THE EGA HOSPITAL CHARITY
Trustees, Report
and Unaudited Financial Statements
for the year ended 30 September 2024
Registered Charity Number 281153

THE EGA HOSPITAL CHARITY
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2024
CONTENTS
Page
Chartiy information
Trustees, report
Independent examinerfs r8port
Slaternenl of financial activities
Balance sheet
Acuunting policies
Notes lo the linancAal statements
10

THE EGA HOSPITAL CHARITY
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2024
CHARITY INFORMATION
Trustees
Professor Melaniè Davies- MBBS, MRCP, FRCOG {Chair}
ProfessorAnna David- MBChB, MRCOG, PhD
Ms Jul5¢ Hogg- MSC, BSclHonsl, RM, RN
Mr Stuart Lavery- MBBCh hAsc MRCOG
Ms Nicola MacDonald MBBS (Honsl, MD FRCOG
Professor Simon Waddinglon- MSC, BSclHonsl, PhD
hA5 Esthar Kuna- Msc BSclHonsl
Mr MarkTurner
{8ppointed 1 D￿rnber 20231
Charlty secretary
Mrs Maria Peac8
Principal offic•
Department ofwomgn's Health
2. Floor North
250 Euston Road
London
NW1 2PG
RegISter￿ charfty numbar
281153
Bankers
Co-operative Bank PIC
P.0 Box 101
1 Balloon Street
Manchester M60 4EP
Investment managèrs
Cazenove Capital
12 Moorgale
London
EC2R 6DA
Stslicitors
Hempsons
Hgmpsons House
40 Villiers Street
London
WC2N 6NJ
Independent Examinèr
Geoffrey Frost BSclHons} FCA
Blue Spire Limtted
Cawley Priory
South Pall8nl
Chichester
Wesl Sussex
P019 1SY
Page 1

THE EGA HOSPITAL CHARITY
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2024
TRUSTEES, REPORT
The Trustees have pJeasLtre in presentSng thelr annual repckrt for the purposes of the Charities Act 2011, together with
the a￿OuntS for the year ended 30 September 2024. The Tnjstees have adopted the provisions of th8 Sta18rnenl of
Recommended Practice ISORPI "Acec>untlng and Rewrting by Gharlties" IFRS 1021 in preparing the annual report
and financi81 statements of the charity.
STRUCTURE GOVERNANCE AND MANAGEMENT
The EGA H05PTtal Gharity is a registered charity constituted under a Trust deed datad 30 Saptember 1980 a5 amended
by scheme dated 15 June 1992 wilh further am8ndmenls 27 May 2014 and 26 April 2016. The name of the charity
was changed from Elizabeth Garrett Anderson Hospit￿ Appeal Tmsl to the EGA Hospital Charity on 27 May 2015.
The elected Chairman undertakes the role of Trust manager on a voluntary basis assisted by the servlces ofthe chartty
administrator I secretary.
When vacancies for Trustees become available, proposals lor new Trustees can be made by any of the existing
Trustees. When an applicant is thought to be appropriate by ell Ihe existing Trustees, ltte potential candidate is
approach￿1. The Cvs of potential Trustees are considered by a me&ting of all 6xisting Trustéès and appoifilmenls are
made by unanimous deasion of the Trustees w((h interviews 88 T6Y4uired.
The Trustees have assessed the major risks to which the chaTIIy is exposed. The Trustees believe that by ensuring
controls exist over key financial systems they have estsblished effective systems to mitigate those risks.
OBJEcTr￿Es AND ACTIVITIES
The charitys objects are..
'Ihe relief of sickness among wofflen and the protection and preservation of the health of women particularty but not
exclusively al the Elizabeth Garrett And8rson Hospital."
In pursuance ol its objects. the charty's In¢omg, and, 8t the 8bsolute discretion of the Trustees, fts capital, is applied
in making grants.
In determining how the charity should pursue its objects, the Trustees have had regard to the Charity Commission's
guidance on public benefit and are satisfied that the Information given elsewhere in this reptsrt, particularfy regarding
the main activttie5 undertaken when read in conjunction with the charitable purposes of the charity, demonslrates that
the requirements lo identify public benefit have been met. In addition, the Trusteos ask that all requests for funding
demonslrale that they are for the public ￿nefit.
ACHIEVEMENTS AND PERFORMANCE
The year from Oclc>bei 2023 to September 2024 was characlerised by stability, followng a period of growth and
recovery from the effects of the COVID-19 pandemi¢. Our activiti&s and the number of grant applications received
werè similar compared with the previous year.
Our In¢omg from Invasbn8nts wa8 8180 stsble. We ale grateful for the continued involvement and support of the team
al Cazenove Capital,. they provided regular updates and personal contact with the charity. We have conlinued lo
receive small donations via Just Giving, and increased awareness of the Charity with leaflets displayed knroughoul the
hospital. We received no substantlal indivldual donations this year.
The Charty continued to provide grants in line with its obj8ctivès, as li5t8d in page 11. Grant expendsttjre in this year
was Slight￿ below exp8ctslions. ExpendilLtre on raisiTrJ funds was Ljnchanged lapprox. 6Vo of income) and support
costs remained stable.
Our grants emphasised patient ￿nfOrmatIon and involvement.. we provided an anatomlcal pelvie model to eKplaln
complex reconstructive surgery, supported an 'open day. for patients with rare developmental conditions, and CL
production ol a project on health priorities. We supported staff education through sponsorship of the dep3rtm6nt's
Page 2

