REGISTERED CHARITY NUMBER: 208291
rtoftb Tr
and
Financial
atements for thc Year ENdtd 31st D¢cembcr 2024
for
LEA(:UF. OF WORTHING 140SPITAiS & COMMUNITY
FRIEIN.DS
MastetsFuller
Chartered Certified Accountants
38 Salisbury Road
Wonhing
West Sussex
BNII IRD

LEACUE OF W
RTHINC IIOSPITAIS & COMMUNITY
FRIF.%DS
Conten15 of the binancial Statements
for the Year Ended 3151 Dcce
er ?024
Pagc
Rtport of thc Trnstees
I to 3
Independent ExAmiNcr'5 Report
Statement of Financial Activities
Balance Shttt
Cash Flow Statement
Notes to the Cash Flow Statement
Notcs to the FinaD¢ial Stsiements
9 to 15
Dctailed Statement of FinaDei¥l Aetivities
16 10 17

LEAGUE OF wORTH1￿C. HOSPITALS & COMMUNITY
FRIF.NI DS
rt of the Trustee$
for the Year F.Ddcd 315t Dccemb¢r 2024
The trnstees pr¢seni their report with the financial siatements ofthe chatily for the year end¢d 3 1st Deecmber 2Q24. Thc
trustccs have adopted the provision5 of Accounting and Reporting by Charities- S￿￿ment of Rccommcndcd Practice
applicabl¢ to chariiies preparing iheir accounts in accordance with the Financial Reporting Standard applicablc in thc
UK and Republic of Ireland (FRS 102) (effective l January 2019).
OWECTIVES AND AcfivITIES
Objectives and aiJN5
'I'he object of the League is io relr¢v¢ paticnts of ihe WorthÈng Ilosptthls who are sick, convale￿en￿ disabled,
handicappe(L infimi and. generally to supwbrt the charitablc work of thc said Ilospitals.
Signifie8nt aetiyiti
'I'he l.eaguc runs a shoplcafé for the benefit of pali¢nts and stsff as part of its obj¢¢ts.
GrantmxkiThg
The grdnis committce usually meds evcry month to consider bids for fiujding from ihe local NHS trust supported by the
L¢agu¢. Requests for funding ar¢ considered primarily for their benefii th patients, staff and visitors.
Voluntcers
A weekday trolly 5ervic¢ opemes around the hospital wards with the help of 8 Yolunleers.
ACIIIEVEMENT ATr4D PERFORMANCE
Cbaritablc activities
'I'hc League aims to support the local hospitals by the provision of medical cquipmcnt and facilitLCS. am¢nitics such as
etner8ency toilety packs and Chrl5tTr￿S presents. and a ShO￿tafè for the benefit of patients, visitors and Siaff. -lThc
l.eague runs the shoplcafé as part of lis primary charitsblc activitics.
Internal and external fartors
The l.eague 15 reliant on University Hospitals Sussex NHS Foundation Tn￿t to house its operations. The TTUSI provides
shop space. office and stordge facilities wiihin Worthing Hosprlal.
FINANCIAL REVIEW
Financial position
'rh¢ shoplcafe had a 30Vo increase in iurnover in the y&qr. with a surplus of £98.582 ¢ornpared with £53,075 in th¢
prcyious year. It rernained open throughout the year to provide f¢xKI and drink to patients, visiiors and gtsff.
The League spent £89,166 on gifts to Irxal hospitals, in¢luding £34.236 contribution wwards ihe landscaping of ih¢
adjacent courtyard garden.
Principal funding Sources
'lThe League usually makes a surplu5 on its trading aciiviiies which helps to fimd its aciivities.
'lThe League also receives donatÈon5 and le￿ie$ from the generdl public.
Reserves policy
"lThc l.eague's reserves (unre5trictrd funds have not I￿en designatrf excluding tsngible fixed assets, stock. debtors
and an estimate of the following years exFknditure) amount w an excess of approximatcly £146,000. Rcstrictcd funds
total £71,560 and a fiffther £4.602 have becn dcsignated for requests thai havo already bcen agrecd- 'I'h¢ rcmaindcr or
the League's reserves have been sei aside in pursuancc of thc ￿aOu¢'S objccts when rcquircd.
Going concern
There are no maierial u￿CertaInl1eS which would affect the charitys ability lo continue as a going concern.
Funds
'I'he unrestricted ￿nd has been divided into a gon¢rnl fimd. and a des1￿￿ated fund. The designated fund rcpre5ents
spending on local hospitals thai has bcen approved by thc commiiiee. but has not been invoic¢d ￿ the League at the
balancc shcct datc. At the year end, the d¢signatcd fund sI￿d ai £4,602. The committ¢¢ approved spending of £52.321
during the year.
Page I

