REGISTERED CHARrrY IlUM8ER: 292643
Re
ort ofthe Trus
nd
Unaudit d Financial Staiemen
sfor
h Year Ended 31 Decernber 2022
ath
ort Grou
Moore
Charte￿d Accountants
30 Gay Street
Bath
BAI 2PA

Bath Cancer UnSt S
ortGr
ert5 of h FFn
tatem
for the Year Ended 31 December 2
Page
Report of ihe Trustees
Independent Examinees Report
statement of Financial Activitie5
Balance Sheet
Notes to the Finandal statements
9 to 14

Re
ort of the Twstees
forihÈY rEnd d31D
tember 2
22
The tnjstees p￿sent their report wlth the financial statements of the charity for the year ended
31 December2022. The trustees have adopted the provisions of Accounting and Reporting by Chartties..
statement of Recommended Practite applicable to charities preparlng their accounts in accordance wlth
the Flnanclal Report5ng Standard applicable In the UK and Republic of IrelarMI IFRS 1021 leffertive l January
2019}.
OBJEcfivES AND ACTIVITIES
Objects
The Charity's objects are to relieve sickness by supporting the work of the Oncoloky and Radiotherapy Unit
at the Bath Royal United Hospitals and other he3lth units (to Include, but not by way of limitatlon clinlcs,
surgerie5. and h05Pltalsl providing the same or similaf services for patients rn Bath and the surroundin8
area. In partlcular by raislng money to purchase equipment and provide fatilitles and serytce5 lindudin8,
but not by way ol limitation the financing of medi￿5 and other staff to provide additional care and also
additlonal staff tralningl (provided that the Charity shall not undertake any pemianent trading artivitles In
taising such monies) not provided ty the local health ?uthority or by any trust associated with the National
Health Service which administers and governs the Baih Royal Unlted Hospitals.
Actlvltles to fvrther the charity's objycts
To date, the charity has 5UPPOrted and funded a riumber of projects by the makirq of 8rants. Such grants
have been made following the eareful consideralion of each request.
Publlc beneflt
The Trustees have paid due regard to the CharFty Commlssion guidance on pvbllc benefit in deciding what
activities the charlty should undertake. The focus of our activities rèrnains the enhancement ol faclllties for
cancer pattents at the Royal United Hospitals Bath and other health units_ This benefit5, most importantty
patients but also visitors to and the stsff of these units. The benefits a￿ provided to people predominantty,
but not exclusively, living in West and North Wiltshlre, Bath, North East Somerset and East Somerset.
Page I

Bath Cancer Unit Su
tees
for the Year Ended 31 De
em
ACHIEVEMENT AND PERFORMANCE
Charitable activities
Durlns the year the charlvs Income amounted to £185.88512021- n6.2231. Legacles r￿e1Vable during
2022 amounted to £54,037 compared io £18.397 dijrlng 2021. Net a55ets at 31 December 2022 were
£307.69312021.. £132.6391.
With the covid epidemic ccTrntinuing durin8 the year many of the fund ralsin8 activrties in the early part of
the year had to be cancelkd or pollponed. Our volunteers and sUPPOrters responded so well to t￿ ea5108
of restrictions during 2022. raislng a very con51derable sum In the year. Wtth very low fixed costs, the
chgritvs finawal positiorl remains strDng.
The Positron {PEr-￿) Scanner funded by the Char5ty In 2016 at a cost of £1.2millttin. has exceeded the
expertations of the Constsltanrs both in temis of the number of patlents xanned and In the results
achieved. The 3(IXlth patient was treated durlng 2020.
The has alsD been involved In 10 research trial5.
Slnce this tharlty was founded In 1985 in excess of £5.3 mli lion has been ralse(l and spent owl provlding a
range ol facilities for canrer patients attendlng The Royal United Hospital including..
Refurbishing the OncoloEy reception and waltlng are8s11991)
- Construcrlng a day treatment centre fDr chemotherapy patients11994)
- Relocating Ihe cytoklgy Icervical smear) laboratory11998)
PurchastnE a second Linear Accelerator1211(All
- Constructin8 a new day treatment unit12CK)31
- Prov5ding the radioactive'seeds, ai the start of the Prostate Brachytherapy servte120041
. Setting up a Cancer Information Centre120061
. Construrting additional toikts foT patient5120081
- Constructing a quiet rt)om where diagngses Cdn be discussed12CI)91
Replacing ihe superficial x-ray treatment unit120101
Purchasing Terarecon aienl Image manipulaiion software120101
- Refvrbishing a quiet room In the Uro oncology deparbnent {2011)
Funding a contrast enha￿ed digital mammography facility12011)
- Purchase of 5 new patient trulley5 and 2 equipment trolleys120121
- Purchase of software to vlew scans120121
Page 2