THE EGA HOSPITAL CHARITY
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEFyfEMBER 2024
TRUSTEES. REPORT
annual o)nf8mnce, where the presentslion of audit and research projects induded I￿0 pre￿ou$ Charity award-
holders.
Our research grants included a study of poslparturn psychosis, the genetic analysis of ectopic pregnancies. and a
national study Df a rare but lile-threalening immune condilion affecting pregnancy and the post-partum.
The Research Scholarship initiated in 2022 continues as a successfLJI Charity project cdlaborating with the EGA
Institute for Women's He8￿h. 11 provides full university fees for the highesl-scorlng candidate in a comKEI(tive
application process, supporting their PhD in a top￿ fulfilling the charity's remit.
The Anne 8ouhvood Travelling Fellowship conlinues to be awarded annually,. this Fellowship enables a senior trainee
obslelrics alld gynaecology lo undertake 8 period of study overseas lo enhance their training. The Fellowship
attracts excellent applicants. and this year we sups)orted work in maternity seNices in Tanzania.
One ngwTru$lee was appointed during the year las planned in last year's report} lo improve financial and goveman
input to the ￿ard. Meetings of the Trustee board were held in person with facilities for online attendance. Our
administrator I secretary, Mrs Mana Peace, has provided excellent adminislrat(ve support for the Chair and Trustees.
Shg works forthe Charity on a part-time self-employed basis. She Ss based offsite, visiting th& offica whèn ￿qUired.
FINANCIAL REVIEW
The main income of the charity continued lo be that arising from the investrnenl portfolio which, during the year
8mount6d to £107,812 compared with £106.633 In the previous year. There were unrealised gains on investments of
£174,917 compared with unrealised losses of £77,225 in 2023. AI 30 September 2024 the investment portfolio was
valued at £2,463,43612023.' £2,294,456).
The Trustees consider that the investment portfolio is prirnarily to raise income for the charity, bul part of the rapitsl
may also be required rn the foreseeable fLJture to fLJnd ¢haritsble expenditu￿. The Trust therefore seeks to produ
the best financial return within an acceptable level of risk and lo aim for capital growth in excess of inflation and 8
stable, gi()wing incomg stream.
Grant exp8nditure, lo whi¢h rtrferen¢e is made in the A¢hlevements and PerformanTr section ofthis report and in note
4 to the accounts, amounted lo £83,21312023.' £110,440) with grants written back of £16,29112023'. £1,226) other
èxpénsès Smounting to £19,12412023: £17,494) giving toial Charitab￿ expenditure of£86.046 {2023'. £126,708). The
charity uses office space provided free of charge by the hospital.
The reserves policy is lo have sufficient Current assets al all limes lo enable the charity to meet ts ongoing
commitments. Al 30 September 2024 these current assets amounted to £55,03912023'. £31,478) of which £nil12023'.
£nlll was reslrlcted al the balan(* sheet dale.
PLANS FOR FUTURE PERIODS
The charity wll continue to provide funding for a wide range of projects wlhin the remit of the charity's objectlves.
We plan to run the'lnnovatlon Fund- Dragon's Den" again in 202412025 to involve hospital staff with good ideas for
local projects contributing lo patient care. We will continue the successful initiatwe of the EGA Ch8rity Research
Scholarship and our well-established Travel Award.
Having updated the Ch8rily'8 logo, and rewrttien our promotional literature, we need to disseminate information Dn the
Charity and also establish a stronger presence in the hospital to encourage fundraising. Historically, our expenditure
oll fundraising h85 been modèst, almost enlirtrly con¢enlrat8d on managlng our investments to achieve income.
With the assistance of OUT new Trustee, w6 will roview and update our governan¢e processes. our risk a&8essment
and operaling procedures. We will consider the roles and skill-sets required on the Trust board. and may need to
revw and update our Trust de￿1.
Page 3

