REGISTERED COMPANY NUMBER.. CE030275 (England and Wales)
REGWERED CHARIff NUMBEIL. 1200507
REPORT OF THE TRiISTEES AND
UNAUDrrED FINANCIAL sfATEMENTS
FOR THE YEAR ENDED 31sr MARCH 2025
FOR
LEAGUE OF FRIENDS OF MARLOW HOsP￿AL
R￿h3rd￿fft ￿ne5
{Jarte￿I Accountsnts
Mercury House
I￿21 ChaFd Street
BucknrKJharnthi
SL7 3HN

LEAGUE OF FRIENDS OF MARLOW MOSP￿AL
cor{rEr￿S OF THE FIIIANCIAL STATEMENTS
FOR THE YEAR ENDED 31￿ MARCH 2025
Balance Sheet
4 to 5
Detsiled Statemert of Financial ALtivitses

LEAGUE OF FRIENDS OF MARLOW HOSPITAL
REPORT OF THE TRusfEES
FOR THE YEAR ENDED 31￿ MARCH 2025
The trustees who are also dlrectors of the charfty for the purposes of the Companie5 Att 2006, present thdr report w(th
the financial staternents of the charfty for the year ended 31st March 2025. The trustees have adopted the provisons of
Accounting and Reporting by Charities.. StsteThent of Recommended Practice appliCa￿e to charities preparing their
èccounts In accordance with the Financial Reporting Stsndard applicatAe in the UK and Republic of IreL4nd (FRS 1021
leffectwe l January 2019).
Ru￿URE. GOVERNANCE AND MANAGEMENT
Governing document
The charity Is controlled by its governing document, a deed of trust, and conlb'tutes a Ilmlted company, limited by
guarantee, as defined by the Companies Act 2006.
REFERENCE AND ADMINISTRATIVE DEfAILS
Registered Company number
CE030275 {England and Wa￿)
Registsred Charity number
1200507
Re9iStered office
cemaker House
5-7 Cha￿1 Street
Marlow
BuC￿.nghamshlre
SL7 3HN
Trustees
PARLand
Dr M Johnson
Dr AGaknn
J Heighway
Miss M E Bewley
Company Seuetary
Approved by order of the tx)ard of tru5tee5 Qn ....
27
. and ￿gned on its behalf by..
P A R Land- Trustee
Page I

LEAGUE OF FRIEMDS OF MARLOW HOSPITAL
FOR THE YEAR E14DED 31sr MARCH 2025
31.3.25
Unrestrictej
fund
31.3.24
Totsl funts
INCOME AND ENDOWMEllfS FROM
Donations and bJa¢ies
Tnve*ment income
16,232
15,705
Total
17.232
15,705
EXPENDrruRE OM
Ralslng funds
793
735
Charitsble athitsts
Other charitsble acbvitie5
Hospital bulb
2,547
1.573
19,946
5,427
T•)tal
9,827
24,600
Net gains on investrnents
10,211
22,603
IN(X)ME
17,616
13,708
RECONCILIATION OF FUNDS
Totsl funds brought fomard
545.953
532,245
TOTAL FUNDS CARRIED FORWARD
$63,569
545,953
)tes fom) of these fin￿1 ¥3tements

LEAGUE OF FRIENDS OF MARLOW HOSPThAL
BALANCE SHE
31ST MARCH 2025
31.3.25
un￿StrIct￿l
fund
31.3.24
Total funds
Notes
CiIRRENT AsS￿s
Investments
Cash at bank
401,715
163,774
391,434
154,519
565,489
545,953
CREDITORS
Amounts falling due within one year
11,920)
NET CURRENT ASSErs
563,569
545,953
TOTAL ASSETS LESS CuRRETr￿ LIABILfTIES
563,569
545,953
14ET ASSETS
563,569
545,953
FUNDS
Unrestricted fuTrds
563,569
545,953
TOTAL FUNDS
563,569
545,953
The charitable company is entit￿ to exemption from audit under Secbon 477 of the Q)mpanies Act 2006 for the year
end￿ 315t March 2025.
The members have not Tequired the company to obtsin an aud￿ of rts financial siatonents for the year
31st March 2025 In accordan￿ with ￿ron 476 of the Cotnpanies Att 2006.
The trustees acknoW￿dge their resrK)nsIbll￿eS for
(a)
ensuring that the charIta￿e company keeps aCcoun￿n9 ￿ordS that comply wlth Sectbns 386 and 387 of the
Companies Act 2006 and
preparing financlal statements which gfve a true and fair view of the stste of affairs of the charitatAe company as
at the end of each flnanclèl year and of r(s surplus or deficit for each financial year in accordance with the
rwuirements of Sections 394 and 395 and which otherwi* comply with the requirements of the Companies Art
2006 relatin9 to financial statements, so far as applicable to the charitatAe company.
(bl
These financial staterrEnts have been prepared in accordance wlth the provislons appllcable to charf(able companies
subject to the small companies regime.
The financkil stateme
ts were approval by the Board of Trustees and authorised for issue
. and were signed on Its beha￿ by..
on
P A R Land - Trustee
The notes fom part of these financlal statements
Page 3

