1 


# **Cancer Active Recovery Support (C.A.R.S.)** 

Proudly supporting those receiving a cancer diagnosis through recovery and beyond 

**Registered Charity No 1201440** 

## **Trustee Chair Report Year Ending 31.12.2025** 

This end of year report for 2025 summarises the work of Cancer Active Recovery Support and the progress made during 2025.  As Chair of the Trustee Board, I am extremely pleased to report that 2025 has been  a successful year during which  Cancer Active Recovery Support has established its charitable role both locally and throughout Leicestershire. 

## **Trustee Board** 

In accordance with the constitution quarterly meetings have been held by the Trustee Board. The Trustee Board acknowledges the need for greater resilience and specific expertise now that Cancer Active Recovery Support is growing. The Board is looking at maintaining firm foundations to ensure that future growth can be effectively managed. 

The appointment of a new Business Development Trustee in 2025 recognised the need to prioritise business strategy and ensure the internal structure of the Charity is appropriate for the continued growth of Cancer Active Recovery Support. 

However, further efforts to expand the Trustee Board have been unsuccessful and the appointment of additional trustees to cover fundraising, social media, marketing and the secretarial role remains a priority. Also, the Board is looking to expand the diversity of the Trustees and with this in mind will continue to actively search for additional Board members. 

The  Trustees  have  provided  essential  support  for  Cancer  Active  Recovery  Support throughout the year including fundraising and representing the Charity at local events. 

As Chair I continue to represent and raise the publicity of Cancer Active Recovery Support. In particular, I have attended multi agency meetings with the local VCSE and NHS Health board to explore opportunities for the charity sector to assist the NHS in delivering services under the Government’s 10-year Health Plan for England. Representatives from Cancer Active Recovery Support have also attended multi -agency events promoting healthcare and wellbeing throughout 2025.  This continues to raise public awareness of the Charity and promote the services the Charity is providing. 

## **Volunteers** 

The Trustee Board consists of volunteers, and the Charity is reliant on volunteers to support the services provided. 

It is a measure of the success of the Charity that many of our volunteers are those that have attended Cancer Active Recovery Support interventions and have personally benefitted from the support the Charity has provided.  The Charity has a pool of volunteers who attend events and promote Cancer Active Recovery Support and assist in charity fundraising. 

Cancer Active Recovery Support (C.A.R.S.)       Registered Charity Number: 1201440 Charity Address: Lavender House, 21 Pickering’s Avenue, Measham, Nr Swadlincote, Derbyshire, DE12 7SB Contact Number: 0300 365 1440   Website: www.recoverysupport.org.uk Email: info@recoverysupport.org.uk 



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## **Charity services.** 

The  Charity has  expanded  and  made  huge  progress  due to funding  opportunities  and collaborative working with charity and corporate bodies including Macmillan, Severn Trent Water and Cadent. 

The funding from Severn Trent Water has enabled the Charity to fund two part-time posts, to cover administration and social media work. 

This is a significant move for Cancer Active Recovery Support; these roles have enabled considerable progress to be made in promoting the Charity and raising public awareness, and in moving the Charity’s role in providing support onto the next level. 

Cancer Active Recovery Support is proud that the Charity, although still relatively young, has been recognised for the work being done at a local level by Macmillan. The collaborative working and funding by Macmillan is important, not only for the funding, but also in providing evidence that the Charity is being recognised as having a role to play in the provision of local support by a well-known National Charity. As a Charity, Cancer Active Recovery Support is keen to continue this collaborative working. Already the benefits are being seen with the funding  enabling  the  Charity  to  reach  a  wider  selection  of  people  and  extend  the geographical area in which the Charity is working. For those who do not have English as a first language, translated literature is available as are interpreters. The charity is all inclusive and actively promotes diversity; specific information is provided for the LGBTQ + community. Cancer Active Recovery Support was extremely proud to be invited to the Loughborough Teeyan da Mela in 2025; an illustration of recognition of Cancer Active Recovery Support by diverse communities. 

The  funding  from Macmillan  has enabled  the Charity to set up  and run Cancer  Hubs throughout  Leicestershire.  Hubs  have  been  established  in  locations  including  Moira, Hinckley, Loughborough, Market Harborough, Melton Mowbray and the Charity has been active in the Afro Caribbean Centre in Leicester City as well as providing Information Stations in the wider City communities. 

The Hubs run once a month at each location and provide a place for those with a cancer diagnosis and their families, friends and carers to visit.  The social benefit of these Hubs cannot be underestimated. Not only do these Hubs provide a space where people feel comfortable to share their thoughts and experiences regarding their cancer pathway, but they can also access cancer specific trusted information and signposting capabilities which have been made with specific cancer related groups, charities and support services. There is also the personal touch from the face-to-face conversations which is greatly appreciated by those attending. Of note is the ripple effect which is already been seen in the Hubs to the wider community in the specific locations. In addition to the direct support provided to those with a diagnosis of cancer, those attending as carers and relatives have also expressed their appreciation of the support gained from being able to interact with others providing the same supportive roles. 

Following the success of the Hubs the Charity has run specific workshops, covering issues including ‘Sleep & Fatigue’, ‘Self Care Scar Therapy’ and ‘Healthy Eating Made Simple’. This is an intervention in which Cancer Active Recovery Support is looking to expand in the future. 

The Charity is now providing a wide-ranging digital Directory, which was launched in January 2025, for those seeking information about cancer related issues via the website. Working collaborative and collating direct information and links to specific charities and services, the Charity can support the community with written information including screening, treatment and rehabilitation services which can be accessed by anyone seeking support. This is an 

Cancer Active Recovery Support (C.A.R.S.)       Registered Charity Number: 1201440 Charity Address: Lavender House, 21 Pickering’s Avenue, Measham, Nr Swadlincote, Derbyshire, DE12 7SB Contact Number: 0300 365 1440   Website: www.recoverysupport.org.uk Email: info@recoverysupport.org.uk 



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important  resource  which  is  continually  being  updated;  initial  feedback  is  extremely encouraging. 

