Fliianeial Statements
for Ihe Year Ended 31 December 2022
for
Great A cliffe CAncer Ch¥rit
Charity No Il88444

GreatA cliffe Caijcer Su
iort
Contents of the St3temeiits
for the Year Ended 31 December 2022
Page
t￿￿81 & Administrative Informotion
Report of the Trustee5
Independent Examiner*s Report
StAtement of Fin*ncis1l Aetivltles
BaiBnc¢ Sh¥et
Notes to the Financihl Ststement5

Creat A ellffe CAllcer Si
ort
#l #nd Admiiilstrative Infurm8tio
for the Year li iided 31 DeLetnbei' 2022
TRUSTEES:
A White
V Moody
H Falconer
A Coopey
C WhittingtOD
JGoff
S Flynn
ADDRESS:
59 Greathead Crescent
Newton Aycliffe
Co. Durham
DL5 5DP
CHARITY NUMBER..
1188444
Accour4TANTS..
Little & Neal
37-38 Market Street
Ferryhill
Co. Duriia
DL17 8JH
Page I

Gr¢al
cliffe C&ncoi' SU
ort
ort of the Trustees
for tli¢ Yegr F.llded 31 D¢eetnber 2022
The tt'ustees present their repori with the financial Stat￿ments of the charity for the year cnded 31 t)ecember 2022.
TRUSTEES
The trustees shown below have held office during the whole of tlie year io the date of this irport.
A White
V Moody
H Falconer
A Coopey
C Whittington
JGoff
S Flynn
OBJECTIVES OF THE CHARrrY
The Charity was rcgistered on th¢ 10 fvlarcli 2020 to givc &8SiStaiice to Inembcrs of the public who were suffering from
or who had SLiffered fvoin cancer. The assistance extendcd to their families and carers,
The assistance can taIco the form of financial help, advice and companionship> transport to liospitai aljd other medical
nppointtnents and sliort holidays in the tharity's carav￿.
AcHtEVEMWNTS AND PERFORMANCE
Tho trustces are pleased tts report diat the objeetives have continued to be achieve￿ part'ly througb the dottation and
grants received and with th¢ h¢lp of a number of volunteer driv¢rs whose help has been most gratefdly rtc¢ived.
The charity's gr¢at¢it single exponditure remains as Patient transport, due to the reiinbLtrsenLent of volunteer drivers
fuel eosts. The contiiiuing fluctuations in fiiel price make this a particularly Ghallengying area. Patient support is
another significant cost, which can take the fornj of meerings* outings, one to one advic¢, hampeT$ and g?eneially
providing h¢lp wh¢ro necessary.
The charity has continued to provide a ¢aravan for sbort breaks for patients and carers and this service h&8 proved
invaluable to those that have utilis¢d it.
The charity ts run by the trustees who meet once per tu discuss matters.
RISK ASSESSMKNT
I'he main risk which the charity fa¢¢s 15 that of reduction in in¢ome, due to the downturn in the ecoiiomy. As this is
outside the control of th¢ ch￿'Ity9 tbe only action that ¢an be taken is to build up sufficlent reserves.
RESERVES
The ttwstees have deeided to build up a reserve equivalent to approximately ODe yeavs gross cost of tt2nsportatiou.
This is estimated ¢0 b¢ iurrently rurllli￿ at about £20.000 and ri5illg.
It has also been decided to create arwerve for Èhe i¢placement of the car&v8n which 1$ beginning to show its age. It is
though that about £IO.000 will be required to replace it at today's prices.
The I￿￿tee9 declare that they have approved the tn￿te¢s, r¢ptsrt above.
ON BEHALFOFTHE CHARITY'S TRUSTEES:
All i$on Whits - Chair of the Board of Trustees
Date.. 16 July 2024
Page 2