LEAGUE OF WORTHIYC. IIOSPITAiS & COMMUNITY
FRILNDS
ort of the Tru5tee5
lor the Year Ended 31sl Dceember 2024
FUTURF. PLANS
The League will continue (o lun the shopl¢afé a( lh¢ North wing sile.
STRUCTURE. GOVERNANCE AND MAiYAGEMENT
CJov¢rRing docurn¢nt
Th¢ tharity's gov¢Tning document 15 its constiNtion daied January 1949, as amended June 1959. June 1969, June 1993
and 16th Deccmbcr 2002. Thc charity is an w)in¢orwTaied charity.
Recruitment and appointment of Dew t￿$1¢¢$
We are constantly identifying way5 to attract new tr￿st¢eS and anybody intcrested in bccoming a tn]slee should eontact
the Chair..
Org2nisational structure
The committee of the League by whom the business of the t£ague is conducied and mandged are its trustres lind dre
ihroughoui this report referred (o as the tommillee. The constilution requires that the commiiice shall consisl ofnoi Icss
than nine, nor tnore than seventeen persons.. such persons shall be either delegate5 or elected members. Normally iherc
would be a m&ximum of nine elecied members. with a third reiiring each YLW. The commiuce nonnally mee(s monthly
to adminisler the charity and there is a sub-cotnrnittee to manage the shop.
Induction and training of new trustee5
Any ncw trustec re¢¢ives a documentstion pack produced by A￿END that stat<% their duties and responsibilities.
ArfEND rraining is available to all knjstees.
Main activitie5 undertaken for thc public benefjt
-l-he trn5tecs have considered the Charities Commission generdl guidance on public benefit when reviewing the aiTn5,
obj¢ctives and planned activkiics of the Charity.
Rclated partiL
The L¢a8u¢ is a member of ATtEND, fom)erly known as The N&ional AssoCi￿10n ofHospi(al & Community friends,
and ha5 benefited from advice from the or8ani5ation. Throughout the year the commi(tee has been pleased to have the
help ofrcpresentatives of local health providers at its mttlin85.
Risk managcment
Thc trustCC5 have a duty to identify and Teview the risks to which the chariry is exp)sed and to ensure appropriate
controls are in place to providc rcasonablc assurance agairLSt fraud and error. Risks 10 the League are managed by the
produciion of monthly accounts to the In￿1¢1￿ and adherence to the conslithtion, rnlcs and regulations relating to th¢
charity and prudent management of thc League including obtaining professional advice when thouJts t fit.
REFF.RF.NCE AND ADMINISTRATIVE DETAILS
Rcgistcred Charity nurnber
208291
Prineipal address
Worthing Ilospital
Lyndhutst Road
Worthing
Wesi Susscx
IINII 2DH
Page 2

LEAGUE OF WORTHING HOSPITAIS & COMM
FRIEPIDS
NITY
rt of the TTllStee5
ror the Yfar F.nded 3151 DCrCm￿r 21124
Tru5tces
Malcolm Roberts- Chainnan
P¢t¢r Bandy
(¥¢orgina Fincher-Jonts (resigned 8.1.24)
Barbara Aldiss {re5igned 10.6.24)
Marva Stsnbrook (resigned 10.6.24)
Garry Phillips
Elizabeth Dolby
Jacqui Campbell
Geoff Lockerbie (appointed 8.1.24) (r¢sign¢d 9.9.24)
Michael Jackson (appoinied 9.9.24)
Independent Examiller
MastersFuller
CharteT¢d Ccrtifjed Accountants
38 Salisbury Road
Worthing
West Sus5¢X
BNII IRD
Banker5
HSBC pl¢
I Wltrwick Street
Worthing
West Sussex
BNII 3DE
President
Dr. John Bull
Hon. Treasurer- Sally Jackson
Hon. Secretary- Angle Bell
Shop Manager. Tcrry LAwr¢nr£
Approved by order of the board of In￿5 On 3rd March 2025 and signed on its behalf by:
Malrolm Robcrts- Trust¢e