THE EGA HOSPITAL CHARITY
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2024
TRUSTEES. REPORT
STATEMENT OF TRUSTEES, RESPONSIBILITIES
The trustees are responsible for preparing the Truste¢s' Report and the financk818tatetnenls In accordance ￿th
applicable law and United Kingdom A￿ouNting StaTrdard5 (United Kingdom Generally Accepted Accountin9 Practic•l.
The law applicable to charitses in England & Wa￿$ requires the tnJst¢es to PF8pare finan￿81 Statements for each
)Inanual year ￿[ch give a Iwe and fair view of the state of 8ff8ir5 of the C￿rty and of the incoming re$our¢es and
application of resour￿$ of the charity fr>r that period. In preparing those fin￿cial statements, the trustees are required
select suftable acec¥2nting p(1￿1&S and then appty t1￿M consistenly,.
tsb5e￿e the melhods and principles in the Charitse5 SORP..
make judgements and estimates that are reasonable and pruderst.,
st8te whether applicable accounting standards have been lollowed, subject to any rn*orial departures t*s¢losed
and explaned in the ffinancial 5tatements',
prepare the financial statsnllents on the going concem basis Ltnle3$ It￿ irsappropr4gieto wesume thatthe charity
wll continue in operation
The trustees are rasponsiblp for keeping proper accujnting record$ thal dk8close with Teasonable aeeuracy at any
time the finanaal position of the tharity and e￿a￿t them lo ensure that Ihe financial statements compty ￿1th the
Charities Act 2011, the Charity (Accounts and Reports) Regulations 2008 and the provisions of the trust deed. They
are also ￿ponSib￿ forsafeguarding Ihe assets of the tharity and hence fortaknng reasonable steps lorthe prevention
and detecb'on of fraud and other i4Tegulariti¢s.
Approved by the trustees and signed on thelr behdf.
elanie Davies
ChaiT
Page 4

THE EGA HOSPITAL CHARITY
UNAUOITED FINANCIAL STATEmE￿rs FOR THE YEAR ENDED 30 SEPTEMBER2024
INDEPENDENT EXAMINER'S REPORT
Independent Examlnefs Report to the TNStees ofThe EGA Hospltsl Charlty
I report lo the charity trLkStees on Tlly examination of the 8¢counl$ ofthe ¢h8rty forthè ye8rended 30 September 2024
which are set out on pages 6 to 15.
Rgsponslbllltl•s and basls of rèport
As the charty's trustees you are responsible for the preparation of the accounts in 8cwrdance wlth the rgquirements
of the Charities A¢t 2011 Ilhè Aci'l.
I report in respert of my oxamination of the chartty's accoLJnts carried out under section 145 01 the Act and in Lxrying
out my examination I have followed all the applicable Directions given by the Charity CotTmiSSiOll under section
14515llbl of the Art
Independent examSn¢rf$ statsm•nt
I have completed my examlnation. l ¢onfimi that no material matters have come lo my attention in connection wf(h the
examinatiDn giving me cause lo believe that in any material respect..
accounting records were not kept in respect of the charty as required by sedion 130 of the A¢X', or
2. the accounts do ntst accord wsth those records." or
3. the accounts do not comply with the applicable requirements conceming the form and conlenl of accounts set
out ill the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts
give a 'true and lair view, which is not a matter considered as part of an independent examination.
I have no oJncems and have come across no other mattèrs in ¢onn8ction with the examination to which attention
should be drawn in this report in order lo enable a proper understanding of the accounts to be reached.
Geoffrey
BsrlHonsl FCA
Blue Spire Linwted
Cawley Priory
South Pallanl
Chichester
Wesl Sussex
P019 1SY
Date
Page 5

