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2023-03-31-accounts

CONTBNTS
Introduction
Trustees' Report
Movetaent
in
Consolidated Ae~d Funds
Consolidated Statetnent of Finance~s
Consolidated aud Contpany Italanre Sheet
Notes tothe Ffaannlal statements

The~ curse!sly bas
Intel'Jladorraj Ied (Company
one subsidiary
company;
through
which
it ful
nul1ken N72032).
one subsidiary
company;
through
which
it ful
nul1ken N72032).
Registered o%cc ~bSss ion Hospiud
19T~ie Gardem
I4stdon II2 7'
Auditors: Shotra%udrop
CA.
Chariot&use
Qratteres(Arcrmtnauts
A Cvrsndpasa!(s
"
and ye@'stared Auditors
on@49~
UKBankers Itoyalllardtof
Scotland
Londett St'Jyiaiy Ase OBiee
54Lit!reStseet
London RCSM7NQ
Investment M~ CCLAInvesunent
Managerrent I.imited
80Cheapside
Londorr
EC2VADZ

Trustees
The uustees serving during the year and since the year end were:
Chair ofTrustees John Richardson
Trustees Ros Furlong
BanyRowm (died 1«April 2023)
Caml Stone
Anhew Wanilow
Naggib Chakhane
Anthony Curwen
Lorna Priddle
Anchew Wiles (resigned 26"April 2023)
Laura Hayes
fan Clark
Peter Brunskill
Company Secteeny Geoff Coleman

General Re std cted Total Total
Fund Funda Funds Funds
2023 2023 2023 2022
+000 @000 F000 @000
Balance brought foswatd at 1Apdl 2022
Net (deficit) /surplus
in year
5+49
(248)
106
(57}
5,855
(Z86)
5787
68
Balance canied forward at 31~2023 5,501 69 5,569 5,855

CONSOLIDATED STATBMBNT OFFINANCIAL CONSOLIDATED STATBMBNT OFFINANCIAL CONSOLIDATED STATBMBNT OFFINANCIAL ACTIVITIES ACTIVITIES
(Incorporating
Income and Bxpendftute
Forthe peat ended 31March 2023
Account) Uurestdcted Restricted Total Total
Fund Funds
2023 2023 2023 2022
oooo A"ooo oooo
INCOMING RBSOURCBS
Douadons,
gifts and legacies
Acdvities in furtherance
ofthe charity's objects:
Con~ and, grant income for provxfjng
healthcare 3,761 3,761 3,160
in the UK
Contractual
and gtunt income for providing
uaiaing ~onaify
healthcare aud 437
Imtesnnent
and itnerest income
Other income
Total incomieg resoutrm
(Note 2)
4,010 4,027 3,875
RBSOURCBS BIIFBNDBD
Cent ofgenetating
funds'.
Fuudrming
and pukhcfty costs
Chadtahle~
UK resideudaf
beahhcare
4,162 97
4416
3~4
Total expended esoutcces (Note 5) 4259 54 4P13 3,807
NBT OPBRATIONAL (OUTGOING)/INCOMING (249) (37) (286)
RBSOURCBS
Ttauder htatveen Funds
NBT MOVBMBNT IN FUNDS (249) (37) (286) 68
Total funds brought forautd at 1April 5,749 106 5,855
Total funds carded fortsutd at31Match 5/00 69 5W9

At31March 2023
BA LANCE SHE T
Notes Group MMH Gmup MMH
2023 2023 2022 2022
~ASSETS @000 +000 sr'000 st„"000
Tangible assets
Investmeras
4,098 4,098
150
4,141 4,125
150
4,098 4/48 4,141 4,275
~ÃT ASSE'TS
Debtors
Cash
10
11
899
1,376
89,9
1376
340
1,964
338
1,766
CREDITORS: Amount falling +75 2~5 2304 2„104
due within one year 12 (803) (953) (590) (524)
NET CURRENT ASSETS 1,472 1@22 1,714 1,580
Total assets less current liabilities 5,570 5,570 5,855 Sr855
RESERVES
U~ funds:
General fund
Desigttated funds:
14
14
1,403
4,098
1,253
4/48
1,6
4
08
41
1s624
4,125
Total umesnicted
funds
5/01 5,501 49 5749
13 06 106
14 5J70 5, 55 5,855
Appmved
bythe Board of
Trustees on Q ( tc 'Ilare 4- lt 12

