365 402.036 402,998 119260 119260 Net Incomelltrxp8nd6turnl 25.584 187,682) {62.C981 74.678 Trdn5f8fS between funds 14 {20,633) Unreall$e¢l gains on inv•$tm•nt& Realised lo$$ on disposals 14.140} 14.140) N•t mo¥ernent Sn funds for th• year 42.OT7 (108J151 166,r38} Reconclllatlon of fvnds: BanCeS brought forward 2¢Y24 14 227,916 214.872 442.788 358.742 Balances ¢arrled lorward 2025 14 Il.557 376.550 442.78B The ab¢)ve slalement ive5 al gal aThJ h)ss88 rewJnk8•J durwu the year. 18CtNities are re9arded as cordinwn Comparative ffigures the pr8vkyJs year ty fund tr are sfKMn in note 22. The notos on pages 12 kn 22 fomi an intewal part ot th8se xtwnts.
cK> SHEET At June Totsl 2025 Totsl 2024 Flxed Assets Frxed assets tr chariV5 use Investrnents 10 165.742 165,742 169,882 169.882 Curr•nl Assets Stod( Debtors Cash at bank and in hand 12.022 13.704 11 207.754 219.776 269.573 283,2n Gr&Jitors- amounts fallfflg due withwi on8 year 12 10,371 N•t Current Assots 210, 272.6 Not assets 13 376.550 Represented by.. FubYl$ of the Charfty Unrestricted fund3 General luwhl 14 227.916 Rastricted FurNIs 14 1[,557 214.872 376. 442.7&9 The trustees acknedge Iherr re5pcwblrts for comth"r¥J wrth ts ements ofts AL# This report wa$ apwov8d by ts bwd rlTru$kns on 14th 2026 and wa5 sw ts behaEf by.. T. Gardmer Chair Chanty Registrat)n No: 1183652 P¥lO
EN OFCO STATEMEMf OF C ForTheY Total 202S Total 2024 Note Cash Flow from op•rntin9 actfviti?8 (67.2721 66.155 Cash Flow from Inve4 aCtfviti88 Pur¢h&8e of rew 5h)p filtings Sale of inve5trnents Inte$1 divhlends 5.453 5.453 5.753 5,753 in¢r&ts• in cash and cuh ¢guivolents 161,819) 71,9)8 Ca$h and rA$h equivalents at start of yw 269.573 197.666 Cash and ¢ash equivalents at end of year 207.754 269,573 Cash and ush wufj¥4lents conslst of: ash at bank and in haKI 207,754 269.573 R•eon¢Hlation ol net Income to n•t 5h ffow operntiTr9 •Ctivttl•s Total 2024 2025 N•t In• lorth• y•ar Adlustmtrnts lor: Dep13[10n chargas IGainsl on investments Interest and d18ndS recewj Iprofrtl disp05* offrxÈd assets Iln¢r•85el decreas• in stocks Ilncreasel decrnase in dqbtws Increase Idecreasel cre(IitoTS 166.2381 4.140 15,453) (9.3681 15.753) 1,682 15.5241 2.753 167,272) 66,155 PwJ•11
SOFCO UE TO THE FINANCIAL ST TEEps F The Year Ended 30 • 25 A¢Gounting poll¢s Aceounting basis The finan& slat8nnts haw been prepared under Ihe th"st1 ¢CYb(lI and are rn accordance th8 CharTties SORP IFRS1021'AcrthJntiry and Reptybng by Chanties." Statement of Recommended Pra(tsY applK3tAe to charits tyapariro Iheir accourts in ac¢tsrdan wilh the FinanLial Reporh"ng St2ThJard applbSe wt ts UK and R8PUtAic of Ireland IFRS 1021 leffedNe 1 January 20191.. Finala1 Reportin9 Standard 1W2'Finanaal Repcb"TrJ Slandard èPF4KatAe tn UK arKI Repul% of Ireland. and the Chari15 Att 2011. charity LX)nstrtutes a wt4ic tnefft &)tity as by FRS 102 b} Incoming ¥•$ourc•s Don&trons and Iqgaci•s Donation5 aThJ are rEccqn$8d ¢Tr th8 vhjith the charty has entient to the irwne, the