Inde
endcnt Examiner's Re
Lea
u¢ of Worthi
ort to the Tru5tcts of
Hos ital & Comrnunil
Friends
Indcpcndent examiner's rcport to the trknstees ol ofworthiNg Hospitab & Community Friends
I report to the charity iw51¢Cs on my exaTnination of the accounts of League of Worthing Hospitals & Community
rriends (the Trust) for thc year cnded 3 Isi December 2024.
Responsibilities and b4sis of rcport
As ihe charity trusiecs of thc Trust you ate responsible for the preparation of accounts in accordance with the
rcquircments of (he Charitie5 Act 201 I Cthc Act).
I r¢port in respect of my examination of the Trust's accounts carried out under Section 145 ofthe Aci and in carrying out
my cxamination I have followed all applicablc Dire¢tions given by the Charity Commission undcr Scciion 145(5)(b) or
thc Act.
Independent cxaminer's statement
Sincc your charity's gross income excceded £250.000 your examin¢r must be a member of a listed body. I can confimi
th21 1 am qualified to undcrtake the cxaminalion because l am a membcr of thc Association of Ch2rtcrcd Ccrtificd
Accountants, which is oz]¢ of th¢ Iisied iwJdie5.
I liavc completed my examination. I confirni thai no Tnaterial rnatlers have come lo my attention in connection with the
examinaiion giving me causc to b¢lievc thai in any m*erial restect=
accounting records were not kept in r¢spc¢t of Ihe Trust as required by Section 130 of the Ac(- or
Ihc accounts do not accord with those rccords- or
Ihe accounts do not comply wilh ihe applicable r¢quiremenLS concerning the form and contcRI of accounrs set oui
in the Charities (Accounts and Rcports} Regulations 2008 oihcr than any requiremeni that the accounls give a
irue and fair view which is noi a matter ctsnsidered as part of an ind¢l￿dent examination.
I havc no ¢on¢crn5 and have comc across no other matters in ¢onn¢clion wilh the exa￿lnalton to which attcntion should
be drawn in this rcport in order to enable a proper understanding of the a¢wUn￿ to be reached.
l Mth]oLL
IM Walkcr l.'CCA
Mastersfuller
Chartered Ccrtified Accountants
38 Salisbury Road
Wonhing
Wesi Susscx
BNII IRD
3rd March 2025
Pa8e 4

LEAGUE OF WORTHIPIG HOSPITAIS & COMMUNITY
FRIF.NDS
Stattmemt of Financial Activlti
for the Year F.ndcd 31st Decembrr 2024
2024
Totil
funds
2023
Total
nds
Unrestricied
ftll)d
tksignated
fund
R¢strictcd
funds
Notes
INCOMF. AND
ENI)OWMENTS FROM
Donations and legacics
13.564
56.850
70,414
20,688
Other trading activiiies
Invcstment inLurne
686,679
7275
686,679
7,275
527,1 io
4,801
Total
707,518
56JS0
764J68
552.619
EXPF.NJ)ITURE ON
R2isirJg fund5
Other IradKng activities
590190
590,890
474,055
590J90
590,890
474,055
Charitable activities
Fundraising
Gifts to Hospitals
437
3,807
437
92,973
597
44,077
89.166
Other
14,475
14,475
16,349
Total
609,609
89.166
698.775
535,078
NET
Ir4COMEI(EXPENDITURE)
Transfers between funds
97.909
(42J21)
(89,166)
42J21
56J50
65.593
17,541
14
Net movement in funds
55588
{46.845)
56050
65.593
17.541
RECONCILIATION OF
FUNDS
Total funds brought forward
328013
51.447
14.7111
394.970
377.429
TOTAI. FUNDS CARRIED
FORWARD
384,401
4,602
71.560
460,563
394,970
The noies forn) part of thc5c financial swements
Page 5

