Fi114neial Ststeweiits
for the Year En(led 31 Deeembey 2024
for
Crreat A cliffc Cancer Ch8ril
Charity No 1188444

Grent A Lliffe Canc¢r Su
?ort
Le
l and Administrativ¢ Inl'ormatio
fur thL, Year Ended 311)c¢embei' 2024
TRUSTEES:
A White
V Moody
H fc11coner
A Coopey
C Whittiiigton
JGoff
S Flynii
ADDRF.SS:
59 Gr¢athead Crescent
Newlon Ayclille
Co. Diirhain
DL5 5DP
CHARITY NufviBER..
1188444
ACCOUNTANTS:
Little & Nettl
37-38 M8rk¢t Street
Fe]Yyhill
Co. Duithain
DL17 8JH
Page I

Crent A ¢lilfc Cancer Su
ort
Re
01% of the Trustees
lor the Yeai. Ended 31 DeCe￿ber 2024
The trustees present theii. IEpoI1 with tlie financial statements ofr the charity foi. the year elided 31 December ?0?4.
TRUSTC4 ES
The trustees showii below ve held oftice dui'ing the wh(Ile of the year to die date of this report.
A White
V Moody
H Falcoiier
A Coop#y
C Whiitljlblton
s riyi)
OBJEC'fivES OFTHE CHARrrY
The Chai'iiy was regisiei¢d on th¢ l O March 2020 to giire assistaiicc to n)embcrs of the public who were suffering fvom
oi. who httd sufyered fmm caniei-. The a5SiStance extended to theii. families and carers,
The assisianoe take die form of financial help, advice and compttni(mship. twsport lo hn$p6tal and other Diedi¢al
appointments ￿ld short holidays in the charity's caravan.
ACHIEVEME4 Nfs AND PERFORMANCE
Tho trustces 8r¢ plca5ed ta report tiiat thc objectives have coi)tinuLd to bc achievcd, pxrtly thitiii"
.h the donation and
grants received and with the help of a nuinber of volunteer diivcr5 whose help hk)s been ino5t ￿'￿tefi]llY rec¢ived.
The charity's largest eXpel￿e remains as patient transport, due to the reimbuTseiiieiit of voluiiteer drivers fucl Costs.
The continuing fluctuations in fucl price niak¢ this 8 Particularly ¢Killcngtng area. Patient support is another
significftnt cost. whicli Cl£ n t&1ke Ihe forni olnieetings, outings. one to one advicb. harnpeis and generally providin
help wherc necessary.
Th¢ charity has continucd to provide a caravan for short break'5 for PBtiei)ts and C£irers and diis seivire lias proved
invaluablc lo those that have utilised it. During the year the charity acquired a second ¢aravan wid Ilas been abl¢ to
increase the availability tor shoit breaks for patients.
The charity i5 r￿7 by the trustees who meet once per month to discuss niatters.
RISKASSESSMENI.
The Inain risk which the charity fzce3 15 Ihdt of reductiOTI il) incoine, due to tl)e downturn iii tbe elonomy. As this is
outsidE the control of tlie cliaTity, the only action th&t can be taken is to build up sutyicient reseives.
RESERVES
The trustees have decided 10 build up u reserve eqiiivalent to approxitnately one yeafs gross cost of transportation.
This is ¢$litnated ￿ be ¢￿￿entlY running at about knO.000 and rising.
The trusiees declare that they have apprvved the trustees, rei)ort aboye.
ON BEHALFOF7HE CHARITY'S TRUSTEES..
All ison Whit¢ - Chair of the of TTtistees
Date..
O£.10. 1015.
Page 2

