OFFICE COPY
REGISTERED CHARITY NUMBER,. 209330
R8POrt of th8 Trustaes and
Financial Statements for thè Yèar End•d 31st Juty 2024
for
THE FRIENDS OF ST GEORGE'S HOSPITAL
ofst
sigr&1li.'-
orb PIVJC'=
end retyrn

ThE FRIENDS OF ST GEORGVS HOSPITAL
Contents of the Flnanclal Ststgments
FOR THE YEAR ENDED 31ST JULY 2024
Pag8
Report ofthe Trust•as
1103
Indwndent Ex8minerfs Report
ststement of Financial Actiwb85
B8[an￿ Sheet
Notes to the Flnanclal Statements
7t010
Detai18d Stsiement of ￿ Tranual Acttwtlos
AddIt￿n81 notes to Financial Stat8m8nts
12

THE FRIENDS OF ST GEORGE'S HOSPITAL
Raport of the Trustees
FOR THE YEAR ENDED 31ST JULY 2024
The trust&es pres&nt their report wth the flnandal statements of the charity for the ygar ended 3151 July 2024. The
trus￿8& have adopted thÈ provisions tsf the Statement of Recommended Pra¢ty¢e ISORPI 'A¢cx)unting an
Rgpotting by Choritie5' issued in M8rch 2005.
REFERENCE AND ADMINISTRATIVE DETAILS
Reglstered Charfty numbÈr
209330
PrSncipal address
Gro$venor Wing.
st George's Hospital
Blackshaw Road
LondL
SW17 OQT
Trustees
P Brewèr
Chairtnan
S Davis
Vice Chairrn?n
Rommens Treasurer
T Whit8
J Davis
P Ho0￿r
LDwe
S Ta18ghany
M Tomlin
S Pid(ett
Reslgned Novetnber2023
Resigned July 2024
Independent oxamin•r
Mr Stsnley Chick5alld BSC FCA CTA
Chicksand Gordon Aws
12 Northfields Prospoct
Putney Bridge Road
London
SW18 1PE
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing do¢ument
The charity is contrDlled by Its gDVEmlry document, a deed of tru5L aNI con5Utute$ on uninrA)rporated charity.
Recrullrnent and appolntment of trustee5
The persons named havè saNed IhrouglK)Ut th8 year, exc8Pt il olhenNiS8 Stated 8ftar thèir nam•s.
Appointrnant of rn8rnb8rs of the Committee is ￿)Verned by the Consbtutrjn of the Friends dated 20th Noverrber
1998. The Cornmitte& 18 authorised to appoint new rnemter5 to fill Vacan￿e$ arising Ihrough resignation or death of
any existing member.
Monthly Comrnittee meetsngs are held at which rgports are received from the Treasurer, the se¢￿tary and Hospitsl
requests 1(K equiprnent 8tc. Hospital requests ar8 CC￿sIdered and il apwoved the Secr8tary is avthois58d to acbon
them.
Rlsk manag¢mont
The trustees have a duty to Ident￿ and revlew the ri5k5 to which the charfty 15 expjsed and to ensure aryropriate
t￿trOlS are in place to prowde reasonabk assurance against fraud and wror.
08JEcnvES AND ACTm￿E$
Oblectlves and alms
The Friends exists to provide extra comfr￿ts and support for patients and stsff at St. G8org8's Hospitsl not prowded
by Ihe SL George's University Hospltal NHS Foundati￿ Trust. The Friew¥J5 offlce is situated in Grosvenor Wing, St.
George's Hosprtal. Blackshaw Road. London. SW17 OQT.
Page 1