Greut A LlilTe Cancer S
eiideiit Lxaininers Re
rt to the Tru$ts¥8 of
Gre#l A clifie Caneer Su
ort
Inde
I report on the accounts of Gi'eatAy¢liffe C￿]Cer Support for the year ellded 31 December 2022 set out on pages 2 to 8.
Re5pecÉive r&8ponsibilities oftrw5tses and indepeiidenl examiner
The Ghari(y'5 trustees al'e Irsponsible for the preparatioi) of tile accounts. The tru8t¥¥s Gi)nsider that an audit TS Ilot
required foi. the y¢ar under sectioll 144 ot. the Charities Act 2011 {Ilie Clwiiies Act) and that independent
examination is n¢¢ded.
It is my respoJ3sibility to..
exdmine tlie accounts under section 145 ofthe Charitics Act.
to follow the proc¢dvres Laid down in the gena71 Directions given by the Charity Commission (w)dcr
section 145(5){b) of the Charities Aet), a]id
to state whether paxticul&' Ina(Le￿ have come to my attention.
Basis of independent examiner's st*t¢menl
My eKamination was carried out in accordance with general Dire¢titsns given by thc Charity Coinmission. An
examination includes A review of thc accounting records kept by the charity and a comparison of the accounts
presented with those reLord¥. Jt also includes considffl'EttiDn of anj unusual items or disclosureg in the accoiints, ttnd
seeking explanations fr1)rn the trustees coi)cerning any such matters. Tho procedures undertaken do not provide all the
evideiiLe that would be required in an audit and consequently no opini(>n is given as to wlietlier the accounL% prcsent a
'twe und fair, view and the report is limit¢d to those matters set out in the statement below.
llldepelldent examincr'B stAtement
In connection with my exatnination, no mattcr has come to my att¢ntioD-.
which gives me rcasoi)able cause to believe that ii), an}T rnaterial respect, the requirements
- to keep aecounting I'ecords in accordance with section 130 of the Charities Act.
- lo prep&Te a¢counts which accord with tlie accounting recoi'ds and compty witii the accounting requirements
of the Cliarities Aci have not been met,. or
to which, in n]y opinion, attention $hguld be drawn in order to enable a proper understsnding of the accounts
to be reached.
Lyu5ey Ibbctson FCA
Littl¢ & Neal
37-38 Market Stjret
'erryhill
Co. DUrh￿n
DL178JH
Date: 16 July 2024
Page 3

Great A ¥lirre Caiiier Sii
url
Stllteincnt ol Finaiicial ALtivitie$
Yeai. fi ndcd 31 December 2022
Not¢5 Unrestricted Reslrieled
Funds
Fund8
Total
2022
Total
2021
COME
GraThts attd Donation$
Income from charitable actlvltlel:
Fundrnising & Sales
33J55
7,119
40,474
48,849
16,033
10,033
17,910
Total Ineome
49,388
56,507
EXPENDrruRE
Charltable Aetlvltl&8
49,5S4
7,119
56,673
41 JSI
Other Expenditure
180
Tot41 expenditure
49,734
S6,853
41031
Net ffilltome and net movewent in
funds for the year
(346)
1346)
25,228
Tra118fer betheen fund5
Reconcilimlioll of funds
Total funds brought forward
53,563
53,563
28JJS
Total funds earned fovward
Page 4

Great A cliffe Caiie¢r Su
BalaiicL Shect
Year Ended 31 December 2022
ort
2022
Total
2021
Total
Noto
Lnrestricled Ileslricted
CURREI NT ASSF.TS
Casli at bank
TotAI Current Aswts
52,577
52,577
1,000
1,000
53,577
53,577
53,743
53.743
Creditors Amounts falling due
within one year
(360)
(3()0)
180
Net Current Assets
52,217
1,000
53,217
53,563
Total &ssets Ic58 current liabllltl&8
52,217
1.000
53217
S3,563
Credltors: Amounts f&lling due
8fter thore than one year
Nct assets
52,217
53,217
PU￿d8
Re5tri¢ted
Unrestricted
1,000
1,000
51563
53,217
Total charity fuDds
53,217
The fmancial statffl￿ents were approved by the twstees on 16 July 2024 and were signed on its behaIf by..
Allison Wbite- Chair of the Board of Trustees
Page 5