LEACUE OF WORTHINC HOSPITAIS &
FRIENDS
MMUNIT
Bglgnte Sheet
1st December 2024
Unrestricted
fund
Designat¢d
fund
2024
Tot31
runds
Restriaed
funds
2023
Total
funds
FIXF.D ASSF.TS
'rangiblc assets
Notes
28,7S8
CURRENT ASSETS
Stocks
Cash at bank and in hand
28,758
30.387
12
9.494
383.616
4,602
9,494
459.778
71.560
7,029
391.584
393.110
4,602
71,560
469,272
CREDITORS
Amvunis falling due within one
ycar
J98,613
13
(37,467)
(37,467)
(34.030)
NETCURRENT ASSETS
355,643
4,602
71,560
431,805
364.583
TOTAL ASSF.TS LESS
CURRF.NT LIABILITIES
384.4Ql
4,602
71.560
460.563
394,970
NET ASSETS
384,401
4.602
71.560
460,563
394,970
FUNI)S
Unr¢sirictcd funds
Re5lricted funds
14
389,003
71,560
380,260
14.710
TOTAL FUNDS
460063
394.970
'I"hc financial statements were approved by the Board of Trustecs and authorised for issue on 3rd Mar¢h 2025 and were
signed on its bchalf by..
M Icolm
obe
rustec
illips Tru
cc
The no￿ romi part of these fJnan¢ial statemcnts
Page 6

LKAGUE OF WORTHING HOSPITALS & COMMUNITY
FRIF.Tr4DS
Cash Flow Statement
for the Year Tr.nded 31st Dcccmber 2024
2024
2023
Notes
Cash floY4s from operatiThg activities
Cash g¢nerated from operations
70.059
17,652
N¢t cash provided by operdiing activilies
70,059
17,652
Cash now$ from investing aetiyities
Purchase of iangible fixed 41ss¢ts
Sale of tangible fixed as5cts
Interest received
(9,140)
(4,149)
292
4,801
7375
Nei cash (used inyprovided by investing activities
(l 165)
944
Change in cash and cash equivalents in
th¢ rewrtin% period
Cash and cash ¢quivalents at the
beginning of thc reporting period
68.194
18,596
391.$84
372.988
Cash ind ea5h equivalents at tht CDd of
th¢ reporting period
459.778
391,584
The note5 forn) part of these financia] st&ements
Page 7

LEAGUE OF WORTHlTr4C. TIOSPITALS & COMMUNITY
Tr-RIFNDS
Notes to thc Cash Flow 8tatemElIt
for the Year Ended 31s11)cceMber 2024
IiECONCILIATION OF NET INCOME TO NET CASH FLOW FROM OPERA TING ACTIVITIF.S
2024
2023
Nct IDcorne for the reporting period (as per the Stslement of FiM¥ncial
Activities)
Adjll5tments for:
Dcprcciation charges
Lossl{profii) on disposal of fixcd assets
Intercst rcceivcd
(Increasclldccrease in stocks
lllcrea5e/{decrease) in cr￿]10T5
65.593
17,541
7.277
3,492
{7.275)
(2,465)
3.437
7.833
(391
{4.8011
i80
13,262)
Net cash provid￿ by operations
70,059
17.652
ANALYSIS OF CHANGES IN NET FUNDS
At 1.1.24
Cash flow
At31.12.24
Net cash
Cash at bank and in hand
391,584
68.194
459,778
391.584
68,194
459,778
Totsl
391,584
68.194
459,778
The notes forni part ofthese finan¢iaI statements
Page 8

