## **RADC Association** 

## **Report of The Trustees for Year Ended 31 March 2025** 

The Trustees have pleasure in presenting their report together with the financial statement and Independent Examiner’s Report for the year ending 31 March 2025 

The RADC Association is constituted under the governing document (Declaration of Trust) 

detailed with The Charities Commission. 

Objects of the RADC. Association: 

Objects of the fund which are for public benefit are: 

1. To promote the efficiency of the Army by: 

- i. Maintaining contact between past and present members of the Army Dental Service (ADS), fostering mutual friendship between them and providing for social gatherings for them; and 

- ii. Fostering Esprit de Corps, comradeship and the welfare of the ADS and preserving its traditions and history. 

- iii. To relieve, either generally or individually, members of the association or past or present members of the ADS and their dependants who are in conditions or positions of need, hardship or distress. 

- iv. To generate sufficient income and capital growth to enable the Association to conduct its objects consistently with due and proper consideration for the future. 

2. Achievements and Performance: 

All objects of the Association have been fulfilled over the reporting period with the following being of note: 

- i. Numerous social events have been delivered and enjoyed by members. 

- ii. Formal Remembrance events. Both nationally and locally have been both supported and delivered enabling centralisation of membership. 

- iii. Communication: The regular RADC Corps publication, (The RADC Bulletin) has been published and delivered to full readership. The RADC Website has been kept and updated throughout reporting period. 

- iv. Full RADC membership of the Army Medical Services Sports Union has been delivered allowing representation and participation in competitive and recreational sporting activity for all serving members. 

- v. Benevolence:  All applications for welfare and benevolence have been scrutinised by trustees and those found deserving were fulfilled whether in part, or in full, applications being received from ageing veterans to serving personnel. 

- vi. Control of spending without compromise of objects has been exercised by trustees over the reporting period. 

- vii. RADC with RAMC and QARANC amalgamated to form the Royal Army Medical Service. 

Signed on Original. 

Lisa Grannells Assistant Regimental Secretary Royal Army Medical Service 14 Jan 2026 



al Arm
Dental Co
ChAri
Number 265463
Balanee Sh¢e¢ ￿ at 31 Manh 2025
and
lllcomt aDd Ex
nditure A¢¢oynl
For the
ear ended on that dgte

Inde
ndent Examiner's Re
ort to the Trustets of the RADC Funds
I report on the accounts of ihe Trust for the period ended 31 March 2025 as set oul on the attached
docum¢Ttts.
Re.T
ecilvt re.v
11.TllJllilies o
Ihe fru51eetr ond ijie E¥amlner
As the Charity's Trusiees you are responsible for thc preparation of the accounts- you consider that the
oudit requirement of section 4312) of the Charities Aci 1993 (the Act) doe5 NOT apply. li is my
responsibility to examitt¢ the accounLS under seclion 145 of the Charitie5 Act 2011 lth¢ Act)- and to
follow thc proccdur¢5 laid down in th¢ Oenenl Directions of the Chariry Comin1￿lone[S under seclion
145(5)b of th¢ Acl and io slate wheth¢r particular matters have wm¢ io my attention.
Ilie Ind
endeni EY&mlntr's Re
ort
My examinaiion w&g carried oui in accordance with the General Directions given by the Charity
Commis$ioner5. An examtnation includes a review of the a¢couniing records k¢pt by thc Charity and a
comparison of the accounts presented with those on record. li also includes consideration of any
unusu21 1￿mS or disclosures in the accounls, and seeking explanations from you as Trustees concerning
any such mallers. The procedures undertaken do not provide all the evidence th￿ would be required
in an audit, and consequently I do NOT express an audit opinion on the View given in the accounts.
lrtdt endeni Ett7miners Slalemenl
In connection with my examinaiion. NO matter h&s come to rny attention.
{1) whi¢h give$ me reasonable cause to believe that in respect the requireTnenlS
to keep accounting records in accordance with the Act; and
¢0 prepare accounts which accord with the accounting records and to comply wilh the accounting
requirements of the Act
have not been met- or
{2) lo which, in my opinion, atiention should be dra￿1 in order to enable a proper understartding of
the accounts to be reached.
Narn¢' M.F.H. Adler
Place- West End
Date;
I￿de￿I￿en￿Er0Murer￿w Alarch?n12