amwni of 1me can be measured reli8t4y, and it 15 ryobaNe that the incorne be receNed. In the 8venl of £knnatiS edged but re(ive(1. Ihe arnount Is accrued for ere ts receipt consder8d cknatrAe. Bank intet and dr¥id•nd5 Bank mterest and diwdends are i1yjyed in the and exknditure xc(xtnl C r8ceip( ortsn nolifKakn ha5 been rV1 of b)e amwnl due. Oth•r inctsmo Sales ofs•rv 8induded in the ino)m8 aThJ exrmdth ac(thnt in the to 1¢h they LIte. Other ir>m8 S induded as rt is recwved. Glfts and Intangibh incom• In a¢Jdition to th8 above. dHrrty a150 wewes hdp arKI sUppt in ts fomi of vduntary as%ar Staffi the shop8 th8 hostxtsl. Th? fifta ye of selv1 w0ed by ¥oktnteers has not been induded in Ih&%e 8tt(wJnls". ho4vever. the rn2n898nnt 18am of The Friends ofthe Conquest Howlal ackThyVé9e3 weally app¥al05 Ihe c¢Mtributyon hi¢ volunteers rnake to the charity theii enthusosm and dgJrAtith. Thère wer& 50 K4unteers xtive ¢JJriiwJ ts yaar. Deferrd income Ifgranls were lo b6 weiv8d in adYaThx olthe in wlith thts re4uired Ihe eXperKlItu to be apt4ied. tW¥yJld be shth¥n as deferred wKome wrthin balance sw. Svl Pt 12
EN OFCO UEST NOTES TO THE FINANCIAL STATEM TS June tr25 Accounllng poll¢s (conl1ndI Resources exnded JI expeThJiture 1$ tnted f¢y an acuuals basis. expenditure rdated to Ihg prov151 of equiFfftnt forlh8 Wjital 15 inrkned withn (arti2ble exp8rKture. Other costs irJr have been alk>cated bÈtwe8n ThraISIng w)d publirity and m8nagernent and Jrnini8tration as app[wia. re such costs relate to rn0 than one cost catewry they have sph"t on an e51im8te ol tim8 w fflojr spxe basi8. as 4)propriate. Fixed asgets and (r•ciation Fi assets are irKluded at cc6t ttems ar8 capltalised rf it ¥4ue r6 over £5CK). Depwation is charg1 on a Strah1 lin8 basi8 on Ihe Ct$ of thÈ assets over th8ir astirnatad useful Ir¥e¥ as fc4kvws: Fixhtres. fith.ngs lUTne Cornputers 3 years 3 yews Restrlct8d fun agawtst apwwie exF4rKJrturE is alkK&J. 0•5ign¥t•d fvndB DeshJnated funds auocatsd rxrt of urestrd ftmts ty ttle trusie88 fcf sr wrp088s. The u88 ofsuth I¢ts is at trustees. P•ns40n The ¢harty operates a defined Goniributth grP Fersonal pertym plan forit5emF4oyees. Payments are Charr to irthme and expen(Atu acoxjnt in Ihe perhxl in ¥YhKh they Jrred. h) L•aa•s Rental costs ur¥Jar operatir¥J leases we char9ed to th8 t&nBni of finarv activities ' equal amounts over the perkxl of lh• thes. VAT The charity 15 regtst8red for VAT aryl is at48 to rver VAT. ?13
UE NOTES TO CIAL STATEMENTS- NUED F Th Year Endad Jun• 202 2 Ineom• from donations and le9acles 2025 Total 2024 Totsi BoL4(s donakn)ns recaved General donatitins recei[ Gift aid donab'ons Small donatn$ IGASDSI Legacte5 Courtyard Gar[1w donatK)n5 1.770 9.491 1.770 36,921 27.tsj 125.429 391 3,706 3.421 20275 3.421 20.275 4.148 4,148 4,826 36S63 31.578 68.541 135,352 3 Incom• frorn Shop tradlno and gthw •ctivit 25 Tclal 2024 Tolal erntrRrship Sthcript Fundraising events.. For 98nwal fvnd5 For courtyard gardens Sh)p trdding inTr)me Main $lM)P Fk)wer shop ards donat¥)r 1.897 1.897 442 8J03 8.395 377.321 377.321 310,e68 15,420 367.521 387.521 4 Incom• frorn Invesbnen 225 Totsl 3)24 Total Bk inierest a¢kRk Charwjco Cornm Inv. Fvnd CCLA COIF Charitss Inv. Fund 2.461 5.453 2.461 5.453 2,407 5,753 p14