LEA
F. OF WORTHJNG HOSPITAIts & COMMUNITY
FRIF.NDS
Note5 to the FinAlltial Statements
for th¢ Year >"nded 3151 Decetnber 2024
ACCOUNTJNG POLICIES
Ba5t$ of preparatio
The flnancial stalements of the charity, which is a publi¢ benefi1 entity undcr FRS 102, have ken prepared in
accordance with the Chariiies SORP (FRS 102) 'Ac¢ouniing and Reporting by Chariiies.. Ststemeni or
Recommended Prdctice applicable to charÉiies preparing their accounts in accordancc wilh the l.'inancial
keporting Standard applicable in the UK and Republic of Ircland (fRS 102) (cffective l January 2019),,
inancial Rew)rting Stsndard 102 The Financial Rew)rtin"
Standard applicable in ihc UK and Republic or
Ireland, and the Chdrilics Act 2011. The financial statements have been prepared under the hisiorical cost
onven(ion.
Income
All inLume 15 rccognised in th¢ Sraicment of Financial Aciiviiics once the charity has ¢ntiilement to the funds, it
is probabl¢ that ihe incolnc will be rcceiyed and thc amouni can ￿ measured rtliably.
F.xpcnditure
l.iabilitie5 are rccogni5ed cxpendiiure as soon as ihere 15 a legal or cons(ructivc obligaiion commiiiing ihc
charity to that expenditure, it is probable that a tratksfer of¢conomic benefits will bc rcquircd in selllcmcnl and
the amount of the obligation can be measured r¢liably. Expenditu￿ is xcountcd for on an accrnals basis dnd has
been classified under headings ihat a&gregaie all cost relat¢d to the catcgory. Whcrc costs cannot bc dirccily
attributed to particular heading5 they have been allocated io actLVltics on a basi5 consisicnt with the us¢ or
resources.
Grants offered subje£t to conditions which have noi I￿1 mel ai the year end datc arc included as de5igtLated
funds in the accounts.
Support costs
Support costs include the dircct Costs of Nnning th¢ charity.
Alloeatioo and apportion￿¢￿1 of ￿$ts
Management and 5UPP)rt Costs have not E*en apportioned a¢ross the chariws activiiies.
T4ngible fixed assets
Deprcciation is provided at the following annual ￿e5 in order kn WTile off each assot over its c5tirnatcd us¢ful
FiXtu￿S and fittings
Motor v¢hiclcs
2Wo on reducing balance
25 /d on reducing balance
rixed assets (excluding investhients) are sthted & cost les5 ac¢umulatrd dcprcciation. The ¢osis of minor
addiiiorts t￿lOW £500 are not capitalised.
Invcsttnents held as r￿ed assets are revalued at market value ￿ the balance sheet date and th¢ gain or Ioss taken
to the Staiement of I."inancial Activitie
Stocks
Stocks arc valued at the lower of cosi and net realisable value, aftcr maktng due allowance for ob501cte and slow
moving items.
Taxatio
lThc chariry is exempt from taK on its charitable a￿]vItieS.
Fund accounting
Unresirieied fund5 can be used in acconlan¢e with the charitabl¢ objeciives ai th¢ discretion of the trUs￿¢S.
RestrIc￿d fi]nd5 can only be used for particular restricted purtM)s¢s within the objects of the djarity. Rcsirittions
arise when specified by the donor or when fijnds are rdised for particular restricted purrK)se5.
Page 9
continucd...

LEAGUE OF WORTIIIPIC TIOSPITALS & COMMUNITY
FRIENDS
Notes to the Financial Statements- continued
ror the Year F.vded 31st Decernbcr 2024
ACCOUNTING POLICIES- cotttiDu
Fund aerounting
Furthcr cxplanaiion of the natUTe and purwjse of each fimd is included in the notcs to thc financial statemcnts.
Pension costs and othcr p05t-retircmeNt beN¢fits
'l-he eharity opera￿$ a dcfined contribution pcnsion schelne. Contributions payablc to Ihe charity's pension
scheme are chargcd to th¢ St￿eMent of Finan¢ial Activitie5 in the p¢rifyJ io which ihey rclaie.
DoThAted faeilitles and serviees
DOna￿d facilities and services have not been valued or recognis¢d in the accounts.
Leasing co￿￿7t￿tnts
Opcraiing le￿5 in respect ofTetail cquipment are included as resources expended on an accruals basis ovcr the
life of the Icas¢.
DONATIONS AND LEGACIES
2024
2023
Donations
Legacics
Subscriptions
9,749
60,200
465
11,643
8,479
566
70,414
20.688
OTHER TRADING ACTIVITIES
2024
2023
Shop in¢ome
686.679
527,130
INVESTMENT INCOME
2024
2023
Deposit account interest
7.275
4,801
OTHER TRADII¥G AcfiviTIES
2024
2023
Purchase5
Staff costs
Insurance
Repairs and Tnaintenan¢¢
Postag¢, stationery and telephon¢
Motor expenscs
A¢couniancy
General expenses
13ank & ¢redii card charges
Depreciaiion
Loss on sale of assets
410,535
146,006
680
5,449
534
,482
2.624
637
12,174
7.277
3.492
311.618
132.i73
650
6.754
549
1,524
2,684
701
9,408
7,833
139)
590.890
474,055
Page 10
continucd...