Cre#t A cliffe Cancer Su
ort
eiidcnt TrJxiiiiijiiei's lie
oi't to the Trustees or
Great A cliffe Cajicer S
ort
I report oi) the a¢¢oiiiits of GIEJI Aycliffe Cancer Siippori for the year ended 31 Deceinber 2024 set out 011 pages 2 to 8.
Respective r¢spoii$ibililies of triiste¢s and indtpendeiil ex#n]iner
The charity's trustees c11'e IEsponsible for the prepai'i£ lion of the accoiints. Th¢ trustees coiisider iliat M audit is not
required for the year LTI)der seLtio# 144 Ol'the Chai'ities Act 2011 {the Charities Act) and tliat an indepeiident
eX￿1]ll)￿tiOn is needed.
It is my i'e5ponsibility to..
examine Il'ie accounts under section 145 of rhe Chariiies Act.
lo I"ollow the procedures laid down iii tlie bleneral Direclions given by the Charity Conimissioii luiidei
sectioii 145(SXb) of the Ch￿itIe5 Act), ftiid
to stale whetiiei- particular matiers have ¢unie to iny attention.
BASjS ol'iiid¢p¢ndeiJt exaniin¢r's sthtenieiit
My exalliinatioii was cai'ried out in accordance wit]1 general Directions givet) by the Charity Cominissioii. An
exaniination includes a review of the accounting Ircords keptby il)e Lh￿ilY and u LUMp￿rison ol'the acLounls
presented with thos¢ records. It also includes considerdtion ofany iinll5ual itenis or di5closwes im the [￿LoUnts, and
seeking explanatioiis from the trllsiees coiite11)ing 5llch matters. The procedures undcitakoii do not provide ull the
evidence that woiild be required in un audil colls¢quei)tly no opinion is given as to wh￿h¢r the accounts present a
'true aiid fair, vi¢w aiid th¢ rcport is IiTnited to those niatters sct out lll the sthtcnieiit below.
Indepeiident eIaminer'5 51gtement
Jn connection with niy ex￿nUiat1Oll. no niatter li￿ come to my attention..
which gives nie reasonablo caus¢ to b¢liev¢ that in, aDy Fnaterial respwt, the Tequirerneiits
to kcep aCCOLmtinrT I'c¢ord5 in accordance with section 130 of tlie Charities Act.
to preparc accounts which accord with the accounting records and comply with the accoiinting requiirments
of die Charities Act have iiot been mel. or
to wl)ich, in my opinion, attention should be drawn in order to enable ll proper understanding of the accounts
to be reached.
Lyiisey Ibbetsofft FCA
Little & Ne&1
37-38 Market Street
I"'erryliill
Co. Durham
DL178JH
Dale..
ab. lo, 25
Page 3

Crrenl Avclhffc Caiicer Su
orl
Statement of f4 inanciiil Aetivities
Year Elided 31 Dectmber 2024
Notes Unrestricted Re5trietcd
Fuiids
Funds
Total
2024
Total
2023
INCOME
Grfjnts Donations
Income from ¢h8r'it#K>le aetivilies:
Fundraising & Sales
72,242
72,242
52170
43,669
43,069
55,679
Totul iDcom¢
115,911
115,911
108549
XPCI NDITURE
Cbarithbl¢ Acliwities
104,456
104,456
90,130
Other Expen(liture
180
180
18
Totsl expenditiire
104636
104,636
90
Nct ineome and net movcmellt in
funds lor the year
1127$
11,275
18339
Traiisfer between funds
Reconcilialton f)f funds
Totsl funds. brougJ]t forward
70,456
I,oofr
71,456
53,217
Total fund5 tarried forward
81,731
1,01
81731
Page 4

Great A Lliffc Caiicer Su
IlalAnce.4lieet
Year Ended 31 Deceinber 2024
ort
2024
TotAI
2023
Totnl
Notes
Uiirestrieted RL%triettd
FIXCD ASSETS
T<in.'ble <issets
TotAI Fix¢d Assets
21,567
21,567
24,262
21,567
CURRENT ASSETS
Cash at bank
Total Curreiit Assets
60,344
60J44
61,344
61,344
47J74
47a74
1,00
Creditors Amounts falling due
With1￿ OEJe year
(180)
(180)
(180)
Net Curr¢nt A5s¢ts
60,164
1,0
61,164
47,194
Totgl assets les5 current liabilities
81,731
I,0(
82,731
71,456
Creditors: Arnounts falling due
after more than oNe year
Net assets
81,731
1,000
82,731
71,456
Funds
RestTicied
Ul￿¢5trlCted
1,000
1,000
81,731
1,000
70,456
81.731
Total Charity funds
81,731
1,000
71,456
Th¢ fLnan¢ial sta*inents were approv￿ by thc trustees on
..O.b 10..2025
- and were S1￿cd on its behalf by..
Allison White- Chair ofthe Board tsFTriisL¢¢S
Page 5