## **Funding** 

Cancer Active Recovery Support has continued to use funding in a way which is effective in promoting the aims of the Charity. The initial emphasis was on funding the ‘In the Pink’ programmes  which  provide  support  for  people  following  a  diagnosis  of  breast  cancer, addressing both physical and mental well-being rehabilitation. The Charity continues to fund the full cost of the programmes including venues, delivery and equipment. 

As Trustee Chair, I have attended sessions at the ‘In the Pink’ programmes which has given me the opportunity to watch how the programme is delivered and more importantly, to speak directly with the participants.   As Trustees, the Board considers it is paramount that the Charity funds are used effectively in a way which continues to promote the aims of the charity and ensure that funds are being used appropriately and cost effectively. I have also attended Workshops and Hub sessions, and I am satisfied that the funding of the services supported by the Charity is an effective way of promoting Cancer Active Recovery Support. Not only do they align with the aim to bring services to the local communities, but the participants themselves continue to attest to the practical benefits to their physical and mental wellbeing. 

Specific sustainable events have included the Valentines Day Raffle, the Easter Sale, Tea at the Ritz and the Christmas Hamper Raffle, all of which raised funds for the Charity. The Charity is keen on transparency and both Trustees and Funders are encouraged to attend the events provided by Cancer Active Recovery Support to see directly how funds are being used. 

The Charity has expanded in 2025 and made huge progress due to funding opportunities and collaborative working with other Charities and corporate bodies both at national and local level as detailed previously. 

However, this 12-month funding period has now ceased, and funding is the key priority for 2026.  For Cancer Active Recovery Support to continue the level of support which the Charity is providing, and which is clearly needed and appreciated in the community, new sources of funding  must  be  identified.  Whilst  individual  personal  donations  are  always  greatly appreciated, the Charity requires long term funding. Efforts have been made to attract corporate donors, but currently this has not had great success. It is apparent that the competition for the limited funding sources available is great and opportunities are limited for a small charity such as Cancer Active Recovery Support, which covers a specific cancer related remit. Additionally, it is evident that the partnership between NHS services and the Voluntary Sector will become more important with the implementation of the Government’s 10-year Health Plan for England and the role of charities including Cancer Active Recovery Support in the delivery of supporting local services. 

As with many smaller charities, the challenges in relation to fundraising are significant and continuous. The Charity recognises this need and will endeavour to pursue and develop funding initiatives to continue its services in support of the cancer community in 2026. 

## Priorities for 2026 

- To target fundraising opportunities with emphasis on corporate sponsor development. 

- To maintain and develop further collaborative relationships. 

- To continue to raise the profile and awareness of Cancer Active Recovery Support. 

- To develop an active business strategy for Cancer Active Recovery Support 

Cancer Active Recovery Support (C.A.R.S.)       Registered Charity Number: 1201440 Charity Address: Lavender House, 21 Pickering’s Avenue, Measham, Nr Swadlincote, Derbyshire, DE12 7SB Contact Number: 0300 365 1440   Website: www.recoverysupport.org.uk Email: info@recoverysupport.org.uk 



4 

- To identify suitable additional Trustees. 

- To promote the services currently offered by Cancer Active Recovery Support and develop and refine these. 

- To consolidate and publicise the Cancer Hubs 

- To provide and develop Workshops to assist with treatment specific outcomes. 

- To  provide  a support and  skills  development  pathway  for volunteers  and  those working with Cancer Active Recovery Support. 

To conclude, as Trustee Chair, I am immensely grateful to and proud of all those who have supported the work of Cancer Active Recovery Support during 2025. The challenges which the Cancer Active Recovery Support faces in 2026 are great but I look forward to seeing these being met to enable the continuation of the progress which has been made in 2025. 


Lesley Milner Trustee Chair 

Cancer Active Recovery Support (C.A.R.S.)       Registered Charity Number: 1201440 Charity Address: Lavender House, 21 Pickering’s Avenue, Measham, Nr Swadlincote, Derbyshire, DE12 7SB Contact Number: 0300 365 1440   Website: www.recoverysupport.org.uk Email: info@recoverysupport.org.uk 



REGISTERED CHARITY NUMBER: 1201440
EPO
TR
UNALT)ITED FINth'CIAL STA TEMENTS
FOR THE YEAR ENDED 31 DECENIBF.R 202
FOR
AP4
ER
II'E RE
VERY
Amsirongs
Chart¢r¢d A¢count8nts
25 Siation Road
Hincklry
Lciccstcrshire
LEIO IAP

CANCER ACTIVE RECOVERY SUPPORT
CON'TENTS OF THE FINANCIAL STA TEThIETr4'TS
FOR THE I'EAR EP*DED 31 DECEMBER202S
Page
Report of the Truslees
Indtptndent Eiaminer'5 Report
StHtemeDI of FID*nfl*l Actiiities
Bgl•n¢e Sheet
Nolfs lo Iht FID*nfl•l Stgl¢menls
Delalled St4ttment of Fln*nclal Aetlvltlel
10