alAr
Dental Cor
lJJlJnce Sheet
As #131 Murch 2025
2025
2024
A¢cumulaled Fll￿d$
Cicnernl F￿n￿
Balance brought forward
Gain{lossl on Investments
Adjustment lo Investments
Surplus for the year
993,268.90
(1,940.74)
0.00
(21.811 15)
£969,517.01
886,256.47
90,583.73
0.00
16,428.70
£993.268.90
Investments gt Market Value
(note 31
899.960.00
899.960.00
887,757.07
887,757.07
Current Assets
Cast) at bank- deposit account
Cash at bank - Current account
- I￿ludIng Inveslmepts Cofh
Debtor5 and Prepayments (note 4)
40.066.18
20,000.00
14.010.98
546.42
78,776.05
20,000.00
14,405.93
546.42
74.623.58
113.728.40
CllrreDt Liabilitles
Creditors (note 5)
General Fund
5.066.57
0.00
8.216.57
0.00
5,066.57
.216.57
69,557.01
105,511.83
£969,517.01
£993,268.90

IArm
DeDt#l Co
Income Ind Ex
endilure Atcount
ear to 31 M*r¢h 2025
2025
For the
2024
Inrome
Subscriplions
Bank Interest
0.00
1,034.60
740.89
Donations (Note 2)
40.046.73
42.985.15
Inveslment income (nole 3)
22,629.71
63.417.33
18.132.03
62.151.78
eDditure
Corps Weekend (note 6)
Office Equipment
Donations. gifts and
grants (note 7)
4.452.33
7,627.14
1,530.00
10,101.31
59.499.85
Insurance
889.83
890.02
Investec Management F￿$
&880.99
7.866.76
Blue Book
0.00
Benevolence
7.174.56
2.749.22
Profesional Fees
1,137.60
11.320.00
Treasurers Fees
1.300.(KI
1.300.00
Inspection Charges
550.(M)
550.00
Sundries (note 8)
l J43.32
1.788.63
85,228.48
45,723.08
lus for the
(£21.811.15)
£16.428.70

alArni
Dental Cor
Nolc5 on Accounts
ear to 31 M4rch 2025
For the
l. Subscri
tions
2025
2024
Association Membership
Mes5 McmlKr5hip Sub5
0.00
0.00
2. Donations
Uay5 Vay Scheme
Uther L)onalions
Corps Day Collection
4U.U46.7J
u.uu
4U.Y¥5.15
5UU.UU
1.500.00
42,985.15
40,046.73
3. Investments
Market
Value gt
31.03.25
lu¢ome
Year lo
31.03.25
Market
Value
31.03.24
Nomin*l
VAlue
Cost
Investment BIF
Addilions
Disposals
Inve5ment Inc
Gainl(Loss)
887.757.07
501.737.88
(487,594.21)
783.962.65
233.340.29
(220,129.60)
21629.71
(1.940.74)
90.583.73
£469,IK>5.00
£899,960.
£22.629.71 887.757.07
RBS Deposit Interest Gross
740.89
1.034.60
23J70.60
£19,166.63
The market value of inveslments is a5 certif*d by Investe¢
4. Debtors and
njetsts
Other debtors- Aramark
546.42
£546.42
546.42
546.42
5. Creditors 2nd actruals
Insp¢ction Fee
Bookkeping Fee
RADC Bulletin
DT Dinner Night
Sep Dinner
HQ Mess Dinner
550.IM)
I.31X).￿)
550.00
1.300.00
3.150.00
1.566.56
.650.00
0.00
£8.216.56
1.566.57
1.650.00
5,066.57

