Society of Catholic Medical
Missionaries CIO
Annual Report and Financial Statements
For the year ended 30 June 2025
Charity Rgjistration ￿.. 1198971
CtrMpan￿s House Registration No.. CE029243

Society of Catholic Medical Missionaries CIO
Annual Report of Society of Catholic Medical Missionaries CIO (1198971)
for the year ended 30 June 2025
Society of Catholic Medical missionari￿ cio rcio") is registered with the Charity Commission
for England and Wales on 16 May 2022 under the number 1198971. The CIO 18 also registered
as a Charilabb Incorporated Organisation with compan￿ House underthe number CE029243.
The Trustèe$ present their third annual r8POrt togethèr with the 8udrted finar￿￿41 Statements for
the year ended 30 June 2025. In preparing this report, the Trustees havè complied with Charities
Act 2011, the Accounting and Reporting by Charities, the Statement of R8ctsmmended Practice
SORP 2019, and th6 ConslilutK)n and principl88 of the Sctiety of cathol￿ Medical MIss￿)narieS
also known as Medical MM8KJn Si818rs.
Rgferenc& andAdminislralion Infom7alion
Society of Catholic Medical Missionaries CIO is a relatively nèw entity of the rnerging tsvo existing
Charilie5'. The Society of cathol￿ Medical Missitinaries- Central Fund {SCMM CF), Regislr81ion
No.1072554, and the s[￿letY ol Catholic Médieal Missionaries ISCMMI. Registralion No. 232742.
The present Trustees 8re'.
Agnes Lanfèrm8nn, Society Coordinator. Chair18ppointed 13 Nov8mb8r 20221..
Rowèna Mironda, member of the Genoral Asgembly. Secretsry {appoint84 13
November 20221-,
8elayne8h Abera, Member of General Assembty {appoinled on 12 November 20251,.
and
Rowena Pineda, Member of General Assémbly (appointed on 12 Novemb8r 202SI
Pdn¢lp41 Office.. 41 ChatBworth Garden•
Acton.
London,
W3 9LP
Telephone..
Fa¥".
Email..
020 8992 6444
020 8896 2397
Auditor8'.
oore King8lon Smith LLP
The Shipping Building
The Old Vinyl Factory
Blyth Road
Hayes
Lond¢)n
U83 1HA
Solicilor8'.
Stone Klng LLP
Boundary House,
91 Charterhouse SL
Barbican,
LorKlon
EC1M 6HR
Bankers..
The Cooperative Bank
14 New 8roathay
Ealing
London
W5 2XL

Society of Catholic Medical Missionaries CIO
Annual Report of Society of Catholic Medical Missionaries CIO (1198971)
for the year ended 30 June 2025 {continued>
StWctu￿, Gov6m8nce and Management
The Society of cathol￿ Med￿1 Missionaries ISCMM). also known as Medical MissKin Sffdters.
was founded in 1925 by Dr. Anna Dengel in Washington DC. United Statss of America. 11 is an
internatK)nal, apK)810lic, rdigious ottler in the Roman cathol￿ Church.
Tho Tru8tee$: As mentioned above, tha CIO has four Trustees.
The Society Coordinator aLrtomatKalty i8 eX-olThth. the a5 long as She holds the
cffic8. She is elected bytha GèMral Chapter ofthg Ord8rfor a lemi ofsix y8ars acccffding
lo the Conslilulion of thé Sc£￿ty. She seryes by inspiring, coordinating, and16ading th8
Society a$ rt carries out its missYJn in fve continenlg. The other threè Tfusl88s ar
appointed by resolution in wnting by the Society Coordinatcf.
They are membèrs of thè SocK8ty C(thinatorf8 Council until th6ir lem as memb&r8 of
that ¢oun¢il ends.
The TNslee8 hav8 deleggled lo the MMS Region UK Committe8 a daity managemant ol
the MMS RegK*n UK Operat￿n¥1 D8signated Fund 8nd the MMS Region UK Cara
Designated Fund as dete￿ined by the Teffl￿ of Referenc8 adopted on 12 November
2022.
Al the beginning oflhèir lerm, the newTrustees rgceiv8d a det8iled induction loth&irTnJstee dLrtles
and othèr 8ignifi¢8nt 08p￿ts of the ChariV8 op8r8lh)n$. In the interest of keeping abreast of
¢hanging regulations and new developmanls, the TN$tees regu&ty reviw guidance and
updale818sued bythe Charity Cemmission and c4her bOd￿s, as well as attending onlin8 webinars
and Charity conl8renc8s.
The Charity Commi8$ion for England and Wale8 aulhorised the tran8fer of assets and liabilttb8
nd the granting of an indemnity under section 105 of the Charitiès Aet 2011 dated September
2022 for the Charrties known as 'Th8 Soci8ty of Catholic Medul Missionaries Central Fund"
(registe￿d Charity number.. 10725541 and ￿lety of cathol￿ Medul Missionaries CIO
111989711
Thg S¢xiely of Calhollc Medical Missionaries
Central Fund, (r8gisl8r8d Charity numb8r
1072554} will donate Its property, nghl$, prwikges and undertakin9, and di8charge its liabllllie8 to
the Sttiety of Catholic Medi￿1 MissionarTr85 CIO (11989711.
The Society of Catholic Medical Missionar￿9 {regi8ler8d Charty number 2327421 has donated
most of ils property to the CIO, the rémaining property. rights, privilegeg and undertaking. and
discharye its liabilities lo th8 Socty ol Catholic Medul Missionariès CIO111989711 should be
Iran¥ferred before 37 December 2025.
Translerring investments from one of the above charitios has just begun. The process 18 being
continued. Wè hcpe to complete the proce￿ in the eoming fflonths.
Poli¢i&s
The CIO follows policies regarding Star. Trustees. financrdl conlrals. s8feguardiNJ. risk
management etc. Special attention has been given lo cyber seourity risks and the prevontion of
online fraud. Th8 yearty risk assessment enabled the Charity lo Identify potential risk
and to charter Steps lo mitKJate them. The Charity's intemal financial controls are r8vitrw8d
regularty, at least onc8 a ye8r. lo ensure compli8rKe with the legal requirements relevant to the
Charity.