r Unlt Su
ortGrou
Re
rEn
ed 31 Detember 2
- Purchase of Posilron IPET-CT) Scanner for £12 mllllon12016)
- Purchase of equlpment to support Positron {PET-cr) kanner120171
During 2018 and 2019, the Trustees agreed a fvnding request frorn the Cancer Unlt. This was to fund the
out of hour5 section of 8 24 hour Helpline for patients undergoing Chemotherapy.
Funding the Trial of Low Level Lasers in the Management of Oral Mucositi5 for Head and Ne¢k Cancer
Irradiation120191
Purchaslng 2 real Tlme Posltion Management Resplratory Gatlng Systems12019)
Initial payment toward5 an Upgraded Solid State Gamma Camera 120191. A further payment of £lOO,000
was made in 2020 10 fund the purchase of a Veriton Gamma Carnera, the first in the UK.
Construct1￿ a aulet Room for the Palliative Care Team120191
- Purchasing è Portable Ultrasovnd Unit and Vascular Doppler plus Probe forthe Breast Cancer Vnit120191
The charity continues lo be run onty by volunteer5. Consequently. a very hlgh proportlon of the funds
whlch are ratsed each year aTe available for improvlrtg facilities. An average of 91>95% over the last 5 years.
Tiowtrldge Brnnfh
Since 1988 the charlty has benefitted from the fund ralslng activities of its Trowbridge 8ranch and the
Trustee5 wish to record their thank5 for the remèrkable contribution which the rnembers of the branch
have made to the amounts raised by the charity over more than 30 yeaFS.
FrLNnelShepton Mallet/Mldsomer Norton BrarKh
Durin8 2022. several volunteers have met regularly to organise a new Branch. They have suc￿5$fullY rolsed
over £11,000 in 2022.
FINANCIAL REVIEW
ReseNes poli
It is the pollcy of the charity to raise funds to finance WdriOUS projects. consequently the level of reseNes
will vary depeniient upon whether the charity is in the procpss of raising funds or has expended or
commltted such fund& As the charity has litt￿ flxed operating cO￿S it does not require any level of rèserves
in order to ensure that li Is able to fvnction.
FVTURE PLANS
The charity will continue to fund amenities for cancer patients attendlng The Royal United H05pltal Bath
and will Consider applicatlons ftsr grant5 to fvnd the purchase of equipment.
In 2021, the Trustees launched a new Appeal to roÈse £580.0￿ to acquire three Surface Guided
Radiotherapy Machines. These help to reduce the risk of damage to adjoining tissue during Radiotherapy
and also reduce the time that treatment take. That Appeal Is progressing well. The total raised to date for
this Appeal now exceeds £3￿,(X)D.
STRUCIURE, GOVERNANCE AND MANAGEMENT
Go¥emlng document
The charity is controlled by Its Constitution, the latest version of whlch was adopted on 11 January 2012
amended on 5 December 2012 and 11 April 2018 and Is an unincorporated body.
Page 3