GYeHt A cliffe Caii¢ei' Su
Notes to the Vinullcial Statements
for tlie Year Ended 31 Dccernbei. 2022
ACCOUNTINC POLICtES
Aceountiiig eunvention
Thc financial statcinei)ts hayc beeii prepared under the historical cost convention with ilern8 re¢ognis¢d
at cost or trdnsaction value unless odiei'wis¢ stated in the relevant notes to th65e accounts.
'lThe ￿CoUnts have been prq)2red in accgrdance with the Accouirting and Reporting by Charities.. Statement
of Recommended Practice t)pplicable to charitics preparing their accounts in accordance with thc finbncial
Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (etYecLive l January 2015)- (Charities
SORP (FRS 102)) and the FIna￿cIal Reporting StsndaTd applicable in tl)e UK and Republi¢ of Ireland (FRS 1021
Fund accounting
Unrestricted funds are gfflieral fu￿dS which are for use at the discretion of the trustees in furtherdnce of the
general objectives of the cl)arity.
Rcstricted fi￿dS ar¢ funds to be used in accordan¢e with specific restrictions itnposed by doiTrors. kny
bal￿￿¢ remainillg unspent al th¢ ¢nd of the ye￿. Inust be carricd forward a5 a b￿allce Im that fund.
Incoming Resollrees
All incoming resoure¢% are iThclud¢d in the %tatthhent of financial activities when the diarity is eDtiU¢d
to the income and the amount can be quantified with reasonable accurncy.
VoluThtllTy Infome
Voluntary Inc4)me is receiyedby way of grants and donation and 15 included in the financial statements
when the charity is legally ¢ntitl¢d to the income and the a￿ount ¢an be quantified with reasonable
accuracy.
Govern3n¢e Costs
Governance costs include tl)os¢ Costs associatcd with meeting the constitutional and statutory requirements
of the charity and include ac¢ounlancy fees and cvsts Telated to the strategic Jnanagement of th¢
charity.
Debtors
Irade Debtors atLd other debtors are recogDised at the 9ettlement amount due after any trade discount
offered. Prepaytnents are valued 8t the amouttt prepaid nct of trade discount due
Cr¢di¢ors proyisions
Creditors and provisiot]s rc¥ogDised wliere the charity has a pr¢sent obligation resulting froin a past event
that will probably result in th¢ Irausfer of funds to a third paty and thc amount due to settle the oblig￿10￿
an be measured or estimatsd r¢liably. Creditors £￿d provisions al'e normally recognised at their settl¢m¢nt
amoLmt after allowing for any trade discoullt due.
Page O

Gi'eal A clirrc C*nccr Su
ort
Notes to tlie Fliiaiieixl Statemeiits
ror the Year Ended 311)¢cemher 2022
Grgnts and Donations
UnrestrÉcted Restricted
Funds
funds
Totsl
2022
Tothl
2021
Grantb. receivable
Donations
1,740
31,615
7,119
8,8S9
31,615
13J49
34,900
7,119
40,474
48,849
IncoiniJJg from charil#ble Actlvltles:
Unrestricted
FuMds
Total
2022
Total
2021
FundraisinL
Sales
623
15,410
623
IS,4AO
13,690
4,220
Expellditur¢
Chkritable
Charitable
Activities
A¢livitie5
U￿r￿trICted Restrictod GovernAnee
Total
21122
Tot&]
2021
Costs direetly allocated to attivities
Cost of sales
DoDatiwis
Fundraising costs
Paticnt support
Patient trdnsport
Caravan costs
Rent
Light & heat
Room hire
Rcpair8 & maintenance
Telephone
Prinling, w)stdge & statton¢ry
Professional fees
so
50
1992
268
A8273
15,018
2259
1,649
3,708
12,210
22,911
2,896
4J97
924
3,708
J6,779
25,461
2,896
4?97
924
4569
2JS0
160
42
308
290
1,220
2,143
2,143
56,853
Page 7

Great A cliffe Caiicer Su
orl
Not¢s lo tlic Finalleial Statements
for tlie Ye&r Ended 31 Deeeinber 21U2
CRLI DITORS.. AMOUTr4TS FALLING DUE WITIILN ONE YEAR
'rotsl
2022
'rotal
2021
Oth¢r creditors
360
180
360
180
FUNI) MOVEMENTS
Balance at Incoming
l .lanuary
sources
2022
Outgoing
resources
BalAnce at
31 Decembe
2022
Trydnsfers
Restrleted
UThrestricted
Gcncral FuniL
1,000
7,119
(7,119)
1,000
52A63
49J88
49,734
52.217
TOTAL FUNDS
52,563
156,853
51217
ANALYStS OF NET ASSETS
Tanglble
Flxed
Assets
Other Net
As5etg
R&*trleted
Unrwtriet¢d
I,￿0
53317
Page 8