THE EGA HOSPITAL CHARITY
UNAUDITED FSNANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2024
STATEMENT OF FINANCIAL ACTIVITIES
2024
Total
Funds
2023
Tot•1
Funds
Unrestrlcted
Fun
Rgsl¥r¢¢ed
Fund
INCOME ANO ENDOWMENTS FROM..
Donallons and legaci83
Itwe8trn*nls
2.043
107.812
2,043
107.812
4,251
106,633
Totsi
109,855
109.855
110,884
EXPENDITURE ON..
Rai￿n[ funds
CharR8ble actlvtti26
6,185
86.046
6.185
86.046
6.145
126.708
Totsl
92.231
92,231
132,853
Ntst 98in9100ssesl on inve5tmeDts
174,917
174.917
[12,2251
Not In¢0moll•x￿nd1iUrel
192,541
192.541
194,1941
TFansfer¥ b8fvn funds
11
Net m•v•mont Sn ftEnds
192,541
192,541
194,1941
Re¢on¢lliation of lurLd5:
Total funds brought forvrd
2,325,934
2,325,934
2.420,128
Tolal fvDd5 carrled fDrward
11
2.518,475
2.518.475
2.325.934
The charity has no re¢o3DLsed gains Or1￿￿$ other ihan those deahwilh in tre $18temgnt offtnandal a¢UvltsBS.
Page 6

THE EGA HOSPITAL CHARITY
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2024
BALANCE SHErf AS AT 30 SEPTEMBER 2024
2024
2023
FIXEDA3SETS
vesbvents
2.4t3.438
2.294.456
CURRENT ASSETS
Cash $1 h*Dd 8nd in
Tolal cunent assets
143,116
URRENT LIABILITIES
cr￿rt0[s.. w￿h￿l￿
88,077
80,630
Not ¢￿rr¥￿t #¥S•Isllll*bll￿•l
S5.039
31.478
MètM8etslllIabll￿frj1
2.51B.475
2.325.934
TIIE FUNDS OF7HE CHARITY
ROSt￿ted ftsnds
Unre5trtGt￿ fu￿8
10, 11
2,518.475
2.325,934
Totsi chRrftyfunds
2A18.475
Z.325.934
The n￿£$￿ paoes 10 b) 15 *rrn p8rl olthefi1anc￿ staternents
rovtsl by￿ oTrui*bah*LI
D8¥les
Page 7