Society of Catholic Medical Missionaries CIO
Annual Report of Society of Catholic Medical Missionaries CIO (1198971)
for the year ended 30 June 2025 (continued)
Objeclivos
In planning and carrying out the aciNities of the Chanty. t￿ Tnjstees have had f￿1￿ to tha
Charity Commission's guidarKe on PublK Benefrt (Charitw and Public Benefrt Section 41. Th0
object ofthe Chartyas described inlheTru5tDeed is. forsuch chanÉable puwes which 8dvanc&
tho ￿1￿lOUS and other chantable woths forlh8 b.me being camod out by orunderthe diwlion of
the Society 8S the TnJs¢e6s with th& Spproval ollhg SoC￿ty G￿rdinatOr sh811 fmm tirne lo tim&
thinkfft, to includg fbutnollimit8dlo) Ihos8 whKh prDmot8. pri)tertorpreserve health." Its purpose
18 tha supptrtof the wortdwide charitablè Oft￿ So• as a ralw4￿u6 oth.
The Charity. at the service of sustsining the Ilfe and mi$$K)n in the worfdwide Society, promote$
effectNe r88pon$es to changing need8 for hea￿h and welboing among disathant898d peop
and eneourag8s inlernclion and Skill sharing between the Units Igovernmenlal enlilies of the
inl8malional Societyl.11 also ensures the ne8ded support forth• training of new members as well
as supporting the w8llbeiThJ of rts ageing members worlthwde.
Aclivili&s
Truslees and 81aff are heavty ongaged in tho proc8M of ¢c¥npl8tlon oftr•n$forrlng funds, fulfilling
other legal requirements.. th8 CIO Charity had been registered as an employer wlh HMRC and
Penslon Regulalci and Iransf8Tr&S ￿¥9 ￿p￿yeeS VB TUPE from SCMM, oblain8d insurance
covgrage for the merged a888ts and ￿bVIbes and makiThJ plans to bun¢h activ• fundr8isirvJ.
As the CIO Started employing 8taff. the HMRC PAYE Real Time r6POt*ng sofvlarg had been
download8d and us8d for rgguL4r data submission 88 required by èrryloyment L9W.
After the MMS UK trustees the SCMM CIO Tru51ee5 suned a Grant Agreement for the MMS
UK funds. fixed a¥$els and m081 of the other funds were transferred lo the new SCMM CIO. The
CIO continued lo provide financial support of tr40 sisters moved into residential care loc818d in
Uxbridge and in CaryJTr7. Sisters of our ChBrity visit the sisters living in reyidontial care froqu8nlly
and liaise with the ca￿ Horne Staff about our si8ler8' d8￿Y and bng-tem needs. have also
set up LPAS (Lasting Powers of Attonw) for heatth and w811being for all the eklerty si818rs.
Slstars eonlinue lo netsth with Just￿e, Peace, Environmental and Inlèrfailh organisatsons. They
do Ic by jolning local and failh-based peace and juslti groups lik8 CAFOD. Pax Christi as well
as the Nalitsnal Justice and Peace network and othor national charities. One Sistèr works in a
London hospital A&E department al Sl Thoma¥, Hosprtal. She is being commissioned lo develop
ground network of other hethe￿¥s services such as GP Se￿￿e5. day centies with a goal of
better coordination and cooperation across the board. Our Sislern got eng8ged In the cooperation
with Southall Street Homeless Charity and Sl. Mungo's.. helping to run daily centres providing
Icod, ¢k)thing for homele8S, accompanying them lo heatth in8tilulions. legal and immigration
offices.
Revi¥w of the Transaclions alid Financial PosNtion of the Charity
The Charty's total irKomin9 resourc86 rttewed during the year were £2,579,020, th￿ is madg
up of donation5 in the anv)unl of£209,693. SIip8nds and benefits of £73,111. 0 transfeT of assets
of £2,288,463 from the merger with me￿￿81 mi8s￿narieS UK and the Scciety of Medical
Missionaries - Central Fund, and investment income of £7,753. There was also expenditure ol
£97,009 during the yéar. of wh￿h care expenses were £27,657. CIO h8s received a transfer of
assets from the merger, being kn properties= Clithorow House with thè value of £850.000 and
Springfield House with the valuè of £8CM).CK)O from SCMM Oiher fixed assets donated included
a secondhand motor vehicle to enable the wort of the sr51er in emergency m8dical woth.

Society of Catholic Medical Missionaries CIO
Annual Report of Society of Catholic Medical Missionaries CIO (1198971)
for the year ended 30 June 2025 (continued)
R&serves policy
The Iruslee8 reviewed th8 Charity'8 need for reseTres in line wilh the guidelinès issued by th&
Charity Commission. The trustees are of the opinton Ihal re8èrve3 should provide sulllcient
le￿bilIty to cover temporary shorttalls in income to cope with and to respond to unforeseen
6meigenci8s. The Irustses ￿gularlY review the reserves poli￿.
The Charit￿8 balanc8 Bheet shows total fund5 of £2.813,861.
Key niaipagetnenl Reinuneralion
Kèy management. who are the Chanty$ Trustees, give their timè fleely and no ramuneration
wa8 paid to Trusteès in the year, fvrther details are gNan in note 8.