CANCER ACTII'E REC
I'ERI. SLFPPORT
R F'PORT OF I"HE TRI"STF.F.S
AR ENDL"D JI DLCLMBLK 2025
The tru.%tce.% pre%cnt iheii report M'iih the finaneial STaicmcnLS of the charii) for ihc year cnded 31 Dcccrnher 2025 The
Iruslees hav¢ adopted iht provisions of AicounTiNg and R¢pontng b! ('h3riike5". SiaiernetLI ol Recornmended Practice
applicabli ￿ ¢haniie% PTepanng ihcir ar¥oun15 in accordancc wilh th¢ Financial Rcponing Sthndard applicable in (he
I'K <lnd Republic of Ireland IFRS 1021 lelTe¢iitr¢ l J8nlloTh 20191.
STRiI(I'LIRE. C-OI'ER%ANCF. AliD %IA%.4GLIlE%T
dv¢umeni
Thc £haniy is controlled bi. 115 8ov¢rnin8 thxum¢ni. a dc¢d of iN$i and COthSlilUt¢s art unin¢ory)otaicd charily.
Rexl>lered C'h#rlt) aumber
PriNclp*l 4ddrts%
11 lTrickLnnx'% AVLTIUC
s￿￿d11l}￿i)l¢
F)Lrt)y%hir&
DE12 7.SII
Truslees
l) l A Miliier C'114Lir
Is P Rc)binson (rest￿¢0 2Y.1.202.4
R S41)11.WL)rthingiion
L) SiiJiih
Nls l) R¢nnison lapwinied 27.2.!V251
Indvp¢ndent F.i*mloer
Inn%ll'OII¥
C IJJn¢r¢d A¥<i>uiiiaiils
1$ Si#ii()n Rtsad
Hiii¢kl¥y
L¥i¥¢%tLr¥hire
LEIO IAP
Approi'cd b). order of lh¢ iMl8rd ol.th￿te¢S On..￿...¢￿£￿4X.. and siwied on ILS belialfby..
Pagc I

INDEPENDEf4T EXAMINER'S REPORT TO THE TRUSTEES OF
CANCER ACTIVE I1￿cOVERy SUPPORT
Independent txaminer's report lo the trustees of Caneer Active Recovery Support
I report 10 the charity trustees on my fAamination of the 8¢couDts of CaDcer Active R¢covery Support (the TThsil for th¢
year ended 31 December 2025.
Responslbllities and b#sis of report
A% the charity trnsieeb of the Trusi you aTe resTKTrnsible f(Y the prepaTaiion of the accounts in accordattc¢ with the
requirements of the Chtiriiies A¢1 2011 Cthe Ath).
J TeiKIrt in respect of my ¢xwniDaiion of the TTUSt's aceounlf* carried oul un(kr Sedioo 145 of the Aci in ca￿Y]ng
oul my ¢xamiDatiOn I have followed all applicabk Direciiow given by the Charity Commission under Section 145(5)(b)
of the Act.
IndependeDt examlner'5 $t#temtnl
I have completsd my examination. I confum thai no matenai matiers havc corne to my at*ntion I￿ conneciion with the
examin3tion giving me cause to believe thai in any maiuial respeci..
ac¢ouniing records were noi kepi in respeci orth¢ Tnhst as required by Sectson 130 of th¢ Act; or
the acc¢)unts do noi accord with thos¢ records: or
Ihe accounts do noi comply with the applicable requirenm)ts concernin8 the forni and ¢on*ni of a¢counts s¢1
out in the Charilies IAc¢ounts and Rew)rt$l Regulations 2008 other ihan any requiremeni that th¢ accounls giv¢
a true and fair view wkn'ch is noi a maiter consid¢r¢d ¥$ pan of an Indepe￿Je￿I examination.
I have no concuns and have come acTO&% no other mailers in conneciion wilh ihe examinaiion to which atlcntion should
be drawn in this reporl in order to ¢D8bl¢ a propcr undcrsiandin¥ of the accounts to b¢ rtached.
Jennifer Wale BA FCA
Amislrongs
Charicrcd Accountants
25 Siaiion Road
HinLklcy
Leicesiershire
LEIO IAP
Date..
PaBe 2

CANCER AcfivE RECOITERY SUPPORT
STATETrIENT OF FI￿,AlYC1AL ACTIVITIES
CEMBER 20
2025
To￿1
funds
2024
Total
funds
Unrestskded
fund
Rtttritied
fund
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
5,642
5,642
38,898
Ch•rilAble •c¢ivi¢ies
ticncral
27,683
Other trdding activities
Invesimeni intome
3.230
76
29.645
32,875
76
2,929
Tol41
EXPENDITI:IiE ON,
Charltible attli.liies
(icneral
59.145
ET INCOMEI(EXPENDITUREI
Trgnsfers b¢¢w¢en fund$
(19.1291
11,4231
20.5521
26,893
N¢1 mov¢m¢nt In fund$
125,577)
5,025
(20,352)
26,119.3
RECONCILIATION >bl%DS
Tntal fvnds broughi fon¥ard
31.753
21.790
26,651
TOTAI. FVNI)S CARRIED FORII'ARD
6.176
26.815
32,991
The notes forni part of thesc financial thtements
Page 3

C'A)CER ACTII'E RECUI'ER). SLPP
RT
IDE
EhlBER 2
20?
To￿1
fund.s
Llnro%irid¢d
fund
Re%iriiied
nd
funds
cs
FIXED ASSETS
Tangibl¢ assets
734
734
917
(-IlkM*'h'1 A.SSTr-I"S
tk.bion
JI bank and in hand
i.01)6
5.481
26.X15
53.641
h,4X7
!6.X15
33.3112
C-Mfr'IIII URS
Atlli)Ulll% tJllinb duc w'iihin onc year
I l.U451
NF.I" C'I',RRF.)T ASSF.TS
16.1415
'I'C)l Al. A**41Tr.TS l.I-SS C-L. RRE%T
LIABII.ITIES
6.176
2h.111
32.wl
4.1.541
6,176
2b.815
32.991
Tr'i'NI)
l.'nrL%lnLILil lunils.
Rc51Ticlcd funds
.176
2fi.815
31,7£1
21.7W)
'l-(Tr'I AI. I"I'ND
The financial s(aiem¢nts were approi¢d by the Ijoord of Trusiee5 and autliorisEd for i&sue Thi
. I￿￿•￿￿....?-•￿I￿. and were $18n¢d on lis tK'half by..
nef - TrkL51ee
The nvieb IuLTr pan ofthe&e fin¥nL1￿ %LLL¢menrb
PaBe 4