THE FRIENDS OF ST GEORGE'S HOSPITAL
Report ofth* Trust￿$
FOR THE YEAR ENDED 31STJULY 2024
PubliG B•neffit
The tru518es. as required by Section 4 of the Charities Act 2006. have paid due ward to Ihe Chanty Commission's
guidaTh￿ on promding wblic benefit when reviewng the Charity's aims and objectves in deoiding what activities
the charity should undertake and how the donation5 mad8 have advanced the objecls of the Chadty.
Friends
St Geo
e's H05
Ital Ch8
Trustees R
ort for Year End 3151 Ju
2024
This year Iwo of our stalwart trustees resigned during Ihe year. Miss Pat Hooper who becam8 8 tnJst88 in 2011,
but thankfully wll st￿1 be volunt88ring for us. Mrs Margaret Tomlln became a trustee in 2018 having previoudy
work8d for the Fri￿d9 as the m8nag8r DI our shop for rnor8 Ihan thirty years. Thelr contrfbutlon to the Friends has
ba•n inv8luabl8.
Glfts
This year wo ar• cornmitted io spend £46,000 not a5 rnuch 8518St y8ar but Still a substantial sum.
The Friends suppty Ywd(Ilemuffs" to the Sen1￿ health wards for patients suffering from demen￿a. Forth05e ol you
not familiar wSlh them they 8re 8 great SOU￿ of ￿5Val, tacble and sensory stimulation. plus they kÈep ￿$Y hand5
O¢CUPl8d. Surprisingly the trauma ward, have discovered their Ndden benefits. The quote Irom on8 of th8 teams
ClinThl Psychoh)gists hlghllghts how these small things S￿ h8ving such a big impact.
'Vle uso twldddlomuffs as è san50ry and groundlng tool to help our patiettts eopy wlth anxlety, flashbaeks
and nightsnares. 11 Is nol unwmmon for patl•nts to be surprbsed by how ¢omfordng and soothlng they ar•.
They are also b•autifully handmada-. each oTra 1$ unlque and thls make5 It extra 8peclal for our pa¢l¢nts°.
Proving that sc*neltme th8 sirnplest of things can be the best.
Tre Dementla & Delirium Team li Neurobgy Oulpati8nts Garden that we funded last year for patients is up and
running. However, it needed a new pathway to make rt 5Uit8ble for wh8ekthair& 8¢ces$ and patients are not
good on Iheir feel safe. The Friends donated another £2.000 towards this.
This year we have purchased sever41 items to improve the facilities in staff r(x)ms. sJJch a5 chairs, fridg8&
icrowave5 and kethes. Again. simple gift5 that have the biggest impact.
We support the thre8 senior heatth wards every year over thtr Chrfslma5 period. This ygar we havg fundgd a new
initiative ¢alled the Enhance Project at a cosl of £5.000. The thr86 wards now have tnany patients with dementia.
This is very challenging lor the staff and th8 wards limited ￿OUr￿$. Each wald has a tro16y that has gamtrs, arts
and vafts resources and puzzle books everything ED keep pali8nts stimuLgted and occupied duriwj their h05Pltal
stay. A¢￿panIed patients can al¥0 wsit the shop and choD5e a drink, chocolat8 bar or crisps as part of this
￿￿'atiVe.
No changes have takèn MKs8 Anne Whiting, our secretary can sllll be fouThJ In the office, inevrtably wAh 8 CUP
of tèa.
This year wo had one work experience placoffEnt student join us for a week and another student who sp8nt
of days a week during the summ8r holidays volunte¢r*)g wtt) us.