CONSOLIIIi5TEO CASII PLOW STATEMEPV CONSOLIIIi5TEO CASII PLOW STATEMEPV
Forthe year ended 31March 2023
Notes 2023 2022
+000 @000
Net cash iuAow/(outflow)
activities
fmm operating 17(a) (513) 677
Retoms on investments and servicing offinance
Interest received
CapitaI expenditure
and
Snancial investment
Ilstrow account
Pure}me of tansihle fixed
assets (82) (45)
(5811) 632
Increase (Decrease) in cash (588) 632

2 INCOMING RBSOURCES Mildmay Mildmay
International Mission Total Total
Ltd Hospital 2023 2022
g000 Sr„'000 +000
Donations,
grants and gihs
163 163 255
NII Contract Income
Inremational
conttact income
Invennent
and interest income
Other income
87
3761
87
3761
7
9
15
3,160
437
8
4,027 4,027 3,875
Split by geographical
region;
UK
Ovetseas
4,027 3,438
437
3,875
Spic by6Ãdst
~esl
Resumed
3,413
462
4&027 3,875
3 RESOURCES EX5'BNDFJ3
Staff 13ltect Allo ostent Tstai Total
Cotita Coats Coasts 2085 2032
pnbhcity costs
UKretltIe~'lkaMteam
UK 'atinit day aam services
~nal
Alliance Sttppott
TlteMStbte~~
Vgancla
@000
54
1,824
g0(10
5
505
+900
58
1,887
g000
87
4/16
@000
96
3/74
T~kQnsnlctncy
-
Kenya
Snppott costs 952 973 (1,925)
2„830 1,483 4,313

3 RBSOUECBS BXPPPG)ED (coot}
~Resources
Information
Tedmology
~Services
Bullefi'nS Services
Finance
Depreciation
Staff
Costs
g000
72
349
416
116
Direct
Costs
g000
43
115
236
454
15
109
Total
2023
g000
115
115
585
870
131
109
Total
2022
gOOO
90
87
369
716
103
99
953 1,925 1)464
2022
Tbe above costs inciudet g000
Audhms' re~tfora 13 17
An't ofchadty 5
t)ntc(it of overseas projects 99
Depreciation
yr)ss onDisposal
Excfstny.'rate lose(prufhi
2022
4 STAPP COSTS g000 gOOD
27KI7 1)482
Wa5es andsabtries 143
Socialsecsnty 190 168
Other pension costs 767
ASenuyfqes
and other staB related costs
2,830 2460
The nmuberof
staBvkose emohuuents
forthe year exceeded f 60000vras: 2M2
Number
1
f;60,001- 1; 80)600
$90,001-f100,000
1

2023 282»2
Number Number
Patient narc —lVSdrrsryHcepltai
UK
Aduw4trlalon
anc}support -~Hospital
Patient care and trafnfug -international
Administration
@xleuppott -~ouai
~iing
and pubbcfwy
Governance
and adtnhttstiation
UK 72
1
66
4
19
4
1
1 1
79 86

1»Itidmay Xiltbnay
1V6ssion Intetnatto Total Total
r
ital
'SSO
nal Ltd
Siva&&
2023
Qrwlit
2022
gt}NI
Total
Total
income
espenditure
4,027
(4313)
4,027
(4,313)
3,875
(3,807}
(286) - (286) 68
(286) - (286) 6&

2023:f;933(2022:f83
TANGIBLE FIXED
7)
ASSETS
Fbrtutes
Vehicle arrd Fittings
Group $900 @gag gaas
COST
At 1Apnl 2022
Additions
Disposals
(58) 38
(9)
182
20
(73)
5,02'1
82
(140)
At 31 March 2023 4/43 129 4,963
DEPREQATION
At 1Apnl 2022
Charge forthe Iear
Dispos alt
(2) 61
At 31March 2023 (767) (12) (88)
NET ECIOK VALUE
At 31Ivtarch 2023
3,976 43 4,t)98
At 31March 2022 57 4,141
SF1itofassets Iselk by country
Kenya
UK
3,976 79 43 4,098
Net book value 3,976 79 43 4,098
9 INVESTMBNTS INVESTMBNTS
Group MMH Group MMH
2023 2023 2022 2022
Balance ar,31Marcb 2023 @000 +000
150
+000 @000
150
DBBTOR S: A MOUNT S FALLWG D UBWITHIN ON B
Group Group MMH
2025 2023 2022 2022
+000 +000 @000 @000
Debtors 832 831 334 332
Prepayments and accrued mcome 08 68 6 6
899 899 340 338
MMH Group MMH
2025 2lQ2 2@2
g'000 +000 gaoo
4376 1@76 1,964 ir766
1476 1,376 trv66
2g07 1/07 1,858 1,660
69 69 106 106
4376 1,376 1,964 1,766