THE EGA HOSPITAL CHARITY
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2024
ACCOUNTING POLICIES
Gpneral inforrnation, scope and basls of the rtnanGial slatpments
ThB EGA Hosphal Charity is a rEgislBrgd ufilnc0￿O￿￿1sd charity, established under a tsust dgad, in England and WalBs. Th9 address of thtr
principal office is gwen in thg charity inforrnalion of Ihe&e finanNal &takments 8nd Ihe ll8tLJre of the ch8rW$ op8ralk)ns gnd principel
act1￿1[8$ are detalkd In the INstees' report.
Thè charty tr)nsUlulaS a publK befigfit enuty as dtffnèd by FRS 102. Th¥ financkl $tatomènts havtr bÈèn prèpared In accordance with
A￿￿￿ting gnd Reporbng by Charities.. Stal8rnenl of Recommended Pr￿ce applic8ble to charities prepgring their acwunlg in aLrordan
IhE Fln¥nd81 Reportlng Slandarf ¥ppll¢abk In the UK and Rtpvbll¢ of Irek8nd L%sued In October 2019, Ihe Flnandal Reportlng
Standard applI￿*￿e in United KtrvJdDtn and Republic of Irpknd IFRS 1U21, th? char￿e& Act 2011 and UK GBnerally Ac¢èptsd
A(tounlng PractKe.
The finandal $latern8nl$ are prepar￿ on a going ￿ncern ￿ts1$ underlhe hislori(xl (x)$1 eonv8nlk)n, tmdrfwl to Include eertaln Itéms *fair
valve. The financ￿1 stslemenls are presented in slerfing which is function81 ¢urren¢y of the ch8rrty and rounded to the Trearesl £
ThB sionlff¢4nl 8e¢ounllng poli¢10¥ applièd In the pr8p8ration of Ih¥se finan￿8] stsiem8nts arè $81 out below.
Stat8Thont of cash fJow$
ThB charity do&s not I￿￿ude a (zsh flow s18ternenl on the groundsthal app￿￿9 FRS 102 Sedioll 1A.
In¢omlng rn8our
All In￿MIng resource5 are induded In the Statement of Financial A￿VFtieS ISOFAI when the charrty is legally entiued to the Income after any
performanc8 condllons have bean mel the amount can be mg8sured re118bly and11 Is prob8bl• that the lttomeWII bg rece￿$￿.
For ¢onalon$ lo be recog￿$8￿ the Chadty ￿11 hawe bean rnO¥fi￿ of Ihe amounts and the settyomenl data In wrtting. If Ihare are ￿ndItIOnS
atk¢h8d to th8 donatlon and th18 requlres a18vel of perfoman¢e before entlyement can be obt8lna then Income is deferred unlll those
Gonditiofis aFe fulty metorthe fu￿lIMent of those condilK)nS 15 within Ihe control of the Charity and it is probable Ihalthey ￿11 b8 fulfilled.
Investment Inwme 1$ earned through hddlng ag8e19 for Investmgnl p￿￿Ose8 suckn as shares. It Includa5 ￿￿1￿8ndS an(f Interest. Is
not pA¢kn¢ablè to Identtfy inV￿ment management costs in¢￿￿red wlhln a sth&me wllh r68s0nable ac¢ur8¢y the Investsrenl Income is
reportett nel of these rA)sls. It is included when the amounl ran be measured relK4bty. Intere51 inGome is recognis&las the chariws right to
re¢ofve payment Is gststdlsh8d.
Resources expended
All expendthre is attount￿ for 8n 8¢Gr￿LI ba￿S Bnd has been d8ssffied und8r ht&ding$ that aggrtgal• all eosts relat8d to the
category Expenditu￿ is re￿nisEd where there 15 a legal or construct￿e oblvJation lo rnake payrnenls to third part￿s, il is probaNe that the
setuement ￿11 ba requlred 8nd the amount of th8 obllgafjon can be m8asured rellabty. 11 1$ c8lèg¢rfsad undér thè folk)¥vlng &X￿nd￿￿T$
headlngs..
Ralslng funds". these lrtludtr Invastmant managamanl faes charoed by th• ¢hadty* Inveslmènl manag8rs
Cherttsble ¥￿￿tte5., these Indude gr8ntsto thlrd p8rtEs and Ihe cosis of adrnlnlstering Ihe charity indusive of governance costs
Grdn15 payable lo third partE& are within Ihp charitable objeGtives. Where uncondilK>nal grdnts are offeFBd, this 15 a￿tued as SDDll as the
reC￿len1 19 notsfied of Ihe grant. as Ihis give5 rise lo a r￿aSon5b￿ expeclBton Ihat the reciplent wlll recdve the grants. Where 9iants are
IIKJn81 r￿8￿ng lo ptrrfom)an¢8 then the y￿rtl ￿ only 8¢¢wed when any unfulfllled ¢ondillon$ are outside of the Contr￿ of the ch8rny.
SwpDrt and governall￿ rA>sts a￿ those that assist the work Df ihe Gharity bul do not LlreGtly repr&seni chatitable activities. Thèy are
Incurrad diredy in support of axpbndilure on the ol¥ects of tha tharty G0￿M￿ncec0Sts are Ihose hcurred In the goveTnanceof Gharty
and primarily a￿￿8t&d the unsbiuuon and 8taiLrtory reqUir￿8n￿.
VAT
The charity is not Tegk%lered for VAT and is unabie lo recovei VAT IncutT8d. On thls ba8Ls CD51$ arp rt¢orded In￿￿$￿e of VAT wrfhin the
SOFA
TaxAtlon
Tltr Chartty Is Sn gxempl Chaiity wlthln the m•anlng of s¢h$dule 3 ofthe Chariues Ad 2011 and 1$ ry)nsKlered to Pa59 the tests sel out in
sectK)ns 52110 536 Income T8x Act 200Y IITA 20071. such nD in(xime tsx is payable on the Ch8riVg acti¥i1189.
Page 8