The Friends shop has y9t again had another great year, Ihanks to Mrs Sue Matshall wtw) njns the shop with the
hdp of Miss Pat Hooper, Mfs M8ry Rommens and fina Martin.
To make life easier and quicker for customers paying by card we have invested in a gtate-014he-art ￿gIster for the
5hDP.
To make lrfe easier and quicker fpr customer5 paying by ￿rd w8 havg inv85led in a stste-of-Ihe-art r89istsr for the
shop.
Our thanks for this continued success goes lo ble wonderful generosity of those who knit and sew for us and not
forgetbng everyone who u5e5 the shop on a reguLgr b8SIS.
Fundraisin
During Ihe Summer vje had a 'Whrte Elepharf Sa￿ in Ihe garden. For those of you who are not farniliar w¥th the
tgmi it describes items that sorneone no longer wants or needs, but someone else might love. The weather w&8
kind to U5 and we raised 8 tidy sum. W8 also h81d very popular'Everyone's a Winnerf tombola at Chrlstmas.
Achlevement and Performan¢*- Investment Perfpmianco
The objectiv8 of the Friends Investment policy is to achievg 8 rising level ol incom8 rather than cakxtal growth.
inttea52S 5uffioent to m88t the Friends princip81 activity.
nan
8serves Pollc
The Friends prinapal ￿8$On for holdirrfJ reserves 15 to generate an increasing flow of investment income.
addtbon to Ihe incorne re￿iVed from donalDn8, fundraising and the shop, so we can contsnue to provide the
supwrt and servSce currentty provided to staff and pabents.
On behalf of the Board of Trustees
Mary RommenB
Treasurer
Page 3

Indopèndent Examlnerfs Rèport to thè Trnstèos of
Tha Friends of St Georg0'5 H05Pital
I report on 1he aecDunt5 for Ihe year ended 31st July 2024 set out on pages S to eleven 11.
R¢spectlve re$ponslbllltlg$ of trustees and examlner
The charity3 tnjsiees are responsible for the preParat￿n of the accounts. The chariV5 twslee5 con51der that an audit is
not required for thls year lundEr Section 144121 of thg Chaiits?5 Art 2011 Ilhe 2011 A¢tll and that an independent
examination Is requlred.
It is my re5ponsibilty to..
èxamine the accounts under S8ction 145 of th8 2011 Act
to follow the proc8dur8s laid down in the Genèral Directions given by the Charity Commission (under Sect¥)n
14515llbl of the 2011 Acll., and
to state whether partcular matters have come to my attention.
Basls of the Independont exarnlnerf8 report
My examination was carried out in accordance smth the G￿er81 Directions given by Ihe Charity Comrnission.
exarnlna￿.on includes a review of the a￿)UntIng records kept by the charity and 8 co[npar￿0n of the accounts presented
th those re¢￿d$. It also indudes Considera￿On of any unusual items or disclosur8s in th& accounts, and seeking
e4)lanations from you as trustees concerning any such rnaii8rs. The proc8dur8s undertaken do not provide all th&
evldenc& that would be requlred In an audit, arKI consequenlly no ormnion is given as tD whether the accounts present a
Irue and fair vvaw. and the r8WJrt is limited to those matters set out in the ststements below.
Independent examin8rf8 Statement
In conn8Ction with rny examination, no matter has come to my attentlon..
which gives me ￿8$Onable Gause lo bdieve that, in any material r8SP8Ct, the r8quir8rn8nts
to keep a¢counting records in acctsrdan￿ with Section 130 of the 2011 Act., and
to pr6pare accoun15 which acwrd wilh the a¢wunfjng records and to ¢omply wilh Ihe awoullling
raqu1￿ments ofthe 2011 Act
have not been mèt- or
tD which, in rny opxnion, attention should bo drawn in order to enalAe a proper undgrstsnding of Ihe accounts
to be reached.
Mr Stanley Chlck$and BSC FCA CTA
Chlcksand Gordon Ayis
12 Northflelds Prospect
Putney Bridge Road
London
SW181PE
The notes fonn part of these finandal statements
Pag& 4