Greiit A elilfe CiiiieL'I' Su
oi't
Notes to the I,'in￿nciaI Sthteiiieiits
loi. the Year Ended 31 December 2024
ACCOUNTINC POLICIES
AccountiTrg collvenlion
The fi￿ancial Statements have been prepared under Ihe hi8Lorical cost conyention wilh items recogllised
at co.st or transaclion value Lll)less olhcnvise stated in the rclevajit notes to these accounis.
11)e accoLints h8vL bctn prepared in accord￿7£¢ with the Accountin(T and RepoTting by Charities.. SiAtement
ol Rccoininended Practice applicable to cliarities prepai'iii&¥ their accounts in accordan¢e with the Financial
Reporting SLw1d￿'d yplicablc in tlle UK and Republic of Ireland (Tr'KS 102) {effective l January 2015)- (Chw'ities
SOKP IFKS 1021) and ilie Finan¢tAI Reporting Staiidard applicable in ilJe UK aiid Republic of Ireland (FRS 10?)
Fund llccouiiting
Unrestricled funds are geiieral funds whÉch are foi. use at th¢ diSc￿tion of the trustees ID furtliernnce of the
general objcctives of the Charity.
Restricied I'llnds. are funds to be used in accordance wi￿) specitic restrictions imposed by dono]s. Any
balance ietnaining unspent at tlie ei)d ofthe year Inust be carried forward as a balaJ?c¢ on that tund.
Incoming Resources
All lncoiiiin&￿ resoiirces are included in tlic stateTnent of financial activities when the charity is entitled
to the incoiknc the amoiint cRn b¢ quantifi¢d with reasonable accuraLy.
Voluntary Incorne
Voluntary Income is received by way of ￿)ts and donation and is included in the financial statements
wheti the C￿￿.1￿ is letrally ei)titled to the incoi*e ihe ainount can be quantified widi reasonable
ac¢Liracy.
Govern8nee Costs
Goveinance costs include t]iose cosis associ8t¢d with meeting the constitutional and statutory requiiTmeiits
of the charily and include accountsncy fres and ¢osts I'elated to the strategic mai)agement of the
charity-
Taijgible fixed %$sets
Depi'eciation is provided at the ftsllowing 8ni)ual rates in ol'der to write off each asset over its estimated useful
life oi., if Iield linder *L fJnanc¢ lease, over the lease ienn. whicl)evttr is shDlter.
Caravt
l(P/ts stsxioht line
Dtbttsr$
Trade Debtors and other debt￿'S are recognised at The settleinent ainounl due after trdde discount
offered. Prepayments c1re valued at thc an)ount prepaid net of any trade discoiint diie
Crcditor5 and pl￿visIonS
CreditOJ'5 and provisions arc recognised where the chc1rity lias a present obligatlOLI resulting froni a p[￿t event
that will pi'obably result in the transfer of funds to 8 third party and the amount due to settle tl)e obligation
call be Ineasured or estllnated Itliably. Cipditoi's ynd provisions are normally recognised at their settlement
ainounl after allowing for trade discount du¢.
Page 6

Cjrcat A eliffe Ckiiieer Sii
Drl
Note5 to Uje Fin#neial Statemeiils
for tlie YL'ar En(IL.d 31 DeLeillber 2024
Grants and Donations
Uiire5fri¢ted R&itri¢ted
Funds
Totol
2024
Total
2023
Grwits rcceiyable
Donations
6,500
6S,742
6,500
6S,742
901
51,909
72
52,870
ImeoJnÉnE from eharltable Aetivltles:
Unrestrictcd
Fiiiids
Total
2024
T()tal
2023
FundrAising
Sales
6,322
49J57
43.669
43,669
43,669
43.669
Expenditure
Charltable
Charitable
Activities
Aetivities
Unr¢strieted Restrieted Covernance
Tot91
2024
Tot¥LI
2023
Costs directly alloL'#led to aetivities
Cost of 581es
Fundraising Costs
P2itien( support
PatlLnt ti'ansport
L'aravRI) Costs
Rent
Depieciation
Kepairs & Inaintenaiice
Telephone
Printing, postage & siationery
Professio[￿1 f
Al,053
10,683
54,762
10,491
J,IS6
2,695
7,984
2J48
1,284
11.053
10,(<83
54,762
111,491
3,156
2,695
7.984
2J48
1,284
180
2,401
29,309
38.351
¢1,605
6,$41
2695
2,600
2,607
1,021
180
180
Page 7

G'reat A cliffe Caiic¢r,Su
ort
Noles to tlie fi inaiiei%l St%tcnieJ)ts
for the Yefir Eijded 311)eceiMbtr 2024
'rA Tr461111,E Fixfi D ASSEITS
Caravsn
Totals
COST
At l Jyniiary 2024
AdditlOllS
Disposals
26,957
26,957
At 31 De¢einber 2024
26,957
26,957
DEPIIECIATION
At l Jaiiuary 2024
ch￿￿e foy year
Eliminated on disposal
2,695
2,69S
2,695
At 31 Deceinber 2094
5,390
5J90
NET BOOK VALUE
At 31 Deeembcr 2024
21,567
At 31 December 2023
24
24,262
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
Total
2024
Totsl
2023
Other creditors
180
180
180
180
FUiYD M()VEMENTS
Bal#nce at Incoming
l January
resoiirces
2024
Outgoing
resourtes
Balance At
31 December
2024
Transfers
Restricted
Uiireslrlcted
General Funds
1,000
1,000
70,456
115,911
104,636)
81,731
TO'fAL FUNDS
71,456
115,911
104,636
82,731
ANALYSIS OF NET ASSETS
Tangible
Thxed
A5s¢1s'
Other Tr4el
Assets
Restricted
Unrestricted
1,000
81,731
Page 8