Society of Catholic Medical Missionaties CIO
Annual Report of Socioty of Cat1￿1￿ Medical Missionaries CIO11198971)
for the year ended 30 June 2025 (continued)
Slatamenl OfTAtstse￿ R&8pon3ths
Tho TfUStee8 •rè ￿P)n81b[￿fOr w8paring the Tntsi8eg' Report and statemèAts
eordance with •p1kab￿ Lqw8 arnj Uoit•Y KirvJ¢&yn kcountiry Slandards (Unrted
JQngdom G•n•• Acwled Accounting Prxtr8.1
The18u eppkobkn to th4ritE¥ in Eng￿nd and rwun8 the trwtee8 to prepjrn Inane￿1
It￿8Ments lar e8eh yur wwt gNe • INe and of Iho state of atsirB of
Ihg Ch•rty th• 11￿¢MINd and re￿r¢￿ of th• Charty for that
rfod.
In prfjparkng th￿ ffnaKiBI tytat￿ts, th• Tr4tst•os *• tr*.
•de¢t Suitab￿ acojunt￿g then appty th8m￿￿￿tart￿.'
oba•N• thè m•ll￿d8 PrindP￿ In tho Chwitlfrs SORP.,
mkgludgwl$ estimotw th&t *• f•0￿[￿ and
8l•t¢ wholher ￿pAC•b￿ 4cctyJnUno stsndards hw• Ic4hJffd, to ory rn•t•thl
d•pgrtuffjs ar%J expkninad in the fiMn¢W •tatoTrnnli,
Al￿11/n￿￿tIon
So fw ai •¥h of th• Tr[¥t￿l •t th•tim•th• Trubtw. Report 18 8pyov•d:
al Th•re ts no relevant obwt whth thè athYblcTr we I￿￿￿￿re,. gnd
bl Thoy have taken 418tow Ihty oWt10 hawt*en to m*e awrA• ol
r•knttnt•udtttsrforr￿ arKllo gstsL4oh Ihattho dthlt
lrtfom•tion.
Approv•d ty th• Truite•J
t&rAgn￿ Lagf•mann,
Tfust•e, Secknty Coordn8lor
Slgtsr Rmna Mirand8
TN$tee. SLT mernber on Flnwc•

Independent Auditors, Report to the Members of
Society of Catholic Medical Missionaries CIO
Oplnlon
We have audited the financial slalement5 of the Scriety of Catholtc Medical Missfvjnaries CIO for the year
ended 30 June 2025 wh￿h crnipri8e the Stslement of FInal￿ra1 Activf(ies, the Balance Sheet, the Statement
of Cash Flows and notes to the financial slatemenls, indudiTrJ signrficant accounting policEs. The financial
reporting fram6wotl( that h88 been aPPl￿d in Ih8ir preparation is applicable Lqw and United Kingdom
Accounting Standards. including FRS 102 The Financial Rep)rting Standard ApplKable in the UK and Ireland,
(United Kingdtyn Generalty Acceplgd Accounting Prathce) and Chanikes SORP 2019.
In our opinion the financial stalemenls..
give a true and fair view of the slate of the chantys affairs as at 30 June 2025 and of ts incorning
resources and application Of resources, including its inccrfne and expend(ture, for the year then end8d,'
h8ve been prts￿￿y pr•parod in Kcordance wth Unrted Kingdryn Generallyknepled Accounting
Practice,. and
have been pwpared in accor(lance with the requirements of Ihe charit￿5 Act 2011.
Bas16 for oplnlon
We conducted our aud￿ In a¢cordance wrth International Standards on Auditing IUKI IISA8IUK}) and
applicable law. Our respon8ibililk88 under those standards arg further described in the Audilorfs
Responsibilities for the audit ol financial 81atements seth.on of our r8porL We are independent of the charty In
accordance with the elhieal réquirements that are re￿vant lo our audil of the financial statements in the UK,
including th& FRC'S Ethical Standard, 8rKI we have fU￿Illed our other ethul responsibllilieg in sccordanc8 wllh
th68e requirements. We believe Ihal the audit evKlen¢e we have ¢)btoinod is Sufficient and appropriate to
providg a basis for our c¢ink?n.
Conclu8lon rela￿ng to golng eoncgm
In auditing the financial slalemenls, we have concluded that thè trustees, use of the golng concern basis of
accounting in the preparaticn of the financial statements is appropriale.
Based on the work we have performed. ￿ have nol vjenliffed any material un¢ertginties relating to events or
Condilions th81. individually or collectivèly, may cast S￿nrficanI doubl on the chariils abilty to continue 88 a
going concem for o period of at least twefve months from when financial statements arg aulhorised for
188ue,
Our respon8ibililie$ end the responsibilit￿ of the Trustees with resp&t to going concem are described in the
rdevanl 8eclKJns of this report
Other Infomiatlon
The other information comprises the infomialion included in th6 annual report. other than the financial
slalemenl8 and our aLrdilols report Ihereon. The Iruslees a￿ responsible for the other information conlaingd
within the annual Teport. Our opinion on the financial statèmènts th)es not cover Ihe other infomiation and,
except lo the extent oth￿1$8 eXpl￿Y slated in our report we (h) not e¥pre85 any form of as8urance
concluS￿n thereon.
Our re8pon8ibi1ity 15 to read the oth8r infomialion aNJ. In dolng so, eonsider whether the other infomiation is
m8t8rially inconsi8tenl with the financial slalements or our kn￿the￿9e obtained in the audf( or otherwise
appears to be malerialty misstated. If we identify such material inconsistencies or apparent material
misstslemenls, we are required lo detemiine whether there tg a material rnis5talemonl in the financial
sta18m8nts or a material misslalemenl of the other infomiatM)n. If, based on the wot* we have perfom8d, w8
conclude that there 15 a material misstatement of thi8 other lnfomiat￿jn. wa are r8quired to report that fact.
We have nothing to report in this regard.
other Matters
Th8 corr&sponding figures in the linaneial slalements of Society of Catholic Medical MissK)naries CIO were
not audited as the Chaiity did not require a ststutory audrt under the Charitss Acl 2011 in the prior year.