CANCER AcfivE RECOVERY SUPPORT
NOTES TO THE FINANCI
STATEMENT
I'EAR EfiDED 31 DECEMBER 2025
AcCOU￿,T1NG POLICIES
B*$is of prep•ring th¢ fin•nci•l s¢•lement$
The financial llaitmcnt¥ of Ihe rharity, which is a public benefit entity under FRS 102. have been prepaT¢d in
ac¢0Tdan￿ with the C.hariii&s SORP (FRS 1021 'Accounting and RepDrting by Charities.. Ststcmeni of
Rc¢ommendcd Praciice applicable io chariiics preparing ih¢iT accounls in accordance with ihe Financial
Reporting Siandard opplicable in ihe UK and Republic of Ireland (FRS 1021 (effeclive l January 20191.,
Financial Reporting Siandard 102 The Financial Reponing Standard appli¢able in the UK and Republic of
Ireland, and the Charities Aci 2011. The financial statements have been prepared under the histori¢al cost
convention.
All income is reeognised in the Si￿eMen1 of Financial Adivities once the charily has entiilement to the funds, it
is probable thai the income will be received knd the amouni can be measured reliably.
Expendltur¢
L.babilities are reco8nised as expendiDJre as ￿)0n as thcre is a legal or con51rucliv¢ abligaiitsn conimiitin8 lh¢
charily 10 th81 expendiluTt, il is probable thai a iransfer of economi¢ bcn¢fiis will be I'equir¢d in seitlemenl and
Ihe amnunt of The tsbli8aiion can be mea%wTed reliably. ExpendiDJre is accounled for on an ae¢Tuals basi5 and ha5
been classified under heidings thai aggiegaie all ctssi rclaied io Ihe caie80ry. Whcr¢ Costs ¢annoi be directly
attributed lo pirlicular hcadiiigs Ihcy h4ve been all(y¢ated 10 aeilvilies on a basis consisicnl wilh ¢hc use of
resources.
Tinglhle Ilxtd asiels
Dcpreciaiion is PTovided ai the follou'in¥ annuol rnies in 0￿¢T io wri1¢ off each asset ov¢r lis estin)aied useful
life.
Fixtures and filling5
21f/• on r¢du¢ing balan¢¢
TaA*ilon
The cl)8TIts' Is exempi from lax on lis charitsble adii'iiics.
Fund accounling
UnTC51riLied fund5 can bc uscd in accordance M'iih t1￿ charitsble objeciives at Ilie dis¢r¢iion of Il)c Irusiees.
Resiricied funds can only bc used for panicular resiricied purFK)ses wiihin ili¢ objecis of Ihc chariiy.
Resiriciions arise when specified bv Ihe donor or when funds are raiscd for paTliculaT Te5tllCtcd purposcs.
Further explanation of ihc nature and purpose of uch fvnd is Includ￿ in Ihc noles io Ihe financial Ma¢cmcnt8.
OTHER TRADII%G ACTIVITIES
2025
2024
Fundrais2ng events
Sale of merchandise
32,789
86
2,818
2.929
Page 5
eonÉinued...

CA￿'CER ACTIVE RECOVERY SUPPORT
NOTES TO THE FIPiATr4CIAL STATEMENTS - c•ntinued
FOR THE YEAR EYDED 31 DECEF4lBER 202S
Ih'VESTMENT INCOME
2025
2024
Savings Account Int¢r¢si
76
TRUSTF.FS' REMUNERA TION AND BENEFITS
There were no tThstees' remunerauon or oiher Ixinefits for the year ended 31 DeccmbeT 2025 nor for the year
ended 31 December 2024.
Trustees, ¢Ipenses
Therc were no tTU5tees' expense5 paid foT the year ended 31 December 2025 nor for ihe year endcd
I l December 2024.
COIIIPARA TIVES FOR THE STATElfENT OF Flh'ANCIAI. ACflVITIES
UnT¢siricied
fvnd
Reslricied
fund
Total
funils
INCOME AND ENDOWMEN'TS FROhl
Donations and leB8cies
38,898
38,898
Ch¥rllable •ttlvltles
Cieneral
27,68.1
Oih¢r IrJding o¢tiviti¢s
Toial
EXPENDITIIRE 0%,
Ch#vlt*ble *¢llvliles
Gcncral
NET INCONIEI(EXPEPiDITURE)
Tr*nsler$ between fund$
32.250
15,3571
26,S93
Net movement In funds
26.4(M)
493
26.893
RECONCILIA TION, OF FUP*DS
Toial fund$ broughi foN'ard
5,353
21.297
26,650
TOTAL Fuf4DS CARIUED FORM'ARD
21,790
53,543
Pa8e 6
continued...

CANCER ACtIVE RECOVERY SUPPORT
NOTES TO THE FtNAT4CIAL STA TE￿IE￿TS- ¢Onftnue
FOR THE ITAR EVDED 31 DEcE￿[BER 2025
TANCIBLE FIXED ASSETS
Fixtures
and
fittings
COST
Ai l January 2025 and 31 December 2025
DEPRECIA TION
Ai l Jdnuary 2025
Char8e for year
516
183
At 31 DeceTnbei 2025
699
YTr:T BOOK VAI.UF.
Ai I l Dccember 2025
734
Ai 31 December 2024
917
DEBTORS: AMOUliTS FALLlh'G DUE WITHIN ONE YEAR
2025
2(124
Prcpayments
CREDITORS: AMOUNTS FALLING DUF. II'ITHIII ONE YEAR
2025
2024
OthcT cr¢ditors
MOVF.N1Eh'T IP* FLlTr4'DS
Transfers
beiween
fuiKIs
movenieiii
in fund$
Ai 1.1.25
31.12.25
UDr¢strlrtfd funds
General fund
31,753
119.1291
16.448)
6,176
Reslrlcted fuDd$
Restricled fund
21,790
1,4231
6,448
26,815
TOTAL FUIYDS
53,543
20,552)
32.991
Page 7
continued...