12
CRBDITORSt
AMOUNTS FALLING DUB AMOUNTS FALLING DUB AMOUNTS FALLING DUB WITHIN ONE YEAR
Group
MMH
2025
2023
WITHIN ONE YEAR
Group
MMH
2025
2023
Group
2022
MMH
2022
@000 @000 @000 @000
147 147 77 71
Sundry creators
Tax and social securhy
creators
Amounts
owed toMildurty~onai Limired
Accruals and ddern!dincome
93 93
150
563
72
441
69
100
276
803 590 524
13
RBSTRICTBDFUNDS
Balance Balance
1April
2022
Incomjug
Resources
Expenditure Transfer
between
51Matoll
2022
Funds
$800 @000
Contractual,
grant
trainmg
mcortlu
St 106 17
13
RESTIOCTBD~S
Balance
1April
2021
Incotntug
Resoutcus
Expenditure Balance
31March
2022
+000 gQOO @000
Cy~
grant
trauung
toeome
Oc 179 462 (535) 106

14 ANALYSIS OFTOTAL FUNDS
General De'signated Resnicted Total
Fund Funds Funds Funds
Fixed assets +000 g000 +000 g'000
Tangible
assets
Investment
Bsctow account
4,098
150
4,098
130
Cash 1,307 69
Other current assets 899
Current liabilities (953) (953)
Total funda 4448 Si570

Plant and machtstery
8028i Siet
g'000 @000

NOTES TOTHE CONSOLI NOTES TOTHE CONSOLI DATED CAS H F LOW STATEMENT
(a} ReconerTiation
of operating
activities ofthe group
(deficit) to net cash inflow from operating 2022
@000 +000
Net incoming
msources
(286) 68
Less Interest received (y}
Depreciation 109
Loss on disposal, oftangible fixed assets 17
Decmase/(Increase)
in debtors
(550)
(Decrease)/Increase
in creditors
213
Net
incomhtg/(outgoing)
cash from operating activities (513}
(b) Analysis of change m cash and cash
Balance at 1April 2022
Net cash inflow ss per the consohdated
equivalems
during the year
cashflow~
1,964
(588)
Balance at 31 March 2023 I/76

All o ther i ncome of the Gr oup is d erived from services provided inthe UK.
The assets discJoserl In the finandal statements ofMMbayi~ttal Ltd ate, 2023 2022
g000 ga00
&bc assets 150 150

22. CONSOLIDATED STATEMENT OF FINANCIAL OF FINANCIAL ACTIVITIES ACTIVITIES
For the year ended 31March 2022 Unrestricmd Restricted Total
Funds
Total
Fends
2022 2022 2021
f000 $'000 @000 ff„'000
INCOMING RESOURCES
Doaations, gifu snd legacies
245 270 325
Acdvtdes in fmthecsnce ofthc chsxity's objecu:
Contxactual
and grant iacame for pmvidiag
Ixeajtbcsre 3360 3,160 3,629
in the UK
Connactusl
snd grant income for pmviding
healthcare and 437 437 565
tadabxg intrms density
Invesnoent
aad loterest iacome
Other income
Total incortnag resoruces (Note 2) 3,413 3,875 4,525
RESOURCES EXPENDED
Cost ofge~ fends:
fentdudeng
and pubticby costs
96 139
Cbaritablo expenditure:
UKresidendsl
bealthcsre
3214 60 3r274
UK adab and children day~ services
Grant to Uganda —healtbcsre
Brtauning
Internadonal
training sttd consubxmcy
437 565
Total expended
resources (Note 3)
3/72 535 3,807
NBT OPERATIONAL (OUTGOING)/INCOMING
RBSOURCES
141 (73) 538
Txsnsfer beavern
Fun&h
NBT MOVEItfBNT IN FUNDS 141 (73) 538
Total frmds brought forward at 1 Apnl 5,608 179 5,787 5249
Total funds carded forxvrud at31March 5,749 106 5,855 5,787