THE EGA HOSPITAL CHARITY
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENOED 30 SEPTEMBER 2024
ACCOUNTING POLICIES
Inveslfflenis
Investments are recrynised Inl1￿1￿ at Igir value whlch 15 normally the trgnsgc￿Ory pri￿ eX￿U￿lng transacllon costs. Subsequently. they are
measured al fair value wlth ¢hanoes recognised in'nel gains I Ihjssesl on Inveslmeni$' In the SOFA rfthe shares ar6 wblth tra&ed or their
fairvalue can olheThyise be measured reliably. Other investments are measured at ￿st th iFllPBiTmenl.
There Inveglments are demminaled In cU￿end&S other SlorfirvJ. transactions are trans19ted at the r8ie prevalling al the Oats of the
tsansaclion and year end values atB calGuL4lad u￿ng the Bxchange rale prtrvailing al th8 y8&rend.
D•btorts receivable and crtdltors payable wrfhln year
Debtor5 and creditors Yiilh no 51aled inleresl rate and re￿1vable or payable within one year are recorded at Iran5acbon p￿. Any losses
art$ing trom ImpalrmeDI are recogni￿( In expendlture.
Ca$h and cash wulvalents
Cash and ¢ash touNa￿nt¥ Includès cash al bank and In hand and cash balan¢as within Iha Investment portfollo &vallable for Investm￿t
transaction purFK)ses.
Fund a¢¢ountl#
Unr8slrf¢itrd Ints)me funds are av8llabl8 for use at th8 di4¢r8llon of ihe Irusle8s In futherance ol the gen8￿ obJ8ctW of Iho ¢h8rty and
whlch have fiot bpen for other putP05e5.
Restrcted funds a￿ fvnd6 which are lo be used ID awordanGe Y4ith Sp￿￿ re5tticts￿5 itllposed by donors orWh￿h have been by
the ch8dty for partkular purpo￿. The ￿81 of ral8ing and admlni¥ledng such funds are ¢haroed ag8lnsl the Sp￿[￿¢ lund.
Golng ¢onGem
The financial sial8ments hav8 been prtrpai8d on a 90iry GorKern basis as Ihg Im$laBs believe that no maierial untsrtaintips exist. Tho
trustees have considered the level of funds hgld and the expected lavel of Incom6 Bnd expendtture for 12 months frotn aulhorising Ihes8
rinancial stskments. The budgeted ino)me and 8XP8ndilut8 Is $ufAwnl with th8 level ol re8eryes for tho ch8rky lo be 8ble to continue 8s a
going concem.
Pagè 9

THE EGA HOSPITAL CHARITY
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEvfEM8ER 2024
NOTES TO THE FINANCIAL STATEMENTS
l. DOna￿on$ and Wcles
2024
Totsl
Funds
2023
Tofal
Funds
UnrgstrtctBd
Fund
Roslrlctod
Fund
Unr•strf¢tod
Fund
R&strfetod
Fund
Donalons to Irust
2.043
2.043
2.043
2,043
4.251
4.251
4,251
4,251
2. Ineomefrom Investmènts
2024
Totsl
FundB
2023
Total
Funds
Unrostrlet&d
Fund
Rèstdctèd
Fund
Unr•strictad
Fund
R￿A￿tt0￿
Fund
InccxnÈ from investrmenl AsseL8
Intere61 on (xBh deposits
102.779
5,033
107.812
1￿.779
5,033
107.812
102,683
3,950
106.633
102,S83
3,950
106.633
3. Raislng fund6
2024
Totsl
Fut)ds
2023
Total
F￿n￿$
UnrestrtctBd
Fund
ReBtrkted
Fund
Unrestricted
Fund
Restricted
lTrvestm8nl Tnan8gementfees
Done￿￿ and fundra1$4ng plattom
5,969
216
6.185
6,969
218
6,185
5,929
216
6,145
5,929
216
6,145
4. Ex￿ndItU** on ¢harft•ble a¢tlvltl
2023
Totsl
Fund$
Unrpstrirtfj
Fund
Re8tricted
Fund
Totsl
Funds
Ro¥trl¢tgd
Fund
Fund
Sran15 awardpd15qF nDl8 51
Grants wntten back previou5 years
Support and govetnance costs
Secretarial *gBs
o(riEe cost¥
Branded resources
EGA Hospital boaTdroom project
IndependeTrl 8xaminef9 faas
Tfu51ees' m8eljng expenses
83,213
116,2911
83.213
84,182
11,2261
26.258
110.440
15.600
902
536
429
1.500
157
86.046
15,6QO
902
536
429
1.500
157
8S,046
15.30D
542
15,300
542
1.50D
152
100.450
1,500
152
126.708
26,25
Page 10