Ckn'CER ACTIVE RECOVERY SUPPORT
NOTES TO THE FIP4Af*CIAL STATE￿IENTs - continued
FOR THE I EAR ￿'DED 31 DECEMBER 2015
MOVEMENT IN FUNDS- tontiDued
Net movement in funds, included in ihe 8boi'e are as follow$:
Incoming
resources
Resources
expended
Moveinenl
in MT]ds
Unrestrlcttd funds
Gcneral fund
8,948
{28.077}
{19.1291
Rtstrlrted fuDd5
Reslricied fund
29,645
131,068)
(1,4231
TOTAL FUNDS
59 1451
20 5521
Comp#r*tli'es for movement In fvThds
'ei
moven)enl
in fijnds
Transfer5
beiw'ecn
fvnds
At
11 12.24
Ai 1.1.24
Unre51rlrled fund5
6¢ncral fund
5.3S3
32,250
15,8501
31.753
Re51Yl¢ted funds
Keslricicd fund
21,297
(5,357)
5,850
21,790
T()T AI. FIINDS
53,543
Conipdrative net movem¢nl in funds. includ¢d in Ihc a￿)vC arc as follows..
Incoming
sour¢cs
R&sourccs
expended
Movcmenl
in funds
bnrestrltied funds
General fijnd
41.827
19,5771
32,250
Re51ricied fund5
Restricted fund
27,683
(33.0401
(5,3571
TOTAL FUNDS
69.510
(42.617)
P88e 8
¢onlinu¢d...

ER AcfivE RECOVERY SU
PORT
NOTE
I'O THE FIN￿yC1￿L
TAT
¢oDtintted
FOR THE ITAR EFIDED JI DECEMBER 202
MOVEMENT IN FUYDS- continued
A currenl year 12 monihs and prior year 12 rnonths combined posilion is as follom's..
Net
movement
in funds
TTgnsfers
beiw'een
funds
Ai
31.12.25
At 1.1.24
UDrestrl¢ted funds
G¢ncral fund
5.353
13.121
112,298)
6,176
Restricted funds
Resincled fund
21.297
16.780)
12.298
26,815
TOTAI. Fiif4DS
32.991
A current y¢ar 12 rnonihs and PriOT year 12 monihs combined movement in funds. includcd in the aLY)ve are
as follows-.
Incoming
r£SOUTC¢$
ResouTces
expendcd
Movejnenl
in fund$
Unrésirlcftd (unds
Gcneral fund
50,775
{37,6541
R¢strict¢d funds
ResiriLied fund
57,328
164,1081
16,7801
TOTAI. FIINDS
108.103
11017621
10.
REI.ATF.D PARI'Y DISCI.C)SIIRF.S
l)urin8 Ihe ycar ending 3151 Decembcr 2025, C'ancer Aciive Recovery Support incurred costs amounting i(}
£16,725 frtsm S￿e¥SY Priydclivc Exertisc Limiled. The Sol¢ dirc¢lor and sharcholdcr of Synergy Pj'naclivc
Exercise l.imited i* ihe spou5c of MT R Scoit-Worthin8ton who is a Inislee of Cancer Aciive Recovery Supporf.
Thc5e cnsis are in¢lud¢d within freelance wages. The amount due lo Syncrgi. Proa¢iive r'xereise Limiied at 3151
l)ecernber 2025 w85 £nil.
Expenses amouniinE £3.062 werc incurred by the dircttor of Syncrgy Proaciivc Exerci5c Lii)iiied during the
y¢aT ending 3181 De¢eTh￿r 2025. Ihe*e expenses WCTC rcimbursed by Cancer Aciive Recover Support. No
expenses were outsianding 313 Isi December 2025.
Page 9

CANCER AcfIvE RECOVERY SUPPORT
DETAILED STATEMEF4T OF FLYANCIAL ACTIIIITIES
FORT
E I'EAR E*4DLD JI DECEMBER 2025
2025
2024
INCOME AN'D ENDOIVMEI¥TS
Dothat5on$ and leg*des
Donalions
5.642
38,X98
Other tradiDg a¢tivili¢s
Fundraising events
Sale of Mercha￿diSe
32,789
86
2,818
32,875
2.929
Inveslmeni Income
Savings Aecounl Jnteresl
76
Charli*ble icilvltles
Grant4 received
Tolgl In¢ornln% r¢$ouree5
69.510
EXPENDITURL
ChArlt#ble 8¢ilvlil
FTeclan¢e waBes
Room hire
EquipmLni purchased
39,408
10,185
29.317
4.174
.15.994
Suppurl ¢o5ti
linigemenl
Insuranve
Telcphone
P4)siHge 2nd 51ationery
Advenising
Sundries
TTav¢l cxpenses
Moior expcnses
Bnrjkkeeping
Deprcciation of langible and herilaBe 2S5els
880
258
168
2.442
594
554
SQ4
876
229
274
179
2,875
334
212
726
183
5,773
6,511
Flnance
Bank charges
333
Totsl resources expended
N¢t lexp¢DdltYTC)fineom¢
120,552)
26,893
This page does noi fomi pan of the stsmtory financial stsiements
Page 10

REGISTERED CHARITY NUMBER: 1201440
EPO
TR
UNALT)ITED FINth'CIAL STA TEMENTS
FOR THE YEAR ENDED 31 DECENIBF.R 202
FOR
AP4
ER
II'E RE
VERY
Amsirongs
Chart¢r¢d A¢count8nts
25 Siation Road
Hincklry
Lciccstcrshire
LEIO IAP

CANCER ACTIVE RECOVERY SUPPORT
CON'TENTS OF THE FINANCIAL STA TEThIETr4'TS
FOR THE I'EAR EP*DED 31 DECEMBER202S
Page
Report of the Truslees
Indtptndent Eiaminer'5 Report
StHtemeDI of FID*nfl*l Actiiities
Bgl•n¢e Sheet
Nolfs lo Iht FID*nfl•l Stgl¢menls
Delalled St4ttment of Fln*nclal Aetlvltlel
10