LEAC
E OF WORTHJP4C. HQSPITAtS & COMMUNITY
K]F.￿1)s
Nottt to thc Financial Statemcnts- continued
for the Ycar Ended 31st December 2024
CHARITABLE AcfiviTIES COSTS
Grdni
fundino of
activitics
(se¢ note
Direct
Costs
7)
otals
undraising
Gifts to H05Pitals
437
437
92,973
92.973
437
92.973
93,410
GRANTS PAYABLE
2024
2023
Gift5 to Hospitsls
92.973
44,077
The iotal grants paid to institutions during th¢ year was as follows:
2024
2023
UniY¢rsiry Hospiials SU￿eX Nlls foundation Tn
Sus5cx Partnership NHS Foundaiion TtU5t
Court¢sy packs & Chri5trnas gifts
86,927
2,239
3,807
32.634
3,190
8.253
92,973
44,077
SUPPORT COSTS
Govemant¢
cosis
Manag¢mcnt
Totsls
Other resources expended
1,515
12.960
14,47S
Support costs. included in the above. arc as follows".
2024
Othcr
2023
rcsourc¢5
expended
-rotal
Postage and stationery
Ilank charges
Sub5Lription5
Iqonoraria
Accountancy and legal fees
686
897
95
701
11.500
3,156
739
10,542
2,418
14,475
16J49
Pa8ell
continucd...

LEAGUE OF WORTHIP4'C HOSPITAIS & COMMUNITY
FRIF.NDS
Note5 to thc Financial Statcments- ¢ontinued
for th¢ Ycar Ended 31st December 2024
TRUSTEES, REMUNERATION AND BF.NEFITS
There werc no Irustccs. remunerdtion or other knefits for the year ended 3 1st December 2024 nor for thc year
ended 31 st DcceTnbcr 2023.
Truste&s' exp¢nses
There were no trusltts. expenses paid for th¢ year ended 31sl Decernb¢r 2024 nor for the year cndcd
31 st Decemkr 2023.
Jo.
STAFF COSTS
2024
2023
Wagcs and salari¢s
Social security Costs
Other pet]5ion costs
135.873
124.311
4,556
3.506
3.876
146,006
132,373
'The averdge monthly number of employccs during the year &$ follows:
2024
2023
Shop & café bar
No cmployees receiv¢d emoluments in excess of £60,OIKI.
TANGIBLE FIXED ASSETS
FixDJres
and
fittings
Motor
vehicl¢s
Tota15
COST
At 1st January 2024
Additions
Disposals
85,687
9.140
(18,705)
5,620
91 J07
9,140
118,705)
At 3 1st December 2024
76.122
5,620
81,742
DEPRECIATION
At l st January 2024
Charge for year
Eliminated on disposal
i6,689
6,929
(15313}
4.231
348
60.920
7,177
(15,213)
At 3 1st D￿ernber 2024
48,4115
4579
51984
NET BOOK VALUE
At 31 $1 l)eccmber 2024
27.717
1.041
2&758
Ai 31st December 2023
28.998
I,i89
30,387
Page 12
¢ontinuEd...

LEAGUE OF W
RTHINC. IIOSPJTAtS & COMMUNITY
FRIF.NDS
tes to the Financial Stst¢m¢nts- continued
for the Year F.nded 315t D¢ceThbcr 2024
12.
STOCKS
2024
2023
Stocks
9,494
7,029
13.
CREDITORS: AMOUNTS FALLING DUF. WITHIN ONE YEAR
2024
2023
Trade creditors
'￿￿tion and 50¢ial security
Other creditots
18,634
14508
4J25
16,929
12.990
37.467
34,030
14.
MOVEMENT IN FUNDS
Net
movetnent
in funds
Tran5fcrs
between
funds
At 1.1.24
31.12.24
Unrestrictcd funds
General ￿nd
Designaied fund
328.813
51.447
97,909
(89,166)
{42J21)
42,321
384,401
4,602
380260
8.743
389.003
Restrict¢d funds
ilreast Cancer Care Unit
Ch¢motherapy Unit
l.A%tbrook Ward
Con501idat¢d funds
55,753
55,753
3,606
9,364
2,837
3.606
9J64
1.7411
1,097
14.71
56.850
71.560
TOTAL FUNDS
394.970
65,593
460563
Net movement in fvnd& includcd in thc above are ￿ follows..
Incoming
resources
Resources
expended
Movcmcnt
in funds
Unrestricted funds
Gcncral fund
Dcsignated fund
707.518
{609.609)
(89.166)
97.909
(¥9,166)
707J18
(698,775)
8.743
Restrictfd funds
Breast Canc¢r Care Unil
Consolidated funds
55.753
1,097
55.753
1.097
56.850
56.850
TOTAL FUNDS
764J68
(698.775)
65.593
Page 13
continucd...