Independent Auditors, Report to the Members of
Society of Catholic Medical Missionaries CIO
Matters on whlch we are requlrod to report by exceptlon
We have rK)Ihing to report in respect of the fOlk)V￿￿9 matters where the Charrt￿3 Act 2011 r8quir8s us lo
report lo you if, in our Opin￿n..
the infomalwJn given in the Annual Report 13 Incr￿815￿nI in any material reSp￿ts wllh the fin8ncial
stal8menls,' or
the charity has not k$pl adequate accounting records., or
the financial statements are not in agreement wlh the rnnling records ané retums., or
we have not rece￿ all the infomiation and 8xplanation$ we require for c4Jr audit.
Re¥ponslbllltle¥ of trustees
As explained mor8 fully in the Iruslees, responsibilil*s statemènt sat out on page 6, the truste88 are
responsible for the preparat￿n of the financial statèments and fcrf being satisf￿d that they yive a truè and falr
view, and for such internal control as the Iruslees determine is n&c8ssary lo enable the Pfgparalion of
financial slalemenls that are free frcffi malarial misstalemenl, whèth6r due lo fraud ￿ error.
In preparing the financial slalements, th8 trustees are responsibl8 for assessing the charivs abilty lo
continue as a going ¢on¢ern, disclosing, 8s appluble, mattéts related lo going concem and using the 90ing
concern basis ol accounting Un￿8$ thè Iruslees etther Intar￿ lo liquKlate the charty or to cease operation8, or
have no realistic allemalive bul lo do 80.
Audltor'8 responslbllltl81 for tho audm ol th• financlal ¥tat•ments
We hav¢ been appointeé as audilof under 9èct￿n 145 of the ChantK88 Act 2011 and report In aGGordance wlh
regulations made und&r seclwJn 154 of that Act.
Our objeGlives are lo obtain reasonable 88surane8 about lthether the finan¢wl $tatemenl$ •$ a wh¢16 ao free
from malerlal ml8slal8m8nl, whglher due lo fraud or error, and lo issue an audilorfs report that includes our
opinitsn. Reasonable assurance is a high level ol assurance, but is not a guarantee that on oudil conducted in
accordance with ISAS IUKI wll 8￿yS delect a material mi8slatemenl when il exists. Misslalements ¢an arise
from fraud or errof and are considered material if. indNKlualty or in 8ggreg*e. they could re850nabty be
èxpacl&d lo influonce the econcmic deci$ion$ of user$18ken on the basis of these financial staternenl8,
As part of 8n audll In accordance with ISAS {UKI we exwcise professional judgernenl and malnlain
professional sceplicism throughout the audit. We also..
Idenlrfy and assess the risks of materi81 misstalemenl of the financkgl statements, whether due lo fraud
or armr, design and perform audit pr¢xedures ￿POnSive to those risks. and obtsin gudrt evidence that is
8uffiaent and appropriate ID provtde a basis for our opinMJn. The risk of not d8lecling a materi81
rnisstalemenl resulting fr￿n fraud is huher than for one resutting from error, Bs fraud may Invofva
collusion, forgery, intentional omissions, misrepresentations, or thè override of internal control.
Obtain an understanding of internal control reK8vanl lo the audit in order to desiyn audit procedu￿$ that
are appropriate in the circumstances, but not for th& purw)ses of expressing an opinK)n on the
offeetivene55 of the chantys intemal corktrol.
Evalualo the appropriateness of accounllng polieies used and the reasonableness of accounting
eslirnale8 and related disclosures made by the trustees.
Conclude on the appropriateness of the trusle88' use of the goiNJ conrRrn basis of accounting and,
based on the audit evklence obtained, whether g material uncertainty exfstg related lo evènts or
conditions that may cast ¥nill￿nt doubl on Ihe charity's abilty to continue as a going concem. If we
conclude that a material uncertainty exlsls, Y￿ are required to draw attention in our auditorfs report lo the
related disc108ures in th8 financial statements or. rf such disck)sur8s are inadequate, to modify our
opinion. Our conclusions are based on the audit eMdence ￿ts1fted up to the dale of our audilorfs report.
However. future events or condrtb)ns may cause the charity to cease to continue as a going concern.
Evalu8le the overall presentation, structure and conlenl of the financial statements, including the
disclosurés, and whether the financial slalements r8pr8S8nt the underlwng transactions and events in a
manner that achieves fair pres8ntafion.