al Arm
D¢nlAI Cor
Iyoles on Ac¢ounts
For the
ear to 31 Mar¢h 2025
Continued
6. Cor
Wcekcnd- Ex
endilure
Donald Taylor Lecture & Dinner
Mess Events
Other Ev¢nts
WO'S & Sgts Mcss
Total Cost of Corps Weekend
74.99
0.00
4,377.34
0.00
4,452.33
0.00
0.00
7,627.14
0.00
7.627.14
7. Donations
ifts and
rants
Adventure Training- Sports
AMSSU
Grant Museum of Millitary Medicine
Corps History
Cdo (A) Study Day and Lunch
DADS Study Day & Mgt Board
Field of R¢meberence
HM Mess Annual Dinner
Other Grants & Donations
Presentations
RAMS Set Up
RADC Bullelin
Recruiting
Subscriptions
WO'S Past & Present
Travel
Training
Website
Wreaths
4,450.00
6.000.00
i.000.00
0.00
0.00
2.357.50
199.25
2,456.50
1.905.94
20.00
36,000.00
1.446.03
750.00
0.00
200.00
294.48
245.00
2.175.15
0.00
0.00
3.000.00
0.00
0.00
0.00
0.00
200.00
0.00
2.229.15
85.00
0.00
3,150.00
0.00
215.13
769.72
113.14
0.00
284.17
55.00
59.499.85
£10.101.31
8. Sundries
Miscellaneous
IT Expenditure (DPS)
105.88
1.237.44
145.39
1.643.24
1,343.32
£1.788.63

al Arm
Dental Co
ChAri
Number 265463
Balanee Sh¢e¢ ￿ at 31 Manh 2025
and
lllcomt aDd Ex
nditure A¢¢oynl
For the
ear ended on that dgte

Inde
ndent Examiner's Re
ort to the Trustets of the RADC Funds
I report on the accounts of ihe Trust for the period ended 31 March 2025 as set oul on the attached
docum¢Ttts.
Re.T
ecilvt re.v
11.TllJllilies o
Ihe fru51eetr ond ijie E¥amlner
As the Charity's Trusiees you are responsible for thc preparation of the accounts- you consider that the
oudit requirement of section 4312) of the Charities Aci 1993 (the Act) doe5 NOT apply. li is my
responsibility to examitt¢ the accounLS under seclion 145 of the Charitie5 Act 2011 lth¢ Act)- and to
follow thc proccdur¢5 laid down in th¢ Oenenl Directions of the Chariry Comin1￿lone[S under seclion
145(5)b of th¢ Acl and io slate wheth¢r particular matters have wm¢ io my attention.
Ilie Ind
endeni EY&mlntr's Re
ort
My examinaiion w&g carried oui in accordance with the General Directions given by the Charity
Commis$ioner5. An examtnation includes a review of the a¢couniing records k¢pt by thc Charity and a
comparison of the accounts presented with those on record. li also includes consideration of any
unusu21 1￿mS or disclosures in the accounls, and seeking explanations from you as Trustees concerning
any such mallers. The procedures undertaken do not provide all the evidence th￿ would be required
in an audit, and consequently I do NOT express an audit opinion on the View given in the accounts.
lrtdt endeni Ett7miners Slalemenl
In connection with my examinaiion. NO matter h&s come to rny attention.
{1) whi¢h give$ me reasonable cause to believe that in respect the requireTnenlS
to keep accounting records in accordance with the Act; and
¢0 prepare accounts which accord with the accounting records and to comply wilh the accounting
requirements of the Act
have not been met- or
{2) lo which, in my opinion, atiention should be dra￿1 in order to enable a proper understartding of
the accounts to be reached.
Narn¢' M.F.H. Adler
Place- West End
Date;
I￿de￿I￿en￿Er0Murer￿w Alarch?n12

alAr
Dental Cor
lJJlJnce Sheet
As #131 Murch 2025
2025
2024
A¢cumulaled Fll￿d$
Cicnernl F￿n￿
Balance brought forward
Gain{lossl on Investments
Adjustment lo Investments
Surplus for the year
993,268.90
(1,940.74)
0.00
(21.811 15)
£969,517.01
886,256.47
90,583.73
0.00
16,428.70
£993.268.90
Investments gt Market Value
(note 31
899.960.00
899.960.00
887,757.07
887,757.07
Current Assets
Cast) at bank- deposit account
Cash at bank - Current account
- I￿ludIng Inveslmepts Cofh
Debtor5 and Prepayments (note 4)
40.066.18
20,000.00
14.010.98
546.42
78,776.05
20,000.00
14,405.93
546.42
74.623.58
113.728.40
CllrreDt Liabilitles
Creditors (note 5)
General Fund
5.066.57
0.00
8.216.57
0.00
5,066.57
.216.57
69,557.01
105,511.83
£969,517.01
£993,268.90