THE EGA HOSPITAL CHARITY
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2024
NOTES TO THE FINANCIAL STATEMENTS
& Grants awarded
2024
Yotal
2023
Total
Fwids
gS•
&idlo
CL
parthenl81 ann￿[ wnf8renc&- De¢8mber2023
D•partm•nlal annual ty)nfarence- 61h De¢8mbw 2024
Donaibn to Fttsl Unlt
DvJFtal de¢ision-making tool for prenatal genoiic %ra8nin9
Enharring the walllng experience In gynae¢olooy
Genellc Analysis of eclopic pwnancies
Improving ￿nSe￿tt0 3gYSted vagin81 birth and episiotomy
Improving pabenl information and f8edb8¢k In the Fatal Mediclne Unll
LED swights in the Fetsl Meditine Unit
Menopau$0 rose8r¢h priorlly setbng partnershlp
Open Day DrfF8r8nces of SUA Development
Opbmlsing he?Ith in pregnancy
Paintings in hO5￿1aL%
Pe￿1¢ model
Prtrconceplion he8tth rese8r¢h prtoThtses
Psychoknglc81 Impsct of surglcolly n￿naged Caesarean Ecarectoplc
pregn8nc4trs
Rèfurbishtntnl of tho mal8mity ￿r￿8VeMent ¥ul18
Research stholarship winner 2022 IUCL fees)
R•Sear￿ scholarshlp wlDn8r 2023 IUCL fee$l
Researth stholarship winner 2024 IUCL feBsI
Support CDuThse May 2023
Tre Care ¢up￿ard
The Sleep. cLor* gEnes and Educa%Eon In Pos#)artum Psych0515
ISLEEPPI Study
UK SUTvey of HaemophagoGytic LyMphohlstiocyto￿S in pregnancy
and posi=p8￿M
Website for Matemal m￿d￿ne $6rvic8
5,5rK)
5,5C
26,25B
10,$00
1.749
10.642
1,000
2,994
5,000
7,525
2,524
3,0
7,680
1.788
4,950
12
213
S.ODD
3.238
1,154
2.930
5.860
2,930
1,ofKJ
750
11.900
29.169
3.000
5.440
78.213
Gtsnts lo Indivldu81s
Anne 8outwood Awa￿ Winner 2022
Anne 8outsYood Award Winner 2022
Anne 8out%Yood Award Winner 2023
Anne Bou￿o¢d Aw8rd Winner 2024
Anne Boutwood Nnner-up 2023
Anne BouMood wnnfrr-up 2023
s.ofM)
5.000
5.000
5,000
5.000
25.000
83,213
110.440
Page11

THE EGA HOSPITAL CHARITY
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2024
NOTES TO THE FINANCIAL STATEMENTS
6. Indepbndfynt examlnorf8 fees
2024
Total
Funds
2023
Total
Fund$
Unrv$trfdBd
Fund
RBstrictqd
Fund
Unre&trfctsd
Fund
R?strictsd
Fund
Examintrl8 f8¥¥- ￿￿r￿n1 year
1,500
1,500
1,500
1,500
1,5
1.500
1,SDD
1.5DD
7. Staff ¢o¥t8 #nd r¥latod party ￿n8*¢tIOna
Tre ¢harKy has no ernployees wllh the 8dmSnSslrnlbn belng ¢arrf¢d out by thtr INsiee¥ and an lndlvldu￿ on a sdf empbyed ba¥i5. Thgse
costs are included 8$ secretarial cosls ￿lhI￿ note 4.
No remuneration was pad nor gxp£nses relmbur5ed to tru5t8es during the year under re￿eW or the (x)rnpgr8tive yeor. Durfng thg yeBr £157
12023. £1521 ol Costs are Incurred by the charty in rel8tyon to Iwslee's meetings. Durino the ecmparati¥e year. no fees wtrrn Incuff￿ by Ihtr
harity in r8laboll lo IFUStse5' tneelirrfjs.
l. Flxed as8Ot Inv¥stsmonts- Managed funds and ¢a¥h
Managed
funds
Cash
a¢¢owits
2024
Total
Managed
fund8
Cash
a¢¢oun¢8
2023
Total
BrLHJght
2,291,242
3,214
2,294,456
2,363,467
134
2,383,601
Oisposals at pro(xeds
Ch¥ng¢ in m8rto1 value
Movement in cash aGcounls
15,7971
174.917
16,7971
174,917
172,2251
172.2251
3,080
2,294,456
11401
3.074
3,08
3.214
2,460.362
2.463,436
2.291242
GaIn￿lI058eS} on inveslrnents
174,917
174,917
174,917
174.917
172,2251
72225
172,225
72,225
9. Cr•ditOTS= iThounts lalling due within one year
2024
2023
AcGruals
Grant$ payable
3,033
85,044
88,077
3.WO
77.630
80.630
10. AnalysI5 of n•t as50ts botsmpn hjnds
2024
Total
Funds
2023
Total
Funrt8
Unrestrlcted
Fund
Rostrfcied
Fund
Unrestrfcted
F￿n￿
Restrtcted
Fund
Flxed assets investments
Net ¢￿T￿ntas8ets
2,463,436
55,039
2,518,475
2,463,436
55,039
2,518,475
2,294,456
31,478
2,325,934
2,￿4,458
31.478
2,325,934
Pagè 12