CANCER ACTII'E REC
I'ERI. SLFPPORT
R F'PORT OF I"HE TRI"STF.F.S
AR ENDL"D JI DLCLMBLK 2025
The tru.%tce.% pre%cnt iheii report M'iih the finaneial STaicmcnLS of the charii) for ihc year cnded 31 Dcccrnher 2025 The
Iruslees hav¢ adopted iht provisions of AicounTiNg and R¢pontng b! ('h3riike5". SiaiernetLI ol Recornmended Practice
applicabli ￿ ¢haniie% PTepanng ihcir ar¥oun15 in accordancc wilh th¢ Financial Rcponing Sthndard applicable in (he
I'K <lnd Republic of Ireland IFRS 1021 lelTe¢iitr¢ l J8nlloTh 20191.
STRiI(I'LIRE. C-OI'ER%ANCF. AliD %IA%.4GLIlE%T
dv¢umeni
Thc £haniy is controlled bi. 115 8ov¢rnin8 thxum¢ni. a dc¢d of iN$i and COthSlilUt¢s art unin¢ory)otaicd charily.
Rexl>lered C'h#rlt) aumber
PriNclp*l 4ddrts%
11 lTrickLnnx'% AVLTIUC
s￿￿d11l}￿i)l¢
F)Lrt)y%hir&
DE12 7.SII
Truslees
l) l A Miliier C'114Lir
Is P Rc)binson (rest￿¢0 2Y.1.202.4
R S41)11.WL)rthingiion
L) SiiJiih
Nls l) R¢nnison lapwinied 27.2.!V251
Indvp¢ndent F.i*mloer
Inn%ll'OII¥
C IJJn¢r¢d A¥<i>uiiiaiils
1$ Si#ii()n Rtsad
Hiii¢kl¥y
L¥i¥¢%tLr¥hire
LEIO IAP
Approi'cd b). order of lh¢ iMl8rd ol.th￿te¢S On..￿...¢￿£￿4X.. and siwied on ILS belialfby..
Pagc I

INDEPENDEf4T EXAMINER'S REPORT TO THE TRUSTEES OF
CANCER ACTIVE I1￿cOVERy SUPPORT
Independent txaminer's report lo the trustees of Caneer Active Recovery Support
I report 10 the charity trustees on my fAamination of the 8¢couDts of CaDcer Active R¢covery Support (the TThsil for th¢
year ended 31 December 2025.
Responslbllities and b#sis of report
A% the charity trnsieeb of the Trusi you aTe resTKTrnsible f(Y the prepaTaiion of the accounts in accordattc¢ with the
requirements of the Chtiriiies A¢1 2011 Cthe Ath).
J TeiKIrt in respect of my ¢xwniDaiion of the TTUSt's aceounlf* carried oul un(kr Sedioo 145 of the Aci in ca￿Y]ng
oul my ¢xamiDatiOn I have followed all applicabk Direciiow given by the Charity Commission under Section 145(5)(b)
of the Act.
IndependeDt examlner'5 $t#temtnl
I have completsd my examination. I confum thai no matenai matiers havc corne to my at*ntion I￿ conneciion with the
examin3tion giving me cause to believe thai in any maiuial respeci..
ac¢ouniing records were noi kepi in respeci orth¢ Tnhst as required by Sectson 130 of th¢ Act; or
the acc¢)unts do noi accord with thos¢ records: or
Ihe accounts do noi comply with the applicable requirenm)ts concernin8 the forni and ¢on*ni of a¢counts s¢1
out in the Charilies IAc¢ounts and Rew)rt$l Regulations 2008 other ihan any requiremeni that th¢ accounls giv¢
a true and fair view wkn'ch is noi a maiter consid¢r¢d ¥$ pan of an Indepe￿Je￿I examination.
I have no concuns and have come acTO&% no other mailers in conneciion wilh ihe examinaiion to which atlcntion should
be drawn in this reporl in order to ¢D8bl¢ a propcr undcrsiandin¥ of the accounts to b¢ rtached.
Jennifer Wale BA FCA
Amislrongs
Charicrcd Accountants
25 Siaiion Road
HinLklcy
Leicesiershire
LEIO IAP
Date..
PaBe 2

CANCER AcfivE RECOITERY SUPPORT
STATETrIENT OF FI￿,AlYC1AL ACTIVITIES
CEMBER 20
2025
To￿1
funds
2024
Total
funds
Unrestskded
fund
Rtttritied
fund
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
5,642
5,642
38,898
Ch•rilAble •c¢ivi¢ies
ticncral
27,683
Other trdding activities
Invesimeni intome
3.230
76
29.645
32,875
76
2,929
Tol41
EXPENDITI:IiE ON,
Charltible attli.liies
(icneral
59.145
ET INCOMEI(EXPENDITUREI
Trgnsfers b¢¢w¢en fund$
(19.1291
11,4231
20.5521
26,893
N¢1 mov¢m¢nt In fund$
125,577)
5,025
(20,352)
26,119.3
RECONCILIATION >bl%DS
Tntal fvnds broughi fon¥ard
31.753
21.790
26,651
TOTAI. FVNI)S CARRIED FORII'ARD
6.176
26.815
32,991
The notes forni part of thesc financial thtements
Page 3