THE FRIENDS OF ST GEORGE'S HosP￿AL
ststem8nt of Flnancial ActNities
FOR THE YEAR ENDED 31ST JULY 2024
2024
2023
Total
funds
Unrestrlcted
funds
Restricted
Total funds
lunds
INCOMING RESOURCES
Incoming resources from
generated funds
Notes
Attivitie5 for genèrating funds
Investment income
5,714
10,147
15,861
92170
97,884
10.147
108,031
82,645
15,697
98,342
Total Incomlng resourtes
92.170
RESOURCES EXPENDED
Cosi of generatlng funds
C05t of generating volantary
income
Fundraising trading: cost of goods sold
and other
34,053
34.053
33,310
Costs
73,148
73.148
70.221
CharTrtable artlvhles
Hospital Grants
Governance cost5
53.962
3,180
53,962
3,180
74,324
3,190
Other resources expended
Totsl ￿50￿rEe5 expended
91,195
73,148
164,343
181.04S
NET INCOMINGIIOUTGOINGI
RESOURCE5
175.3341
19,022
156.3121
182.7031
Net incomlnKlloutgoingl
reSoU￿eS before
other recognised 8aln$ and
losse5
175.3341
19.022
156,3121
182,7031
Other re¢ogni5ed gainsllDsses
Gain5 on investment assets
069
Net rnovement In funds
149.265.001
19.022
130.2431
160,6201
TRANSFER OF FUNDS
6,374
6,3741
Total fijnds brought forward
1.303,948
64.066
1.368.014
1,428.634
TOTAL FUNDS CARRIED
FORWARD
1,261.057
76,714
1,337,771
1.368,014
CONTINUING OPERATIONS
All Incoming rnsour¢es and resources expended aris• from contlnulng JdivitieS.
The notes form
rt ofthes8 finanaal statements
Page S

THE FRIENDS OF ST GEORGE'S HOSPITAL
Balancg Sh¢¢t
AT 31ST JULY 2024
2024
2023
Unrestricted
Restrfcted
Totsl fund5
Total funds
fynds
funds
FIXED ASS￿5
Note5
Tangible assets
Investments
586
S86
781
1 162 319
1162 319
1037 950
1.038.731
1.162,905
1.162.905
CURRENfA55ET5
Stocks
io
14,105
429
14.105
429
13,478
1,538
Debtors
li
Cash at bank
CREDITQR5
Amctunts fallSng due within one year
101152
163 802
31
12
470
CURRENT ASÉTS
98.152
76.714
174,866
329.283
TOTALA55ETS LESS CURRENT
UABILITIES
1,261.057
76.714
1,337,771
1,368.014
FUNDS
13
Unrestricted funds-
1,261.057
76.714
1.303,948
64,066
Friends RÈstrlcted Funds
TOTAL FUNDS
1,337,771
1,368,014
The note5 fom part of th88e financaal statements
Page 6

THE FRIENDS OF ST GEORGE'S HOSPITAL
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31ST JULY 2024
ACCOUNTING POLICIES
A¢¢ountlng convenlion
The financial statements have b8en prepared under the historical (x)6t convention, with the of
investments wh1(* a￿ includ¢d at mad(et value, as rnodtfied by the revaluation of certain assets the Chaiities Act
20118nd the requirements of the Statement of Recommended Practice, Accountirg and Reporting by Charities.
Flnanclal reporting $tsndard number I Irevlsedl
Exernption has laken from preparing a cash flow slatemenl on th8 griyJnds that th8 charity qualifies as 8
smo11 charity.
Incomlng rnsources
All incoming resources a￿ included ￿ the Statement of Financial Activities when the charity is legally &nbtled to
Ihe incorne and Ihe amount can be quantified wlth rèa50n8b18 8wuracy.
Re80urces exponded
ExpeTrdrtu￿ is accounted for on accruals basis and has been classnlad undef heading5 that aggreg8t8 all c05t
related to the category. whe￿ CDsts cannot bè dlrecyy attributed tr) particular head￿ng$. they have been allo¢ated
to actwities on a ba515 CLlnS15tent wSth tre use of resources. Grants offered subject to COnd￿onS whKh have not
been tnet at the year￿d date ar8 noted as a cornmitrn8nt bul nol 8￿rued a5 expenditur8.
Tangible fixefl assèt5
Depr8uation is provlded at the foll￿￿￿9 annu81 rates in order to ￿lte off 8ach asset over Its esbmatsd useful Ilfe.
Fixture$ 8nd fittlngs
- 25% on cost
Stocks
Stocks a￿ valued at the lower of cost and net reoli5ablB Yalu8. alter making du8 allowanc8 for obsolgte and
slow-moving items.
Taxatlon
The charity ￿ exempl from tax on its chairtabl8 &titiit'es.
Fund accounting
unrestri￿ed funds can be used in accordance wfth the tharitable objectives at the di5crelion of the trustees.
Reslrict8d funds Can onty b& used for parts"cular re5trict8d purposes wthin tt)e objects of Ihe charity. Restrictians
arise Spgdfied by the don￿ orwhen funds are raised for particular re5tricled purposes.
Futher explanatlon of th8 nattj￿ and purp058 of eac* furt is int￿ded in the noies ¢0 the finanGlal 51atemants.
I ACTIVITIE5 FOR GENERATING FUNDS
20Z4
2023
Shop ir￿rne
Subs£rlpfjon5 and donatlon5
92,170
80,063
5,714
2,582
97,884
82.645
IMVESTMENTINCOME
2024
20Z3
Deposit ac£ount interest
Investment bond interest
1,663
926
8.484
14,771
10,147
15,697
Page 7