Independent Auditors, Report to the Members of
Society of Catholic Medical Missionaries CIO
We Gommunica18 Wrth those charged wlh governal￿e regarding, amorvJ other matters, the pknned scope
and timing of thè 2udil and signrfKanl audit findings, including any svJnifunl d8fici8nci8s in inlemal control
that we identify during ouraudit.
Explanation as to what •xt8nt the audit was consldgrgd capable of detectlng Irregularltles, Includlng
fraud
Irregularities, including fraud, afe instances of Th)nryeomplianeé ¥￿th laws and WUlat￿￿S. We design
procedures In Ilne wrth our responsilmlrties, oudined above, lo detect materwl mi8Stalements in respect of
irregularities, including fraud. The extent lo our pr(￿eduleS are Capab￿ of dalacting irragularities.
inGluding fraud is d8tailed bek)w.
The objectives of our audit in respect of fraud. arè,. to Kl8nlify and assess the risks of material misstalemanl of
the flnanclal stat￿nentS due to fraud., to cèlain SLrfI￿I8nI appropriate au(lil evidence rggarding the assessed
ri8kB of material misstatement due to fraud. Ihrough d8sKJning and Implèmenting appropriate ie$pons8S to
those assessed risks.. and lo respond approprialdy lo instances of fraud or suspeet¢d fraud ￿entIfied duiing
th& audit. However, the primary respon8ibilty for the prevent￿￿ aThJ d8lect#)n of fraud rests wlh both
management and IhD8a Gharged with g¢)vemanc8 of the charlty.
Our 8pproaeh was 85 follows..
We obtsined an understsnding of the legal and reguLg10ry requirements 8pplieablg lo the charty and
considered th81 the m08t 8ignificanl are Ihe Charities Act 2011, the Charity SORP 2019 gnd UK finan¢lal
roporting $landaids as i88ued by the Fin8nckql Reporting C￿n¢11.
Wè eèlained gn understsnding of hcw Ihg ¢harily ¢￿PIlO$ with these requirem8nl8 by di8CU88ion8
m8nagtrm8nt and those charged wlh govemance.
We 888e8sed the dsk of m*erBI misstslemenl of the financlal 31atements. i￿luding the risk of material
misslatemenl due to fraud and how rt mtght ccKur. by holding di8cussions wth management and those
charged with governance.
We inquired of management and those chargèd wlh govemarKe 83 lo any known in81anc88 of non-
complianc8 or suspected norKompliance wrth law8 8nd regulations.
Based on this understanding. we design￿ 8Fecif￿ appropriate audil procedures lo identify instance8 of
non-compliance with laws and regulations. This included makirKJ enquiries of management and tho88
Gharged with governance and obtalning >Yditional Corrob￿at￿e evldence as required.
There are inh6rant limilai*)ns in the audit procthyures described above, We ar@ le88 likely lo becc#ne aware of
instsnces ol non40mplian￿ with laws and regulations that are not closely r8lal8d to évents and transactions
reflected in the financial 81atemenls. Also, th8 nsk of not detecting a material misslalement due lo fraud is
hlghèr than the risk of not delecling one resulting from error, as fraud may involve deliberate concealment by,
lor exampb. forgery or intentional mIsrepresenta￿n$. or through collusitin.
Uso of our report
This report 18 made Sole￿ to the charity's Injstees, 8s a bc#Jy. in ￿cordanc6 with Chapter 3 of Part 8 of the
Charili8s Act 2011. Our audit work has been undertaken 50 that we mKJhl sl8le lo the charity's trustee8 lhotse
mallars we are required lo slate to them in an audrtorfs teport and for m other purpose_ To Ihe fullest extent
permitted by Lgw, we do not aC￿pt or assume responsibilty to any party other than the Gharity and charW8
trustees as a b(xJy, for our audit work, for this reporL or for the opinion we have fomed.
Dale.. 7 May 2026
The Shipiyng Builaing
The Old VIW Factory
Blyth R03d
Hayes. London
U831HA
Moore Kingston Smith LLP is eligbi lfr lo act as auditLY in tem)s of Seetion 1212 of the Companies Act 2006.
up
Moore Kingston Smith LLP
Slalulory Auditor

Society of Catholic Medical Missionaries CIO
Statement of Finanaal Acttvities
For the year ended 30 June 2025
Un•udlled
Yoar to 30
June 2014
Unr•8trfct8d
Fund•
Restrlctod
nd
Year to 30
Jun• 2026
Incom• from:
Donations and *ac¥88
Charitable activlti
Sb'perKI8 an¢J benelhs
Trap.sfer of assets
Investments
205,060
4,613
209.693
334,463
73,111
2.288.463
7,753
73,111
2,288,463
7,7S3
4,866
Total Incom•
2.574.407
4,613
2,S79.020
339,331
Expondltur• on..
Charitable athwt*$'.
Donation&lMi55ions EynBe8
97,CpJg
97,¢J39
26.S43
Total axpondltu
97,009
97,CK)9
26,543
Not In¢om•ll•xp•ndlturel b•for•
galn•llo8•08 on Invo8lments
2.477,398
4,613
2,482,011
312,788
N•t l•xp•ndltyr•Vln¢ome
b•loro trnb1818rn
2,477.398
4.613
2,482,011
312.788
Tr2n•f•r• B•two•n Fund•
P4•t movoment In lunds
2,477.398
4,613
2,482,011
312,788
Total fund• brought forward
at 1st July 2024
15
331,650
331.850
19,062
Total lund• carrl•d forward
at 30th Juna 2025
15
2.609,248
4.613
2,813.881
331,850
ThÉra no recognlsed gain$ ¢r1063es duriThJ thè paiiod oiher than th8 surplus for th& perf*xl shrywn
above. All thè above results derive frtyn eontinuing act)viti8s.
Thg a￿OrnpanY1rlq notss form on integral part ol th88e accouni

Society of Catholic Medical Missionaries CIO
Balance Sheet
at 30th June 2025
Jun•
2025
Jun•
2025
June
2024
J•Jn•
2024
Not•
Flxgd a*￿*
T8ngibl¢ osset¥
11
1.651.325
1.651.325
Curr•nt a$8•1•
Debtors
Cash al bank
Short te￿
13.233
669.703
39.752
302.189
1.182.9&3
341.921
Cv•dltor¥: Amount• f•lllng du•
vAthln on• y•ar
10
10.071
Not curr•n¢
1.182.536
331,850
Total l••• curr•nt IlabllJtl•B
2,813,861
331,880
N•t •8*•ts
2,813,*1
331.880
Fund 8olan¢
G8n8ral FuTrd lunr•slr*ledl
Restricted luTrJ
D8signa18d buihJing mwi•nonceluThJ
Dg$ignat•J ￿re fund
DesvJnat8d fLxed 8S8* f
Is
15
1S
1S
15
760.755
4.813
100.WJ
297.188
1.6S1.325
$3,gS1
277,899
2 813.861
331,850
Th• K¢tsMp•n￿n9 not•J lom) w it•¥al wi oftl*• frnnull itst•Y*ts.
Approved 8Tr1 authtyo•d lor iMu• by th• Tw*••$ 8rwJ on thw beh￿1..
s[Ag￿ Lwrfwmwn. Ch•"r ol trustees
Sf Rcmpna Mirar¥Ja. Tnts. SLT M￿¥ber cl FirwK•
10