NOTES TO THE FWAN STA ENTS- ONnNUED ForTh•Y ne 202 5 Anatygis ot expenditure on char6tablo actlv5tl•s Main shop Fkyef Athib"es and extwjiture Slw hoswtal expendi 4uwrnenl lu 2025 224 Totsl Charitablt Aetivilies Staff costs Olher direct costs D8preryab"on SuptM)rt costs 48,957 271.992 20.277 143.279 69.235 415.271 64.346 301.033 32.304 37.752 33.986 Total EXPendre ty 326.397 195.861 399,365 2025 Basis of IctiOn expeTrliture hctsthi expeThJi ts4vinI Support Costs 2025 lndekwent eXaMinan fee CEO and Secretary Costs Accountancy & payrtll Its arketiry Off. IT & communicatKffjS Prernisa5 & insuranc85 Maintenan. repairs & other ca)st 12,858 full cost 8.480 full (xjst full rxtst 12,757 usage 370 space 2.387 ffijll cax8t 12.858 8,380 1thJ 3.747 9.010 166 1.397 SupF4Jrt cthts Tol81 32.304 37.752 Main Shop Actith 8ThJ expeThYiture 2024 8a515 of Support Costs 2024 expdI equpnnt I Ind8pendenl examinats'on fe8 CEO and SKrelary Costs Aecountsncy & payrrAI costs Marketing Office, IT & Ce¢nn4JnIlOns Premises & insurances Maintenance, repairs & other full tost 12,145 12.145 7,050 fvl cosl fAY) fvII cost 9,322 usage 1.453 Sp£ 2.576 full cost 75 75 61XS 5.079 131 1.750 379 21 1,301 7&S Suppjrt costs Tot81 475 26,476 P•15
CON HO CK> NOTES T THE FINANCIAL TATEME14 - CONTINUED The Year Ended 30 June 25 Nel surp5 formaln Jhop trnding hi¢h Indudes ilems oll>oth Income ar•1 oxpendttuye 2025 2024 Main shop sala% add sales of tsated bc¢Jks Jd small dLalk in ** •ld dnts 3r2.794 3&1,610 I1.0) 11.1741 5.232 310.688 Stock a11 July Add.. purrthases L8¥5". Stctk at 30 ne Cost ofstwk us1 Staff salaries Vc4unteer eXpenS Equiprnnt & Off ¢ts Deb¢t ¢redA card chgus Insuran & rates Repwrs, rnaintenm aThY other Depi$l0n of nthv fixtures & ffttirwjs 377.321 13,704 270.310 112.0221 113.7041 271.2 48.957 318 3.747 219.793 49.531 32 5.114 2.214 131 1.1WJ 278.629 M&n shop net slus 14•t surplus forflow•r 8hop tradijw whkh Indudes It8m$ otbo¢h incorn• •nd •¥p•ndhur• 2025 2D24 Ro¥%r$hop ss add small donatio add cards ¢jal add discounts 15,4 Stock at 1 A(kY". purthases Less." 5T(KK ai 30 June Cost of Stk used Staff salar Vdurrte8r&)SLs Mainltrnanc8 Equiwnertand Debil and credit Ca chaffjes er & costs oftop upfaclty Ront & Rates D8kY8¢obcffl of w fixtur•s & fithNJ# 15.4 7.fOD 379 75 21 9.164 Flr*er shop 1 Idefi(l 6,2 Pryvj 16