ni
rou
f the Trustees
STRucfuRE. GOVERNANCE AND MANAGEMEifr
OrBanisatlon of thè tharity
The iruslees meet on a rvgular bas•5 and at each meeting monitor the progress of the charity's income and
expendlture as well as considerlng requests for grants. During the year, many of the meetings In the early
months were virtual being held over Zoom. Later in the year face to face meeting5 re-commented.
TfUSiees are appointed In accordance wlth the rules set out In the constitution. and are formally elected at
each Annual General Meeting.
Rlsk management
The trustees have a duty to Identify and revlew the rfsks to which the charty 15 exposed and to ensure
appropriate controls are in place to provide reasonable assurance against fraud and error.
REFÉRENCE AND ADMINISTIiATIVE DEfAIL5
Reg15tered Charlty nurnber
292643
Prlnclpal address
Mr Mike Coombs
10 Hor5eshoÈ Walk
Widcombe
Bath
BA2 6DE
Trustees
M D Taylor FCA CTA TEP Chairman
C A Gi11eece
J E Margetts
L R Dymond
S Coppin
M P Coomb5
A Webb
DrA C Herring
S J Oliver
Drj Crctwe {resigned 11.5.221
Ms T M Langton lappolnted 11.5.221
I S mC￿lIster lappointed 11.5.221
Dr E I de Wlnton lappointed 11.5.221
Indepèndent Examlner
Mark Powell
Moore
Chartered Accountants
30 Gay Street
Bath
BAI 2PA
Page 4

at
Cancer
tsu
ort Grou
Re ort of the TrustÈ
ar Ended 3
REFERENCE AND AThWNisfRAIIVE DÉfAIiS
Sollcltors
Stone Klng LLP
13 Queen Square
Bath
12HJ
Bankers
CAF Bank Umtied
25 Klhg5 Hlll AvenuE
Klngs HUI
West M31&n8
Kent
MEIY4Jq
HSBC Bank plc
41 Sourhgate sireet
Bath
BAI ITN
Approved by prder L)f the board of trustees on_
nd signed on its behalf by:
M D Taylor FCA cfA TE
- Trustee
Page 5

IrKle
endent Examin
h Canc
ni
r's Re
Independent examlnerfs report to the trustees of B*h Cancer Unlt ￿pPtsrt Group
I report to the charity trustees on my examlnation of the accounts of Bath Cancer Unlt Support Group Iihe
Trust) for the year ended 31 December 2022.
Responsibilities and basls of report
As the charity trustÈÉs of the Trust you are responsible for the preparation of the account5 in accordance
with the requirements of the Charities Act 2011 {'the A¢t?-
I report In respect of my examination of the Trvst's a¢￿u￿t$ carried out under Section 145 of tht Act and in
carrying out my examination I have folkjwed all applicable DI￿tionS given by the Charity Commi53ion
under Section 145{5llbl of the ACL
Independent examlnees siatement
I have completed my examination. I confirni that no material matters have come to my attention In
connection with the examination giving me cause to believe that in any materlal respect:
accounting record5 were riot kept In respect of the Trust as ￿qUired by Section 130of the ACL. or
the accounts do not accord with those records: or
the accovnts do not comply wtth the applicable ￿qUirements concernÉn8 the form athl content of
accounts set out In the Charities (Accounts and RepDrt51 Regulations 2CQ8 other than any
requirement that the accounts give a true and fair y￿W which is nol a matter considered as part of
an independent examlnatlon.
I have toncems and have come acr055 no other matters in tonnèction with the examination to which
attention should be drawn in thi5 report in order to enable a proper understanding ol the accoLtnts to be
ached.
Mark Powell
Moore
Chartered Accountants
30 Gay Street
Bath
8A1 2PA
Date: 27 March 2023
Page 6

Bath C
ncer
ort Gro
tat
f FSnancial
forthe Year Ended 31 December 2022
31.12.22
Total
funds
31,12.21
Total
fund5
Unrestrfcted Restricted
funds
funds
Notes
INCOME AND ENDOWMENTS FROM
Donations 8nd legacles
146.253
146,253
53,114
other trading activities
Investment income
39,049
583
39.049
583
23,085
24
Total
185,885
185.885
76,223
EXPENDITURE ON
RaisiTra fund5
10.831
10.831
9,685
NET INCOME
175.054
175.054
66,538
RECONCILIATION OF FUNDS
Total fund5 brought forward
132,639
132.639
66,101
TOTAL FUNDS CARRIED FORWAR
307,693
307.693
132,639
The notes form part of these finanoal statements
p￿e7