Society of Catholic Medical Missionaries CIO
Statement of Cash Flows
at 30th June 2025
Yoar to 30 June 2025
Year to 30 Jun8 2024
Cash flows from opèrating activltles
Cash (used In)Igeneratèd from operations 13
359,781
278,239
Nèt Cash Inflow from oporallng activiti¢s
359,781
278,239
Inve$tlng actlvltlos
Int8r8sI received
4,868
Nel cash used In Inv88ting aGtivlUes
7,753
4,868
Nat Increas8lld•cr•a#el in cash and cash &quivalgnts
367,534
283,107
Cash and ca8h equiv816nl8 al beginning of y8ar
302,169
19,062
Cash and ca8h •qulvalMts at ond of year
302 169
A breakdcwn Df cash and cash equlvabnl$ can be found wi note 12
11

Society of Catholic Medical Missionaries CIO
Notes to the Financial Statements
For the year ended 30 June 2025
ACCOUn￿ng Pollcies
A summary of the principal accounting poI￿leS *opled, judgements and key sources of estimation
uncertainty, is set out below.
1.1 8a518 of Prnparation
The financi81 statements have been prepa￿d in ￿rdartce ￿￿th the Accounting and Reporting by
Charities.. Slalemenl of Recommendthj pract￿ applicabb to Charit￿8 preparing their accounts in
aCcOrd8n￿ wrth the Finanaal Rwrting Standard applicable in the UK and Republic of Ireland IThe FRS
102 charit￿S SORPI.
The accounts IfinancSal stslamanls} have been prep8red to give a Itue and fairf w8w and have departed
from the Charrtie8 (Accounts and Reports) Regulation$ 2008 only lo the extent required lo provide a Yrue
and fair view. This departure has involved folkmng Accounting and Reporting by Chaftlies prèparlng Ihalr
accounts In accordancè wlh thi Financial Reporting Standard appluble in th8 UK and Republic of Ireland
IFRS 1021 issued on 16 July 2014 rother than the Accounting and Reporting by Charities.. Statement of
Recommended Practice off8cliv& from 1 April 200s vthich has since been wrthdrawn.
The financial statements are Pfepared in slerfing, wh￿h is the functional ¢urren¢y of the entty. Monetary
amounts in these financlal statements ar8 rounded lo the nearest pound.
The financial slalemenls have been prepared on thè histor￿al cost convention. moJified by the recognition
of certoin tangible fixed assets, and financHI assats and li8bilit*s measured at tair value.
1.2 Golng eoneém
The charf(y made a 8urplus forthe year of £2,482.011 and as al tha baLgnea S￿81 d818 had nèt &3sèl8 of
£2,813,861 of which ea3h and short tem investments being £1.169.703. Based on th8 current strong
financial po$It￿n and projected resutts, the Iruslee5 bdieve that the charity will bo abk lo Gontinue and
meet rts liabillties 05 they fall due for a perth of at ￿ast twe￿ month8 from the dale of approval of the
financlal stslemenls.
1.3 Income
All income Is iecognis8d when there 15 enb'tlemenl lo the fvrKls, the receipl 18 probable and the ￿OUnt can
be measured relHblv. Income presented I￿￿8￿e of any raLqt&J tax erèdil.
Income from investments 1$ r8cognised when rt is prc4)able Ihal the econom￿ benefits will fkiw to tha
company and the amounl of revenue be measured reliably. Ir¢lerest income is accrued on a lime ba81S,
by reference lo the principal outstsnding and the effective interest rale appI￿abl￿.
1 A Expendltu
Expendibjre is included in th8 Slatemanl of Financial Activit￿ inclu81ve of any VAT which cannot be
recovered. Expendiluie is reeognised on an accruals basis. once there is a legal or constructive obligation
lo transfer e￿nOMiC benefrt lo a third party, il is probab￿ that a transfer of economie benefits will be
required In settlement ènd the amount of the obl￿aatI)n can be measured reliabty.
Expenditure is allocal&J direct￿ to the expenditure headings as far as pradcalty possible to réflect th
tiv(tie8 of the c*arlty under the act￿lty h6>Jing. ExperKlrture on charitable ￿tIVitIeS.
Expenditure on ¢haritabfe athitw includes tIK6e direct costs 8nd 8UPPOrt costs relating to the pursutt of
the charfty's objectives.
1.5 Foreign Currencles
Transactions are dealt with at the rate of exthang& prevailing al the dale of the transaCtic￿.
12