FRI DS TES TO TH FINAN ST TEMENTS. CONTNU 25 7 Net in¢ome l {ewnditur•l for the yOAr 25 2024 This ks stated after thargiro.. Independent ExaminatiC¥71Audrt ctffjts DepyeoatlL ofshop frttin9S 8 Inftmiatlon regardin9 Trnstees. Directors and Emi)loyees 2025 2024 Wages and SarS PensIC costs 68,357 878 69235 63.478 Charitable puryNJses {S emFtyes) Fundraising & publicty M8nagement èrKI administra1 of tharity 25 2024. No employee r8ceived rnuneratK)n of n>Jre than E30.CQ). No Trust8e Vfd5 re[nuIrat any srws. &crued any trfil$ under sch6rt. Travel costs amounting to £nil12024 £nll We r8rnbUd to memLws ofthe Trustee &)ard. The Charity pad £166 in Ihe year ended 30 Jun8 2025 tr vanous insurartce Som5. iThYudiryJ professth81 ind8mnty c¢)vw. 9 InsIM#n 2025 Mark•t Value 2024 IA••t Valu¢ Blackrock Charin¢• Common InvwJtm•nt Fund unlts As at 1 July 2024 Jdthons R•v8lu•tion duiing the year 77,727 1581 2.614 CCLA- COIF Charllies Inves¢m Fund Inrne Unitg As at 1 Juty 2024 Disposal RaValUati durirvJ the year 89.542 82.787 14.082) 6,755 85.460 165.742 89.542 169.882 P&ae17
ENDS OF osprr OTES TO THE FIPiANCIAL STATEM NTS. CONTr4UED 30 June 2025 10 Flx•d ass•ts (Shop fitting81 Man Sp To121 At 1 July 2024 Additions Di8rM)sal$ At 30 June 2025 36,242 6.515 42.757 36242 6.515 42,757 oewetiakn.on At l Juty 2024 Charge for the year Diswsals At 30 June 2025 36.242 6.515 42,757 36.242 6.515 42,757 Net book valL 2025 Nel t))k vu 2024 11 Debtor6 2025 2024 Lottery dep)¥it hdd by ca01 HMRC (gift aKI antj 0th8r daimsl Prepayrnwts 12 Creditora- amounts falling due wlthin one year 2Wd4 VAT uedrtorg AecnJ8ls Independent 0x8minaboAurt le• 5.rJ2 2.656 1.471 7.820 10.371 13 AnaPysl8 ol net JM•ts b•tween lunds Dw"gnated R4¥trKlI Fimds Funds Totsl Funds FuThts Fixed Assets Investrnenis Current ksets Curr8nt Liabilil Net A5s•ts 165.742 113.219 165.742 219.776 18,9681 376.59) 11,557 269,993 I(.557 P8gé 18
EN OF CON CK) TES TO THE FINANUAL ST NTS- coKnNUED 14 Ilovqm•M In fvrKIs ForTh Ytar E10d June 2025 Jty 3)24 Jur 2025 & Gaffts Restyted FuThts A & E Departrnent Afflbulce Sety AshbumhaFn War Baird Ward Bereavement C4rdK4ogy CoLsan Dèvas W?Td Cocson Atter&orwgh Ward crary Care Unit (James Watdl Courtyard garuens re5torabon DISthaE Lourye Comyaftl Egertffi Ward Cowtyard Kiplin9 Ward Courtyard McDonad WaRI Cowtyarrj G CCU Sensw Garden Cnbcal Care Unil IYAilh ICU & HDUI Dè Cham Ward Egerton Ward Emwpncy Departrnwt En(kiscopy DApartmnt Frank Shaw W4rd Gardrr Ward James Ward JLY Beanl Ward KiIng Wwd Mebng and Re5earth Matewty intel¥e we McDonald Ward MuThayWard Music exknse5 N9wingkn W8rd OcoJpation Therapy Cknmlo9y Deparlmtrrt Operating TtreS Ophlhthmk Day Unit pwtthmy arK Re8t4iyW D8Pt SCBU Storz sla Sy5 Tichur5tWafd Wetsile Wevington V48Th1 W8lbeMg Fund FrDm the estatè ofAlrs Hazel Katr staft ofCLX)kson Cwa5 W8r 12 12 172 220 710 1.010 1987) 1121K)I 11gX)I 1gJ 21.ST 45B 4.147 672 25,635 55 8.737 135) 8.737 150 978 18.584 976 19.213 735 16.993 16.WJ 1.170 1.810 140 458 140 14&81 760 1.OfX) 1,607 1.&)7 191 191 2.487 4.434 2.105 2.?05 1.0(X) 25 1Q 5.285 10 5210 713 (7131 570 1111.4971 2.015 3.9)3 13.0411 41 2,015 Tot81 Restrict ljnrestnCt Funds General fijnds Totsl Unrestricw fvnth 31.578 119.KO 227.916 425.797 425.797 269.993 404.353 Totsi fJJTrJs 451.375 523613 Ptr 19