THE EGA HOSPITAL CHARITY
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2024
NOTES TO THE FINANCIAL STATEMENTS
f1. N*t movtmwt in fvnds
YearendBd 3D soptwnber 2024
Total
Transfers
rA$ou￿9¥
expenthd
TDtsllund5
brought
rpsourcE5
Total
In¢offllng
resources
GaIn￿[lO¥S05} Totsl
on Invo$tmont
arrled
assets
forward
funds
Rthded fund8- Felal Medl¢ine
UnreslrfGtsd funds
2.325,934
2.325.934
109,855
109,855
192,2311
192,2311
174.917
174.917
2,518.475
2,518,475
Yearer)dEd 30 S tern￿r 2023
Tot41
Transfers
G8lnglllrJsse81 Totsl lund¥
bptweeTr on investrnent
arried
funds
8880ts
lorward
Totsl fund8
brought
T¢lal
Incoming
ro80u￿•S
resources
oxp8nd•d
Restncled funds. Felal Medicine
Unr8siricEed fund8
26,258
2.393,870
2.420,
126.2581
11(hS,5951
1132.8531
110.$84
110,884
172.2251
172.2251
2,325.934
2,325.934
Descrfpllon offlunds
Restnclgd funds. Fetsl Meditsne
Funds r@cer￿d to prowdtr yrants In th& are8 of fatal medidn&.
Page 13

THE EGA HOSPITAL CHARITY
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2024
NOTES TO THE FINANCIAL STATEMENTS
11 Finan¢ial in$trum•nts
Tre (3ryng amounts oftht ehantys f￿8rLcK￿1 InStru￿ents ar9 2$ folbws".
2024
Total
Fund$
2023
TDtal
Funds
FIR8nclalassels
Measure¢ al tsirvalue through net 1rWm￿(eXpe￿(JItureI'.
Fixed asset inveslm8nls
2,463.436
2,4$3.436
2,294.45
2,294.45
The In(￿0. gxpen89. nel gslng and net kn9999 ￿t￿b￿labl6 lo the charty5flnoncS91 instNm8nts arg summarlsod asfollows..
2024
TotAI
Funds
2023
Total
Funds
Income 8nd•xp8ns*
Fln8ncial awts Measur￿ atfatrvaluo through rtsl IncJ)mellexpendfturel
Inveslmenl income
Inveskneni manag6manl fees
102.779
15.9691
96.810
102.683
15.9291
9fj.754
The incoTre. expense. net gain5 and nel hsse5 atlributable lo Ihetharivs financial ins*rumenls are 6ummaris8d as follow6..
2024
TDtal
Funds
2023
Total
Funds
N8lb78lns 8nLllosses (Induthng ¢h8nge5 In 181rva￿@j
Fln8ntyal assets me&sur￿ 81181r value through net InCtsmellexpendKu￿l
N&1 9alns1llDs￿I Dn Invèstments
174.917
174.917
172.2251
172.2251
Valualh)ns use prf¢8$ obwfted from an Independenl prlcing sour￿. The pr1￿ type used msy vary depending on a6s81 cla55 and liqulLIty
SDufc8. Fund&funil trusts are g8neially prtcad on a nel asset value basls. SIDJthured produ¢t$ are valued on 8 mark lo market b894s.
Unquoted investments are valued in aGcordanca with th8 International Private Equty and Venture Capital valualk)n ouldelines or hEld al cogl.
Invesbrents where a pri¢0 Is nol readlly avaiLgble, ￿21 a￿ hehl In an 'execuUon-onV' portlollo, will be shown at the last publidy availab
prKe unul nolthed 0lhe(wise.
Page 14

THE EGA HOSPITAL CHARITY
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2024
NOTES TO THE FINANCIAL STATEMENTS
13. Comp*rativ• 8t•t¢m$nt of ￿ThIn¢la1 a¢tivlfjes
2023
Total
Fullds
Unrestrtcted
Fund
R8strtcted
Funil
Not•
INCQME AND ENDOWMENTS FROM..
Drnations and legacie
Investments
4,251
106.633
4,251
106,033
Total
110.884
110,884
EXPENDfTURE ON..
Rasiw funds
CharK8bb aUlvtti6s
6.145
100.45Q
6,14S
126,708
26,258
Total
106.595
26.258
132,853
NÉtgainslllos58sI on Investmènts
172.2251
172,2251
Nqt Incomellexpenditurel
167.9361
126.2581
194.1941
Trdnsfer8 between
Net movement In lund
167,9361
126,2581
194.1941
R¢¢onc1lla￿0D of tunds=
Tot81 funds bTought forward
2.393.870
26,258
2,420.128
Totsl funds CaTh1￿ fotwaTd
2.325.934
2.325.934
Page 15