Society of Catholic Medical Missionaries CIO
Notes to the Financial Statements
For the year ended 30 June 2025 (Continued)
Accountlng Pollcles Icontlnued)
1.6 Taxatlon
The Society is a registered charity where income and gains are appl￿ for charitable purposes wilh no
trading activity carr￿d out. il is therefore exempl frC￿ income and corporation taxes.
1.7 Flxed Assets and Deprnclation
Tangibl8 fixèd 85$els are stsled at cost kss accumulat￿ dep￿￿4t1Qn. Al ts)sts incurred in the
purchase or enhancement of fixed 88sets L8 Included.
Depreciation 1$ provided on fixed assets when ttw are bought into usa, al rates which will writa off th&
cost of the assets over Ihair usèful èffècti￿ lives.
The rates used are..
Frgehold land
Freehold buildings
Furniture and equlwnent
not depre¢iatgJ
2.5% Stra￿h1 line
250A Stra￿ht li
As$el¥ with 8 value exceeding £250 are caprt8lised in these accounts.
1.8 Cash and Gash equlvalènts
Cash and cash eqUiva￿nts Include cash In hand, deposlls h6hJ al call wilh bank, and other short-18ryn
liqu￿ Inveslménls with ofiginal maturities of three months or18ss. Includèd within short term inve$lments
are other liquid inve8lmenls with original maturthes over three months.
1.9 Flnanclal In8trumènts
FinanGial instruments ore recoanised in the chaniV8 balance sheat when tha charity bècomès paty lo
the contractual pro￿$10n$ ol th8 instrument
Baslc financlal assets and liabilities aw initialty WC*JnisthY al Iransa¢ti¢)n value and subsequently
measured al amortised cost, using the effective inleregt rate method.
Other financial assets, including investments in equty instruments which are not subsidiaries, a¥sociales
or jolnl ventures, are inrtialty measured * fair value, vthich is normally the transaction price. Such a88et8
are Subsequent￿ carried al fair value and th6 char#J8s in fair value are recognised in profil or1088.
1.10 Fund AccountinA
Unrnstrlcted
General - fund8 are availab￿ to SP￿)d al the discret￿Nth of the trustees in furthwanc8 tsf thè obj*dNès of
th6 charty.
Designated- these are funds al￿￿ed by the Trustees and approv&J by the General A88embly for
particuL9r care.
R8strlct8d- these are funds Ihal are onty to be used for a specfft purpose.
1.11 Crltlcal accountlng estimates and areas otjuqlggmgnt
In the Mew of the trustees in apptying the awunting policies adopted, no judgements w&re required that
have a significant effect on amounts recognised in the financial slalemenls nor do any eslimales or
assumptions made carry a $￿an1r￿an1 risk of material adjustment in the next finarKial year.
1.12 Mgrygr
The CIO was cr8ated lo merge together the folk)v￿ng charityès..
The S(xiety of Catholic Medical Missionaries (Charity No. 2327421
The S¢xiety of Catholic m￿lICal Missionaries- Central Fund (Charty No. 1072554)
Both charrt*s' obJ"&b'v8s were lo advance the relIg￿U8, medKal and ¢Xher charitable woth relating lo the
mission.
The CIO was incorporated on 16 May 2022 and the transfer began in 2023.
13

Society of Catholic Medical Missionaries CIO
Notes to the Financial Statements
For the year ended 30 June 2025 (Continued}
Incomè from donatitin¥ and legaclgs
Year to
June
2025
Yoar to
Jun&
2024
General Restricted
Fund
nd
Donations
LegaGEs
200,944
4,136
20S,080
4.613
205.557
4,136
209,693
334,463
4,613
334,463
All prior year i￿ome was ￿n￿$trthd or designated.
Transf•r of n•t issets
The transfer of net asséts has been anawd below..
dlcal Mlsslonarièx
Tonglbl•
fixed
Income
asset¥
2.225.186 1.665.086
Ngt Dgbtorn Total Net
Icrodltorn
Assets
500,000 2.225,186
Ca#h
60,100
Chafty No 232742
Tlngib
flxed
Incom• a888ts
63,277
Net D•btors Totsl Net
Icredllors
Cash
63.277
Charity No. 1072554
63,277
Total not a880ts tr•n8ferrgd
2,288,463 1,665,086 123,377
SO0,0￿7 2.288,463
14

Society of Catholic Medical Missionaries CIO
Notes to the Financial Statements
For the year ended 30 June 2025 (Continued)
4 Incom8 from Investments
Gèneral
Fund
Designated
Care fund
Juno
2025
Juno
2024
Income arlsing from eash deF¥)Srts
Total Income Arising
48
7,705
7,753
4,868
48
7,705
7.753
4.868
Yearto
30 June
2025
5 DonatlonsrnASsslons
Expon¥
General Deslgnated
Fund
Caro fund
Year to 30
June 2024
Dlr8Ct charftable expendlturn..
Don8lh?nslmissions expensèg
Support costs..
House operating expens
Meelin9s and iravel
General expenses
Daprecialion
Wages and salories
Govemance la¥ below)
Legal and profg53i0nal
Bad debt
27.857
27,857
22.043
8,942
1,484
4.970
13.761
5.733
31.416
2.087
959
8,942
1,484
4,970
13,761
5,733
31,416
2,087
959
4,500
69,3S2
27,657
97,OJ9
26.S43
6 Govgrnance cogts
Year to
Juno
202S
Ygar to
June
2024
General Oeslgnatgd
Fund
Care fund
Auditors remuneration for..
Audit fee
Other accounting co818
Independent examination lee
Gounl preparation fee
18,000
11,016
18.OOD
11,016
3.500
1.000
4,500
2.41x1
31.416
2,400
31,416
7 Staff Costs
Year to
June
2025
Y•ar to
June
2024
Wages and 8alarie8
Sctial securty costs
5.733
5,733
The average M￿thlY numtser of empwes during thé y8ar was 112024.. none)
The Society conskler8 ￿ key management personnd to comprise the trustee5.
There were no empbyees who recèNed empbyee beneffts of more than £60,CX)0 (2024.. none)
15