DSOFCO ALC NOTES TO Th FINANCIAL STA EN - CONTr4UED ForTh arE 30Ju 15. Purpos•s ol restricted lunds If donors 8sk ts a rwb"oJLqr ward to benefit frum their dalK)n. then the is treated restncted ftjnd and lY used for that wrpose 14 for a Ik5lof restricted funds1. 16. Desl9nated fund At the year end thwe rKJ de$Vated fur 17. FInal•l commMm•nts Capltal Commltm•nts At Iha ance sheet date. capital cxjrnrnitment existed. 18. Rètaied party tranuetions 19. Taxation The charity ks exempt from tax on and gatr falliThJ within m)n 505 of the Ta¥88 Act 1988 or se¢n 252 of the TaxalKJn ol ChJeabK9 Gains 1992 to exleni that these apFAl to its ¢haritai48 obj'ects. P•nslon costs A pension scherne foremF4oy8tt is a defined basis. The scheme open to all 8mrAoye8s at any time. The chartty LY)nlribthe5 2% of pensionatle 8ammg$ to match amOYeeS. cOntnjtss. The asséts oftha are hdd sepa¥atety frL¥n th08edthe rymtAny in an iThJep8NtsnUy administerwj fund. The fvnd Jrrinistrators are NEST. The pensw cost sFK)wn in th8 for the year represents c£thJtJns paYe by the charity end. afflounted to £87812024 £8681. There w¥e no ¢ontstJth*Jn8 payatle or wtslanth'ng at the year Pago 20
NDS S TO THE FINANCIAL . CONnNUED ForThe Year Ended Jun 2025 21 D1ct Charrtsble Exp•nditure on behall of the Conqu88t H05Pital and the communlty 2025 Total 231523 Lucas SWem for TIatre9 241525 "r5eal Insufflator T(etry Packs Bereavement Team Gardens 11.S 11,195 11.903 11,195 1.5 987 Music Cardidogy Slorz Sl*k System Website 1.925 2.9)0 4.425 1,2CK) 111,497 3.041 111.497 3.041 119.2e 145.B63 P48 21
NDS EST TES TO THE nPIANCIAL STATEM S- CONTINU Ended 30 Ju 21 Comparatlve 5n¢ome •nd •xpendlture by lund typ• 2025 2024 202S 2024 Inme from: DonatK&nS and leg* Other trading acts'1$ Inv8slments 36.963 387.521 9,25S 334,925 5.753 349.933 31.578 126,098 429,937 31.578 126,782 ExpendituY• on: Raising knrmls Chantsbk actNths 1JS5 401998 404,353 2.671 386,202 388.873 119,260 119.260 13,163 13.163 N•t Incorne I lèxpenditurel 24584 I38.0) 187,6821 113.618 TAn5fers b•tween funds {2.0581 {20.6331 Unrea1158d gains on investmerrt• Realised loss on di$posa15 141401 Net nment in funds 077 (31.6301 1108,315) 115.676 R•¢onc51iatlon of funds- Total funds as at 1 JkAy 2024 Total lunds as at 30 June 2025 2Z7.916 269,993 259.546 227.916 214,872 106.557 99.196 214.872 Pagè 22
ST CK) NOTE O THE WNCIAL STATEMENTS. COPfflNUED The Year E 30 June 202 Hk%toric21 reoyd of nleS raised by the Friends of the Cwuest and Direct Charitable ExpeTrJitur8 for tefft ofthe Cmquest Hosprfal ojmrnty Year After Costs Expendrture 62.815 145.045 102.918 91,443 91.711 43.X 76. 70.587 1Y2.609 93.560 77,579 54.628 93.880 107.960 246,339 1.653 222.951 623.922 236.931 751.166 172.797 205,770 57,420 75.998 144,655 83.765 108,174 136.240 96.857 2CQ2 2C¢)3 85.3W2 67.7YJ 98237 68,394 1CKI.268 75,201 113.997 58,618 15.808 132.327 135.047 225.384 262,624 119.2 233.%1 1.147.226 2LK)5 2Ca)6 2CK)7 2rx18 2OJ9 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 39.919 429,386 18.742 69,978 145.e43 2022 2023 2024 2025 TOTAL 4,103.004