C'A)CER ACTII'E RECUI'ER). SLPP
RT
IDE
EhlBER 2
20?
To￿1
fund.s
Llnro%irid¢d
fund
Re%iriiied
nd
funds
cs
FIXED ASSETS
Tangibl¢ assets
734
734
917
(-IlkM*'h'1 A.SSTr-I"S
tk.bion
JI bank and in hand
i.01)6
5.481
26.X15
53.641
h,4X7
!6.X15
33.3112
C-Mfr'IIII URS
Atlli)Ulll% tJllinb duc w'iihin onc year
I l.U451
NF.I" C'I',RRF.)T ASSF.TS
16.1415
'I'C)l Al. A**41Tr.TS l.I-SS C-L. RRE%T
LIABII.ITIES
6.176
2h.111
32.wl
4.1.541
6,176
2b.815
32.991
Tr'i'NI)
l.'nrL%lnLILil lunils.
Rc51Ticlcd funds
.176
2fi.815
31,7£1
21.7W)
'l-(Tr'I AI. I"I'ND
The financial s(aiem¢nts were approi¢d by the Ijoord of Trusiee5 and autliorisEd for i&sue Thi
. I￿￿•￿￿....?-•￿I￿. and were $18n¢d on lis tK'half by..
nef - TrkL51ee
The nvieb IuLTr pan ofthe&e fin¥nL1￿ %LLL¢menrb
PaBe 4

CANCER AcfivE RECOVERY SUPPORT
NOTES TO THE FINANCI
STATEMENT
I'EAR EfiDED 31 DECEMBER 2025
AcCOU￿,T1NG POLICIES
B*$is of prep•ring th¢ fin•nci•l s¢•lement$
The financial llaitmcnt¥ of Ihe rharity, which is a public benefit entity under FRS 102. have been prepaT¢d in
ac¢0Tdan￿ with the C.hariii&s SORP (FRS 1021 'Accounting and RepDrting by Charities.. Ststcmeni of
Rc¢ommendcd Praciice applicable io chariiics preparing ih¢iT accounls in accordance with ihe Financial
Reporting Siandard opplicable in ihe UK and Republic of Ireland (FRS 1021 (effeclive l January 20191.,
Financial Reporting Siandard 102 The Financial Reponing Standard appli¢able in the UK and Republic of
Ireland, and the Charities Aci 2011. The financial statements have been prepared under the histori¢al cost
convention.
All income is reeognised in the Si￿eMen1 of Financial Adivities once the charily has entiilement to the funds, it
is probable thai the income will be received knd the amouni can be measured reliably.
Expendltur¢
L.babilities are reco8nised as expendiDJre as ￿)0n as thcre is a legal or con51rucliv¢ abligaiitsn conimiitin8 lh¢
charily 10 th81 expendiluTt, il is probable thai a iransfer of economi¢ bcn¢fiis will be I'equir¢d in seitlemenl and
Ihe amnunt of The tsbli8aiion can be mea%wTed reliably. ExpendiDJre is accounled for on an ae¢Tuals basi5 and ha5
been classified under heidings thai aggiegaie all ctssi rclaied io Ihe caie80ry. Whcr¢ Costs ¢annoi be directly
attributed lo pirlicular hcadiiigs Ihcy h4ve been all(y¢ated 10 aeilvilies on a basis consisicnl wilh ¢hc use of
resources.
Tinglhle Ilxtd asiels
Dcpreciaiion is PTovided ai the follou'in¥ annuol rnies in 0￿¢T io wri1¢ off each asset ov¢r lis estin)aied useful
life.
Fixtures and filling5
21f/• on r¢du¢ing balan¢¢
TaA*ilon
The cl)8TIts' Is exempi from lax on lis charitsble adii'iiics.
Fund accounling
UnTC51riLied fund5 can bc uscd in accordance M'iih t1￿ charitsble objeciives at Ilie dis¢r¢iion of Il)c Irusiees.
Resiricied funds can only bc used for panicular resiricied purFK)ses wiihin ili¢ objecis of Ihc chariiy.
Resiriciions arise when specified bv Ihe donor or when funds are raiscd for paTliculaT Te5tllCtcd purposcs.
Further explanation of ihc nature and purpose of uch fvnd is Includ￿ in Ihc noles io Ihe financial Ma¢cmcnt8.
OTHER TRADII%G ACTIVITIES
2025
2024
Fundrais2ng events
Sale of merchandise
32,789
86
2,818
2.929
Page 5
eonÉinued...

CA￿'CER ACTIVE RECOVERY SUPPORT
NOTES TO THE FIPiATr4CIAL STATEMENTS - c•ntinued
FOR THE YEAR EYDED 31 DECEF4lBER 202S
Ih'VESTMENT INCOME
2025
2024
Savings Account Int¢r¢si
76
TRUSTF.FS' REMUNERA TION AND BENEFITS
There were no tThstees' remunerauon or oiher Ixinefits for the year ended 31 DeccmbeT 2025 nor for the year
ended 31 December 2024.
Trustees, ¢Ipenses
Therc were no tTU5tees' expense5 paid foT the year ended 31 December 2025 nor for ihe year endcd
I l December 2024.
COIIIPARA TIVES FOR THE STATElfENT OF Flh'ANCIAI. ACflVITIES
UnT¢siricied
fvnd
Reslricied
fund
Total
funils
INCOME AND ENDOWMEN'TS FROhl
Donations and leB8cies
38,898
38,898
Ch¥rllable •ttlvltles
Cieneral
27,68.1
Oih¢r IrJding o¢tiviti¢s
Toial
EXPENDITIIRE 0%,
Ch#vlt*ble *¢llvliles
Gcncral
NET INCONIEI(EXPEPiDITURE)
Tr*nsler$ between fund$
32.250
15,3571
26,S93
Net movement In funds
26.4(M)
493
26.893
RECONCILIA TION, OF FUP*DS
Toial fund$ broughi foN'ard
5,353
21.297
26,650
TOTAL Fuf4DS CARIUED FORM'ARD
21,790
53,543
Pa8e 6
continued...