Society of Catholic Medical Missionaries CIO
Notes to the Financial Statements
For the year ended 30 June 2025 (Continued)
8 Trust&es' Rernunoration
No trustees received remunèration for their SerV￿S during the p8n"¢xI {2024.' none).
No Imslee5 wer& reimbursed during the period {2024.' none).
Debtors
Year to
Jun8
2026
Year to
Jung
2024
Prepayments
Other debtor8
Interest receivable
3,463
9.751
19
13,233
39,733
19
39,762
10 Crndltor8: Amount8 falllng dug wlthln one year
Y￿r to
June
2026
Yoar to
June
2024
Other crgdilor6
Accruals
5,571
20,400
20.4C
10,071
16

Society of Catholic Medical Missionaries CIO
Notes to the Financial Statements
For the year ended 30 June 2025 (Continued)
11 Flxed A888t8
Fumlture
and
Equlpment
Land &
Bulldlng8
Total
Cost
As at 181 July 2024
Transferred in
1,650,OCQ
15,086
1,665,086
As al 30th June 2025
1.650.000
15.086
1,665.086
Doprèciation
As al 1$1 July 2024
Charge for the year
11.875
1,886
13,7e1
AS a1301h June 2025
11.875
Net Book Value
At 30th June 2025
1,638.125
13,200
1,651,32S
At 30th Jung 2024
12 Analysh of changgs In not dèbt
Other noft.
cash
changeo
At 1 Juty CJ3hllow¥
2024
At 30 Jun•
2025
Cash and Gash equivalents
Total
302,169
367.534
889,703
13 Cash gengrat8d from op•ratlons
Surplus for the year
2.482.011
312,788
Adlustments for:
Investment in¢ome
Oeprecialion and impalm￿l of tangible fixed assets
Transfer of fixed assets
Transler of short term investments
17,7531
13.761
11,665.0861
1500,0001
(4,8881
11
Movements In working capltal..
(IncreasellDecrease in debtors
IncreasellDecreasÈl in creditors
26,519
10.329
139,7521
10.071
Cash g•ngrated from operatlons
359 781
278.239
17

Society of Catholic Medical Missionaries CIO
Notes to the Financial Statements
For the year ended 30 June 2025 (Continued)
14 Funds
Broughl
Incomlng
Outgolng
Forward Re￿urCeS Resourc0•
Galns and
Los808
Carrlod
Forward
UnTrslnclsd.'
G6neralate'. general fund
MMS UK.. general fund
56,201
{2.2501
251
762.144
(11,9131
143,678)
44,539
716,216
Rgstrict8d
MMS UK
4.613
4,613
D8s1gn8tod.'
MMS UK.. Building maintenanc8
MMS UK.. Care fund
MMS UK,. Fixed a$so1 fund
1￿.0
46,926
1.665,086
loo,000
297,168
1.651,325
277.899
{27,65n
(13.761}
Totsl
331,850
2,579.020
97,009
2,813,861
Th8 R•stricled FurKI has receivéd specrficalty lo 8UPF4)rt kKal projact8 addre88in9 home188$n6SS.
The building maintenance fund has been allocaled specifically for the ongoivJ upkeep and maintenanc8 of
the properties. Expgnditure from this fund is not subject lo a r￿ed limetablo, as it is appl{￿ on Sn a8-ne8ded
basls dèpending on Ihg nature and timing of required repairs and maintenanc6 8thilie5.
The Care Fund Is used lo cover exlra caTe for Si$lers when not fully lunded by Health Authoriti68. Thls Is ad-
hoc expenditu￿ for emergency h￿1th cafe so does have an exact liming.
Flxed as8el fund includes the value of the t8ngIb￿ fixed assets transferred wlh the mergar as well a8
annual charges for depre¢￿tIon of thes8 assets.
Comparative infomation in respect of the precedlng period 1$ as follc¥ws.'
Brought
Forward
Incomlng
Outgolrng
Rèsources Resourc08
Galns and
Los888
Tfan8fern
Carrigd
Fonyard
Unrnslncl8d.'
Generalate
Gener81 fund
MMS UK
General fund
1S.C62
39.389
12,2501
56,201
{2.250)
12,2501
DoswnBted,'
MMS UK
Care fund
299.942
22.043
277 899
Total
19,062
339.331
26.543
331,850
18

Society of Catholic Medical Missionaries CIO
Notes to the Financial Statements
For the year ended 30 June 2025 (Continued)
15 Analysls of nel assets between luntts
Creditors..
Amounts
due ￿thin
one yoar
Flxed
Current
Total
Unreslricl8d.'
Generalal8'. g8neral fund
MMS UK.. gèneral fun(1
R&slricl&d
Dèswng18d.'
MMS UK
Buikling rnainlenance
Fixed asset fund
Care fund
54.739
726,416
4,613
11 D,2001
{1 D,2001
44,539
716,218
4,613
100,0(K)
100,000
1,651,325
297,168
1,651,325
297,168
1.651.32S
20,400
1,182,936 ￿ 2,813,861
Comparallvs Inforniatv)n in respect of the preceding is as folbw8.'
Credltorn:
Amounts
duo wSthln
one yoar
Flxgd
Current
Assets
Totsl
Unrnslncl8d.'
Ganeralala
Ganaral fund
58,451
{2,2501
56,201
Deslgn&l8d..
MMS UK
Gènèral fvnd
Care fund
12,2501
5,571
12,2501
277.899
283,470
341,921
10,071
331,850
16 R•lai8d party transactlons
There wes one rdaled charity during the year. beirg The Socty of Catholic Medical Mis81onarles- Central
Fund, which shatéd trustees wth the CIO, there were the lollcwang Iran8actions12024.' no transaclionsl..
Income
Cash
63.277
Charity No. 1072554
63,277
There were no other disel¢)sobb related party Iran&*rons during the year {2024: nono).
19