LEAGUE OF FRIENDS OF 14ARLOW HOSPITAL
NOTES TO THE FINANCIAL STATEMENTS
Accoul￿[￿G I￿LIClEs
Basis of preparing thÈ financial statements
The financk31 statements of the Char[tab￿ (tsmpany, whkh Is a wbfk ￿￿efit enlfity under FRS 102, have been
prepared In accordance with the (Jarities SORP {FRS 102) 'p￿)Unting and Re￿)rtyng by ChJritBs: ststern￿t of
Recornmended appltat4e to charths Fryering their accounts in accordarKe with the financkil Rqy)rbn9
Standard applicatle in the UK Rewblk of IrdaThJ IFRS 102} (effLxtive l January 20191,, financsal Re￿o￿n9
Standard 102 The ￿nanUal Rewrbng StatKJard app1K￿ble in the UK and ReputAK of Irdand, and the Companies
Act 2006. The finanaal stsbn￿ts h4ve txwj wepard the h&(yKal ￿$t ¢JJnvention.
Inc4wnÈ
JI irKorne i5 r￿QgnIS￿l in the Stat￿￿tt of ￿tiVI￿eS the tharfty has attknent to the funds, fc Is
pn)bable that the income will I￿ aNJ the (>n be mea￿r￿ rdtably.
Expendlture
at4'1itE5 a￿ recognlsed as as x*)n as there 15 a or conYJucdve obh'gatkn cornmitknng the
charity to that expenditure, ￿ 15 w)babk that a trants of ￿n0m￿ ¥￿11 be wuired In setdement and
the amourt of the ot4igath)n can be rreasijred relia￿. ExtvKl￿Yre i5 a(rountd for on an a(rnJals basi5 and has
dassffted under headings that aggrejate all co# r￿a￿j b) the cat8Jory. Where costs cannot be direLty
attritKrt￿I to ￿ar￿ular headlngs ty have t*en to actwfties on a basls consthrt with the use of
Tantlon
The charity is from corp)TrtkJn tax on Its chantat4e ￿mies.
Fund accounting
Unrthctsj funds on Ee used in aTrrdarKE ¥￿th tharitsik at dr&Tets(m ofthe tnts.
Re5triLted funds <2n onty used for pathlar resbKt8J Within the objKts of the chabity. Restsicbons
arise when iry the (k)nor or when funds are raised for ￿rt￿ular restrkied PUFposes.
Furth￿ e*plana￿On of the r￿t￿re and purFWJ* of eath fvNJ i5 indutsj in the Th)tes to the financ￿7 #atements.
INVEsfMEKf INCOME
31.3.25
31.3.24
rwsit account interest
Investment in(tsme
1,209
15,023
1.299
14,406
16,232
15,705
RAISING FUNDS
31.3.25
31.3.24
lnvestrnent fees
793
735
cOn￿n￿ed...

LEAGUE OF FRIENDS OF MARLOW IiospIfAL
NOTES TO THE FINANCIAL sfATEMEpifs. continuÈd
FOR THE YEAR ENDED 31sr 14ARai 2025
TiwsfEES' REMUNERAllON AND BENEFrrs
There were no trust*¥ r￿ny[wat￿)n or other for the year e1K￿[ 31* Mard) 2025 Th)r for the y&4r
)ded 31st March 2024.
There were no e￿￿￿S PaKI for the year endoj 31st Ma￿h 2025 nor for the year ended
31st March 2024.
31.3.25
31.3.24
AJ Bdl InvestMt
401,715
391,434
CREDITORS: AMOUNTS FALUNG DUE WITHIN ONE YEAR
31.3.25
31.3.24
1.920
RELATED PARTY DISCLOSURES
Th￿e were no rdat8J party transactpJn5 for the year 31# Ma￿h 2025.

LEAGUE OF FRIENDS OF MARLOW HOSPThAL
D￿AllLED ￿ATEME1￿ OF FINANCIAL AcnvrriES
FOR THE YEAR ENDED 31sr MARCH 2025
31.3.25
31.3.24
INCOME AND ENDOWMEiirs
Donations and legacieg
tk)naUons
Investment income
Deposf( account interest
Investsnent income
1,209
15,023
1.299
14,406
16,232
15,705
Total incoming resources
17,232
15,705
EXPENDrnIRE
Investment management costs
Inv¢4ment fees
793
735
Charitable acbvibes
Hosptsl buih
Gardening
stsff Weutwng
19,946
141
133
3.607
21.519
Support £(￿1S
nance
Bank charges
Governant£ costs
Accountsncy and legal f
Professonal fees
1,920
3,51)0
1.560
5,420
Total re50lJr￿ expeni
9,827
24,600
Nèt incomel(expendlture)
7,405
(8,895)
This page ¢kns Thjt fomi Fort of the stabjtory finar¥ial statements