LEAGUE OF WORTFIIIYC IIOSPITAIS & COMMUNITY
TrRIFNDS
Notes to the Finantial Statements- eontinued
for thc Year Ended 31st December 2024
14.
MOVEMENT IN FUNDS- continued
Comparatives for tnovement in funds
Nct
Tnovcmcni
in funds
Transfers
beiween
nds
At
31.12.23
At 1.1.23
Unrestrieted funds
General fund
Designaied fund
333.236
28.706
54.142
(35.8241
{58,565)
58,565
328,813
51,447
361.942
18,318
Rc5trictcd funds
BTcast Caneei Carc Unit
Chemothcrapy Unit
F2stbrook Ward
Consolidated funds
380,260
1.640
3.481
9,364
.002
(1.640)
125
3,606
9.364
1,740
738
15.487
(777)
14,710
TOTAL FUNDS
377,429
17,541
394.970
Comparative net moveTnenl in included in the abovc are as follows:
Incoming
Resource5
expended
Movement
in funds
Unrestricted fund5
G¢ncral fund
DcsigTJated fimd
551.706
{497,564)
135,824)
54,142
(35,824)
551.706
R￿trIct￿l fund5
ljreasr Cancer Carc Unit
Chcrnotherapy Unit
Consolidated funds
(533,388)
18,318
(1,640)
(1,640)
125
738
125
788
{50)
913
(1.690)
{777)
TOTAL Fuf4DS
552,619
{535,078)
17,541
The r¢S￿cled funds rel*e to donations thai have been made where sp¢nding is restrictcd to ihat re5pcciivc unit.
Funds with a value of under £l.000 have been Consolidated for disclosure purwses.
Transfers between funds
The designated fijnd reprcsents the co¥nmilmcnts made by the Charity. During the ycar the Charity approvcd
requests from local hospiials totslling £54,326. lThe amouni of commilments outstanding at thc year end was
£4,602.
Page 14
coniinlled...

LEAGUE OF WORTHING HQSPITALS & COMMUNITY
FKIF.NDS
Notes to the Financial Statements- continued
for the Year Ended 3151 December ?024
15.
RELATED PARTY DISCLOSURES
1.herc were no rel*ed party transactions for the year ended i 1st Dewnber 2024.
Page 15

AGUE OF WORTHIPIG IIOSPITALS & COMMUNITY
FRIF.NI)S
Det2il¢d Stxtcrncnt of Fin2ntT¥I Activitie5
ror the Year Ended Jlsl Derrrnber 2024
2024
2023
INCOME AND ENDOWMEIYTS
Donation5 and legacies
Donations
l.egacies
Subscripiio]L8
9,749
60.200
465
11.643
8.479
566
70,414
20,688
Othcr irading activities
Shop intome
086,679
527,130
Investment income
Deposit a¢couTrl interest
7275
4,801
Total incorning resources
764J65
552,619
EXPENDITURE
Other trading aetiviti
Purchases
Wagcs
Social security
Pensions
Insurance
Repai￿ and maintenance
Posthge. Slationery and telephone
Mtstvi cxpenses
Ac¢ounlancy
Gcncrdl cxpcnses
Bank & credit card charges
Dcpreciation of tangible fix¢d assets
Disposal of tangible fixed aslets
410,535
135,873
6,257
3,876
680
5,449
534
1,482
2,624
637
12,174
7,277
3,492
311,618
124,311
4,556
3,506
650
6.754
549
1,524
2.684
701
9.408
7,8i3
(39)
590,890
474.055
Charitablc actTVities
Advert15ing
Just GiviRg fees
Misccllaneous
Grants to instEtutions
216
221
92.973
216
45
44,077
93.410
44,674
Support e05ts
Managernent
Posiage and stationery
Carried fonyard
686
686
897
897
This page does not fom) part of the staiuthry financial statemen
Page 16

LEAGUE OF WORTHINC. I¥OSPITAiS & COMMuf*lTY
FRIF.ND.S
Det&il¢(I Stxtemenl of Fin3nci21 A£tis-ities
for thc Year F.ndcd 31st De¢ember 2024
2024
2023
Management
Brought forward
Bank charges
Subscriptions
686
90
739
897
95
701
1,693
GoverDanee costs
Honoraria
Accountancy and legal fees
10.542
2.418
11,500
3.156
12,960
14.656
Totsl resources expended
698.775
535.078
f4et income
65,593
17,541
This page does not fomi part of the Stat￿Ory financial ststrments
Page 17