CANCER ACtIVE RECOVERY SUPPORT
NOTES TO THE FtNAT4CIAL STA TE￿IE￿TS- ¢Onftnue
FOR THE ITAR EVDED 31 DEcE￿[BER 2025
TANCIBLE FIXED ASSETS
Fixtures
and
fittings
COST
Ai l January 2025 and 31 December 2025
DEPRECIA TION
Ai l Jdnuary 2025
Char8e for year
516
183
At 31 DeceTnbei 2025
699
YTr:T BOOK VAI.UF.
Ai I l Dccember 2025
734
Ai 31 December 2024
917
DEBTORS: AMOUliTS FALLlh'G DUE WITHIN ONE YEAR
2025
2(124
Prcpayments
CREDITORS: AMOUNTS FALLING DUF. II'ITHIII ONE YEAR
2025
2024
OthcT cr¢ditors
MOVF.N1Eh'T IP* FLlTr4'DS
Transfers
beiween
fuiKIs
movenieiii
in fund$
Ai 1.1.25
31.12.25
UDr¢strlrtfd funds
General fund
31,753
119.1291
16.448)
6,176
Reslrlcted fuDd$
Restricled fund
21,790
1,4231
6,448
26,815
TOTAL FUIYDS
53,543
20,552)
32.991
Page 7
continued...

Ckn'CER ACTIVE RECOVERY SUPPORT
NOTES TO THE FIP4Af*CIAL STATE￿IENTs - continued
FOR THE I EAR ￿'DED 31 DECEMBER 2015
MOVEMENT IN FUNDS- tontiDued
Net movement in funds, included in ihe 8boi'e are as follow$:
Incoming
resources
Resources
expended
Moveinenl
in MT]ds
Unrestrlcttd funds
Gcneral fund
8,948
{28.077}
{19.1291
Rtstrlrted fuDd5
Reslricied fund
29,645
131,068)
(1,4231
TOTAL FUNDS
59 1451
20 5521
Comp#r*tli'es for movement In fvThds
'ei
moven)enl
in fijnds
Transfer5
beiw'ecn
fvnds
At
11 12.24
Ai 1.1.24
Unre51rlrled fund5
6¢ncral fund
5.3S3
32,250
15,8501
31.753
Re51Yl¢ted funds
Keslricicd fund
21,297
(5,357)
5,850
21,790
T()T AI. FIINDS
53,543
Conipdrative net movem¢nl in funds. includ¢d in Ihc a￿)vC arc as follows..
Incoming
sour¢cs
R&sourccs
expended
Movcmenl
in funds
bnrestrltied funds
General fijnd
41.827
19,5771
32,250
Re51ricied fund5
Restricted fund
27,683
(33.0401
(5,3571
TOTAL FUNDS
69.510
(42.617)
P88e 8
¢onlinu¢d...

ER AcfivE RECOVERY SU
PORT
NOTE
I'O THE FIN￿yC1￿L
TAT
¢oDtintted
FOR THE ITAR EFIDED JI DECEMBER 202
MOVEMENT IN FUYDS- continued
A currenl year 12 monihs and prior year 12 rnonths combined posilion is as follom's..
Net
movement
in funds
TTgnsfers
beiw'een
funds
Ai
31.12.25
At 1.1.24
UDrestrl¢ted funds
G¢ncral fund
5.353
13.121
112,298)
6,176
Restricted funds
Resincled fund
21.297
16.780)
12.298
26,815
TOTAI. Fiif4DS
32.991
A current y¢ar 12 rnonihs and PriOT year 12 monihs combined movement in funds. includcd in the aLY)ve are
as follows-.
Incoming
r£SOUTC¢$
ResouTces
expendcd
Movejnenl
in fund$
Unrésirlcftd (unds
Gcneral fund
50,775
{37,6541
R¢strict¢d funds
ResiriLied fund
57,328
164,1081
16,7801
TOTAI. FIINDS
108.103
11017621
10.
REI.ATF.D PARI'Y DISCI.C)SIIRF.S
l)urin8 Ihe ycar ending 3151 Decembcr 2025, C'ancer Aciive Recovery Support incurred costs amounting i(}
£16,725 frtsm S￿e¥SY Priydclivc Exertisc Limiled. The Sol¢ dirc¢lor and sharcholdcr of Synergy Pj'naclivc
Exercise l.imited i* ihe spou5c of MT R Scoit-Worthin8ton who is a Inislee of Cancer Aciive Recovery Supporf.
Thc5e cnsis are in¢lud¢d within freelance wages. The amount due lo Syncrgi. Proa¢iive r'xereise Limiied at 3151
l)ecernber 2025 w85 £nil.
Expenses amouniinE £3.062 werc incurred by the dircttor of Syncrgy Proaciivc Exerci5c Lii)iiied during the
y¢aT ending 3181 De¢eTh￿r 2025. Ihe*e expenses WCTC rcimbursed by Cancer Aciive Recover Support. No
expenses were outsianding 313 Isi December 2025.
Page 9

CANCER AcfIvE RECOVERY SUPPORT
DETAILED STATEMEF4T OF FLYANCIAL ACTIIIITIES
FORT
E I'EAR E*4DLD JI DECEMBER 2025
2025
2024
INCOME AN'D ENDOIVMEI¥TS
Dothat5on$ and leg*des
Donalions
5.642
38,X98
Other tradiDg a¢tivili¢s
Fundraising events
Sale of Mercha￿diSe
32,789
86
2,818
32,875
2.929
Inveslmeni Income
Savings Aecounl Jnteresl
76
Charli*ble icilvltles
Grant4 received
Tolgl In¢ornln% r¢$ouree5
69.510
EXPENDITURL
ChArlt#ble 8¢ilvlil
FTeclan¢e waBes
Room hire
EquipmLni purchased
39,408
10,185
29.317
4.174
.15.994
Suppurl ¢o5ti
linigemenl
Insuranve
Telcphone
P4)siHge 2nd 51ationery
Advenising
Sundries
TTav¢l cxpenses
Moior expcnses
Bnrjkkeeping
Deprcciation of langible and herilaBe 2S5els
880
258
168
2.442
594
554
SQ4
876
229
274
179
2,875
334
212
726
183
5,773
6,511
Flnance
Bank charges
333
Totsl resources expended
N¢t lexp¢DdltYTC)fineom¢
120,552)
26,893
This page does noi fomi pan of the stsmtory financial stsiements
Page 10