THE FRIENDS OF ST GEORGE'S HospifAL
Nots$ to th8 Financlal Statements- continued
FOR THE YEAR ENOED 31ST JULY 2024
tOSfOF GENERATING VOLLINTARY INCQME
2023
Insurance
430
650
Other costs
4,445
4,654
Support costs
29
FUND￿sING TRADING.. COST OF GOODS SOLD ANO OTHER COSTS
2024
2015
Purchases
Support costs
56.34Z
55,825
TRUSTEES. REMUNEIiATION At4D BENEFITS
The￿ wtre notrustees, rernuneration orother benefits for the year ended 31st July 2024 nor for the year end2d 31st
luly2023.
Trustses, Expenses
There were no trustees, expenses paid forthE year ended 31st july 2024 nor for the year ended 31sf July 2023.
STAFFCOSTS
2024
2013
Wages and Salaries
The average monthly nurnber of Èmployees during theyearwas as follows..
Z024
2021
Administratltsn
Shop
No employ¢e$ received emolumetrts in excess of £60,0ty).
Page 8

THE FRIENDS OF ST GEORGE'S HOSPITAL
Note5 to the Flnanclal Ststements - contlnued
FOR THE YEAR ENDED 31ST JULY 2024
TANGIBIE FIXED ASSErs
FLxtures and
fthlnis
COST
At 1st August 2023 and 31July 2024
AdditlOn5
5.639
DEPRECIA￿ON
Af I￿ August 2023
Charge foryear
At 31stJuly 2024
4,858
195
NET BOOK VALUE
At 31st july 2024
At 31stJuly 2024
58
FIXEDA55ET INVEsfMENTS
Usted
investmeht5
MARKeTVALUE
At 15tAuEust 2023
Investment
Revaluations
At 31st July 2024
1,037,950
9È,300
NET BOOK VALUE
At 31st july 2024
At 31st july 2023
There were no investments outside the UK.
Investmentswhich a￿ material to the flnancial ststements are dlstlosed *p•ratety. Material
investments are taken to be those which are greater than 5% of thetotal value of lfivestmen
Investments
Market Value
1024
BlackAotk CharfrKo Common IrNe5tment Fund Accumulètlon
BladtRodr Charfshare Cornmon Investment Fund Accumul*ti
Bl4drRo(k Chartnto Common In¥estrnent Fund IneomE
M&G Charrfund
Evetyn Portner5
Evetyn Partnersxo
8L907
637,063
13.549
305,431
1.059,484
102,835
OCKS
Goods for Sale
Pag8 9