IArm
DeDt#l Co
Income Ind Ex
endilure Atcount
ear to 31 M*r¢h 2025
2025
For the
2024
Inrome
Subscriplions
Bank Interest
0.00
1,034.60
740.89
Donations (Note 2)
40.046.73
42.985.15
Inveslment income (nole 3)
22,629.71
63.417.33
18.132.03
62.151.78
eDditure
Corps Weekend (note 6)
Office Equipment
Donations. gifts and
grants (note 7)
4.452.33
7,627.14
1,530.00
10,101.31
59.499.85
Insurance
889.83
890.02
Investec Management F￿$
&880.99
7.866.76
Blue Book
0.00
Benevolence
7.174.56
2.749.22
Profesional Fees
1,137.60
11.320.00
Treasurers Fees
1.300.(KI
1.300.00
Inspection Charges
550.(M)
550.00
Sundries (note 8)
l J43.32
1.788.63
85,228.48
45,723.08
lus for the
(£21.811.15)
£16.428.70

alArni
Dental Cor
Nolc5 on Accounts
ear to 31 M4rch 2025
For the
l. Subscri
tions
2025
2024
Association Membership
Mes5 McmlKr5hip Sub5
0.00
0.00
2. Donations
Uay5 Vay Scheme
Uther L)onalions
Corps Day Collection
4U.U46.7J
u.uu
4U.Y¥5.15
5UU.UU
1.500.00
42,985.15
40,046.73
3. Investments
Market
Value gt
31.03.25
lu¢ome
Year lo
31.03.25
Market
Value
31.03.24
Nomin*l
VAlue
Cost
Investment BIF
Addilions
Disposals
Inve5ment Inc
Gainl(Loss)
887.757.07
501.737.88
(487,594.21)
783.962.65
233.340.29
(220,129.60)
21629.71
(1.940.74)
90.583.73
£469,IK>5.00
£899,960.
£22.629.71 887.757.07
RBS Deposit Interest Gross
740.89
1.034.60
23J70.60
£19,166.63
The market value of inveslments is a5 certif*d by Investe¢
4. Debtors and
njetsts
Other debtors- Aramark
546.42
£546.42
546.42
546.42
5. Creditors 2nd actruals
Insp¢ction Fee
Bookkeping Fee
RADC Bulletin
DT Dinner Night
Sep Dinner
HQ Mess Dinner
550.IM)
I.31X).￿)
550.00
1.300.00
3.150.00
1.566.56
.650.00
0.00
£8.216.56
1.566.57
1.650.00
5,066.57

al Arm
D¢nlAI Cor
Iyoles on Ac¢ounts
For the
ear to 31 Mar¢h 2025
Continued
6. Cor
Wcekcnd- Ex
endilure
Donald Taylor Lecture & Dinner
Mess Events
Other Ev¢nts
WO'S & Sgts Mcss
Total Cost of Corps Weekend
74.99
0.00
4,377.34
0.00
4,452.33
0.00
0.00
7,627.14
0.00
7.627.14
7. Donations
ifts and
rants
Adventure Training- Sports
AMSSU
Grant Museum of Millitary Medicine
Corps History
Cdo (A) Study Day and Lunch
DADS Study Day & Mgt Board
Field of R¢meberence
HM Mess Annual Dinner
Other Grants & Donations
Presentations
RAMS Set Up
RADC Bullelin
Recruiting
Subscriptions
WO'S Past & Present
Travel
Training
Website
Wreaths
4,450.00
6.000.00
i.000.00
0.00
0.00
2.357.50
199.25
2,456.50
1.905.94
20.00
36,000.00
1.446.03
750.00
0.00
200.00
294.48
245.00
2.175.15
0.00
0.00
3.000.00
0.00
0.00
0.00
0.00
200.00
0.00
2.229.15
85.00
0.00
3,150.00
0.00
215.13
769.72
113.14
0.00
284.17
55.00
59.499.85
£10.101.31
8. Sundries
Miscellaneous
IT Expenditure (DPS)
105.88
1.237.44
145.39
1.643.24
1,343.32
£1.788.63