B313D
31 Decèmber 2022
3L12.22
Total
funds
3L12.21
Total
funds
Unrestrict•d R•5tricted
fvnds
fvnrts
Notès
CURRENT ASSETS
Cash at bank
324.215
324,215
149.077
CREDMRS
Amounts fallinÈdue within one year
1165221
1165221
11fj.4361
m￿CURRE￿rAS5ErS
307.693
132,639
TOTALASSEtS IESS LMJRRENT L114BIUTIE5
307,6Y3
307.693
132,639
wEr￿sEr$
307fi93
307.693
132,639
FUNDS
Unrethcted funds
307,693
132,639
roTALFUNDS
307.693
132.639
Thè flnondal iaiÈments were appro*tl by the Bo¥d of Trlrstees and authorised for Issue ors
. and WEre 5ignEd (Jty its bEhaW by:
M D TaylorfCA CTA T£P- Trustee
The notesfom part of these finan¢lal siatements
P4ea

Bath
nit Su
rou
Notes to the Financial Statem
IDec
ACCOUNTING POLiaES
Ba515 (rf accountln8
The financlal statements of the charity. whth is a publlc benefrt entity under FRS 102. have been
prepared in accordance with the Charities SORP IFRS 1021 'Ac¢ounting and Reporting by Charities=
Statement of Recornrnended Practlce applicable to tharitles preparing their accounts in accordance
with the Financial Reporting Standard applirable in the UK and RepublÉc of Ireland IFRS 1021
leffective l January 20191.. Fin6nctral Reporting Standard 102 Yhe Financial Reporting Standard
applicable in the UK and Republlc of Ireland, and the Charities Art 2011. The financial statements
have been prepared under the historical cost convention.
The accounts lfinancial statements) have bÈÈn prepared io gfve a "true and falrt view and have
departed from the Charities (Accounts and Reports) Regulations 2￿8 only to the extent required to
provide a "true and fair view. This departure has inVo￿ed following Accountlng and Reportlng bv
Charitie5 preparing thelr accounts In accordattce wilh the Flnanclal Repordng Standard appllcable in
the UK and Republic of Ireland IFRS 1021 issued on 16 July 2014 Tather than the Accounting and
Reportin8 by Charltles: Statemeni of Recommended Prartice effectlve from l Aprll 2(KIS whlch has
since been withLlrawn.
The charity 15 registered charity in England and Wale5 and is unincorporated. The address of the
principal office is set out on page 2 of the Report of the Trustees. The presentation currency of the
rinancial statements is pound5 Stertlng.
Flnanclal reportlng starAard 102- reduced dtsdosure exemptlons
The charity ha5 taken advantage of the following disclosu￿ exemptions in preparing these financial
statemenls, Js perniitted by FRS 102 The financial Reporting standard applicable in the UK and
Republic of Ireland,:
the requirements of SectiorÈ 7 Statement of Cash How
Tanglble fixed assets
All fixed assets a￿ inttially recorded ai cost.
Taxatlon
The charity 15 exempt from tax ofi its dwritable activities.
Fund accoufrting
Unrestricted funds can be used in attordance with the Charitable objective5 at the di5cretton of the
tru5tee5.
Restrfded funds can onty be used for particular restrictetl purposes withln the objects of the charlty.
Restrictions arise when specified by the donor or when fitnds are raised for panicutar restricted
purFQ5es.
Further explanation of the nature and purpose of each fund is included in the notes to the financlal
statements.
Page 9
continued...

Bath Can
ortGrou
Notes to the Finan
for
atements-
Oecember 2022
In
ACCOUTrIT]NG POLiaES- wntlnued
Donatlons, volurntsry Inc¢Yne and lezades
Donaiions and voluntary Income are accounted for when recewable. Legac￿5 are recognised when
receNed or if, before receipt, there is sufficient evidence to provlde the necessary certainty that the
legacy will be received and the value of the inEoming resources can be measured wth sufficient
reliablllty.
Llabllttles and allo¢atlon o*costs
Llabillties are recognised in the financial ststemènts when the charity ha5 an obligation to transfer
economic benefits as a result of a past transacliun or event. Costs are allocated be￿eefi dlrect
chari13ble and other expendlture according to the nature of the Cost.
Funds
The restricted fijnds were held Spectrical￿ for the purpose of funding the Low Level Laser UnFt. AII
other income received is unre5trirted In nature and has been classified as such. The surplu5 or deficit
in the year 15 allocated to each fund a¢cordin81y-
DONATIONS AND LeGAaES
31.12.22
Total
tunds
31.12.21
Total
funds
Unrestrlcted Restricted
funds
funds
Donations
Legacies
Collection boxes
89,555
54,037
2,661
89,555
54.037
2,661
33,416
18,397
1.301
146,253
146,253
53,114
OTNEH TIIADING ACTIVITIES
31.12.22
Total
fvnd5
31.12.21
Total
funds
Un￿$t[1ded Restritted
funds
fund5
Fundraising event5
39.049
39,049
23,085
Page 10
continued..