THE FRIENDS OF ST GEORGE'S HospfTAL
Notss to th8 Financlal Statements - contfjnued
FOR THE YEAR ENDED 31STJULY 2024
ii.
OEBTORS: AMOUNTS FALLING DUEWITHIN ONE YEAR
1024
2023
VAT. postage stock and deposSt AGM meeting
538
12.
CREDITORS: AMOUNTSFALUNfj OUE WITHIN ONE YEAR
2024
2028
MOVEMNET N FUNDS
Met
vem
At 1.8.23
in Funds
At31.7.24
Unre5trlcted fund5
Friends Fund
Resirlrted fvhds
Shop Fund
TOTAL FUNDS
1,303,948
142,8911
1.261,057
714
Net m¢vernent lThlund4 included knthe al*)¥e are as lofiows:
Incoming
Resour￿$
Resource5
Expended
Gains and
Losses
Transfer
of Funds
In Furbds
Unrestrtcied
Friends Fund
15,861
91,195
26.069
16,3741
142.8911
Restricted fund5
Shop Fund
12
164 343
14. FRIENDS FUND
The Frlends Fundls 4n unrestritted fund ¥those a55et$ are applled in accordance wfth ihe Charlty.'5 constitutlon.
15. SHOP FUND
The Shop Fund 15 a restrlcted fund whose assEts 4re di5trlbutedto the Friends Fund each y?Jr.
16. REVAWATION RESERVE
Included wlthln the Friends Fund ère unrealsed gains on investments of £634,01612023 £607.9471
Page 10

THE FRIENDS OF ST GEORGE'S HOSPITAL
D8tailed Statement of Financlal A¢tlvltie5
FOR THE YEAR ENDED 31ST JULY 2024
INCOMING RESOLIRCES
AEtl¥ltles for8enerating funds
2024
2023
Shop inctsmp.
Subscriptions and donation5
92,170
80,D63
Irwe5tmont Income
Deposit account income
Investment bond income
1,663
926
Total Income resour
108.031
98.342
RESOURCES EXPENDED
Costof gener3tin8 funds
Insurancè
Othercosts
430
650
FundraJslngtradinE: Wst of lot￿5 501d and
othercost
Purcha$25
56.342
55,825
Charftabl¢ activilies
Grantsto instltutions
53.962
74.324
Support rosts
Man?¥ement
Wages
P05ta¥e ind statiDnery
Afjm Meetlng
45.984
159
42.402
404
832
47246
43.638
Fknance
B3nk charges
Ac¢ountancv
Depreciatlon of tsngible flxed a55Ets
922
3,180
195
4.297
2,094
3.190
261
5.545
Total re50urte5 exppnded
Net IncomE lexpendhurel
The notes form partof these Ionanclal 5tOteTr￿T
Page11

THE FRIENOS OF ST GEORGE% HOSPITAL
Not85 to the FlnanGlal Statements
as at 31ST JULY 2024
Note 4: Cost of General Voluntary Income (page 81
pps
Computer and fill runnlng costs
Leg31
Bènk char8ÈS
Sundry expenses
D2preciation
AGTrth Meetln
159
1.713
253
922
100
195
Det•lled Statement rf Nnandal Act￿￿1¢$ Ipage 111
RESOURCES EXPENOÉD
Cost of Generalvoluntsry Income
Computer EXpEr￿e5 and Trll runnin8 CDSts
Legal
Sundry
1.713
253
Pag8 12

THE FRIENDS OF ST GEORGE% HOSPITAL
SCHEDULE OF ADMINISTRATVE EXPENSES
FOR THE YEAR ENOEO 31 JULY 2024
20
AdmInIstra￿ve ex
Wag8S and Salaries
IM$uf8nce
Computer and Till running costs
Legal and Prof888ional fees
Accountency
Charitsble Donations
Bank Charges
Prin)ng and stationèry
Sundry eKpenses
Deprecialions
n888
45.984
430
1.713
253
3.180
53.962
922
160
1.203
42.402
650
620
230
3,190
74,324
2.094
404
1.012
261
108002
12
Pa￿13