er
nlt Su
ortGrou
N teslo
h Financkl Statements- continued
Year Enderj 31 December 2
INVESTMENT INCOME
31.12.22
Total
funds
31.12.21
Total
fund5
Unre5tricled Restricted
funds
fvnds
Deposit attount Interest
583
583
24
RAISING FUNDS
ftalslng donatlons and legades
31.12.22
Total
funds
31.12.21
Total
funds
Un￿StrICted Restricted
fund5
lunds
Insurance
Postsge and stationery
Fundraising and publldty
Supportline newsletter
Adminlstfdtor costs
Head5tart
Sundries
Support Costs
907
681
5.839
863
681
5,839
3,776
617
617
851
562
213
1,620
1,083
1,704
1,083
1,704
lo￿31
10.831
9.685
Included wlthln support costs are fees payable to the Independent Examlner for 2022 of £1,704
12021.. £1,620}.
TRUSTEES, REMUNERAIION AND BENEFITS
There were no Iru5tee5' remuneratlon or other benefits for the year ended 31 December 2022 nor
for the year ended 31 December 2021.
TruAees' expenses
There were no trustees, expenses paid for the year ended 31 December 2022 nor for the year
ended 31 December2021.
PaBe 11
continued...

Bath Canter Unit Su
Ina
cial state￿nts. contin
r Ended 31
for the Ye
COMPARATIVES FOR THE sfATEMENfoF FINANCIALACflVmES
Unrestrirted Restrlrted
funds
funds
Total
funds
INCOME AND ENDOWMErirs FROM
Donatlons and legacies
53.114
53.114
oiher tradlng activilies
Investment intorne
23.085
24
23,085
24
Total
76,223
76,223
EXPENDITURE ON
Raising funds
9.685
9,685
NEf INCOME
66.538
66.538
RECONauATIIJN OF FUNDS
Total funds brought fonNard
66.101
66,101
TOTAL FUNOS CARRIED FORWARD
132,639
132,639
TANGIBLE FIXED ASSETS
Plant and
machinery
COST
At l January 2022 and
31 December 2022
2,327
DEPRECIATION
At l January 2022 and
31 December 2022
2,327
NET BOOK VALUE
At 31 December 2022
At 31 December 2021
Page 12
contiriued...

ort Grou
Notes lo the Financial
for the Year Ended
tatements-
cember2022
in
CREDITORS: AMOUNTS FALUMG DUE ¥MTHIN ONE YEAR
31.12.22
31.12.21
Trade creditofs
Other creditor5
1.704
14,818
1.620
14.818
16,522
16,438
MoVEmEP￿ IN FUt4DS
Net
movement
In funds
At
31.12.22
At 1.1.22
Unrestricted funds
Gener31 ftjnd
132.639
175,054
307,693
TOTAL FUNDS
132,639
175,054
Net movement in funds. inclwjed in the above are asfollows:
Incomlng
resources
Resources
expended
Movement
in funds
Unrestrlrted funds
General fund
185,885
(10,8311
175,054
TOTAL FUNDS
185,885
110.8311
175,054
ComparathTes lor movement In fund5
Net
movement
in funds
At
31.12.21
At 1.1.21
Unrestrlcted funds
General fund
66,101
66,538
132,639
TOTAL FUNDS
66.101
66,538
132.639
Page 13
continued...

Bath Cancer
rtGro
N tes t th Financial Statements- continued
hey
ar
December
io.
MOVEMENT IN FUNDS- contlnued
Comparatlve net movement in fvnds, included in the above are as folkiw5-.
Incoming
sources
Resources
expended
Movement
In funds
Unrestrfrted funds
Gener31 fvnd
76.223
19,685)
66,538
TOTAL FUNDS
76,223
66,538
11. RELATED PAKry DISCLOSURES
The￿ were no related party transactions for the yearended 31 December 2022.
Page 14