REGISTERED CHARITY NUMBER: 292643
ort of the Trusiee
and
Unaudited Financial Statemerbt5 for the Year Ended 31 December 2023
Bath Cèncer Ufiit Su
ort Grou
Moore
Chartered Accovntants
30 Gay Street
ath
BAI 2PA

Bath C3nier Unit
rou
ontent5 of the Financial Statements
for the Year Ended 31 December 2023
Pa8e
Report of the Trustees
Independent Examiner's Report
Statetnent of Financlal Attivtties
8alance Sheet
Notes to the FSnanclal Statements
9 to 14

Bath Cancer Unit Su
rt Giou
Re
rt of the Trustees
for the Y
ded 31 December 2023
The trustees present their report with thÈ financi31 siaiements of the charity for the yeèr ended
31 Oecembef 2023, The tnjstees have adopted the provisions of AccouTrting and Reporting by Charities..
Si3tement of Recommended Practice applicable to charities preparin8 their accounts in accordan￿ with
the Financial Reporting Standard applicable In the UX and Republii of Ireland IFR5 1021 lelfèctive l January
20191.
08JECTIVES ANDACTIVITIES
Oljlects
The CharSly's objects are to relieve sickness by SLWPWting the work of the Oneology and Rad￿lherèPY Unlt
al the Bath Royal United H05Pitals and other health unils lio include. not by way of lirnitabon clin*cs.
sur8erie5, and hospst3151 pfoviding Ehe same or simiuir service5 for patient5 in 8ath and the surrounding
area, in particular by ¥aisinE money to purchase equiprne￿t and provide faulities and services (including.
but not by way of limitation the financing of medi(Bl and other staff to prov%de atlditional care and 31$0
additional stsff tiaininEI Iprov5ded that the Charity shall not tjndertake any permanent trading activities in
Taisin8 such moniesl not provided by the local health authority or by any trust associated with the National
ealth Ser￿iCe which administers and governs the Bath Roydl United Hospltals.
Actmiles to fUrt￿r the charity's obierts
To dale. the charity has supported ènd funded a humbei of projects by ihe making of grants. Such grants
have been tnade following the careful considefation of each requesi.
Publlc benefit
The Trustees have paid due regard to ihe Charity Commission guidance on public bènefit In declding what
activities the charity should vndertake. The focu5 of our acttvities rem31ns enhancemtnt of facilit*s for
cancer patients at the Royal United Hospitals Bath and other health units. This benefits. rnost Importantly
patients but also visitors to and the staff ol these tjnits. The benefits arÈ provided to people predominantlv.
but not exc1usivel¥. living in Wesi and North Wilishire. 83th, North East Somerset and Easf Somerset.
Page I

Bèth Cancer Unit Su
ort Grou
Re
rt of the Trustees
lor the Ye3r Ended 31 December 2023
ACHIEVEMENT ANO PERFORMANCE
Chari¢able activities
During the year the chartiy's income amounted to £S47,54812022.. £18S,8851. Lègacses receivable during
2023 amounted to E387.675 compared to £54.037 during 2022. Net assets ai 31 December 2023 were
É701,43712022. £307,693).
2023 was a supert) year lor fund raising. Our volunteers and supporters have responded so well to the end
of the pandemic.
The Posltron (pEr-￿) Scanner funded by the Charity in 2016 at a CO￿ of £1.2million. has exceeded the
expectations of the Con5yltants both in term5 of the number of patients scanned and in the re5vIts
achieved.
rhe unit has èlso been involved tn 10 resèarch trials.
Since thi5 charity was founded in 1985 in excess of E5 8 million ha5 been raised aDd spent on providing a
range of facilrties for cancer patients attending The Royal United Hospital including..
- Refurbishing the Oncolow ieceprion and waiting areas119911
- Constructtng a day treatment £eThtre for chemotherapy patients119941
- Relocaling the cylology ltèrvical smear) laborat(Ky11998)
- Purchasing a second tinear Accelerafor12(XX)I
- Constructing a new day treatment unli12￿3)
- ProvidiTrg the r3dioactive'seed5' at the start ol the Prostate Br3chytherapy servi￿{20041
- Setring up ¥ Cancer Information Centre120061
Consrructifig additiorEal ioilets for patients12(X)81
- Constructin8 a quiet ioorn where diags)oses can be discussed {20091
Replacing the superficial x-ray treatment unit120101
- PurchasinE Terarecon aient Image manipulation sof￿are12010)
Refurbishing a quiet room in the Uro oncolog¥ department120111
- funding a contrast enhanced digital mammography facility120111
- Purchase of S new patient trol￿¥5 and 2 equipment trolleys12012)
Purchase ol software to view scans120121
Purchase of Positron IPET-CTI scanner lor£l.2 million120161
Page 2

Bath Cancer Unit su
ort Gro
ort Df the Trusiees
for the Year Ended 31 December 2
23
- Purchase ol equipment to support Positron IPET-Ct) Scanner120171
During 2018 and 2019, the Trustees agTeed a funding reoue5t from the Cancer Unit. This was to fund the
out of hours settion of a 24 hour Helpfine for patients undergoiag Chemotheiapy.
Funding the Tr?a! of Low Level Lasers in the Management of Oral Mucositts for Head and Neck Cancer
Irradiation120191
Purchasing 2 real T-:me Positson Mèna8etnent Respiratory Gating Systems120191
Initial payment toward5 an Upgrèded Solid State G3rnm3 Cameia12019I_ A further payment of £ll)O,O
was made in 2020 to funij the purchase of 3 Veriion Gètnma Camera. the first in the LtK.
- Constrtsctrng a Quiet Room for the Pa.:liattve Care Team120191
- Purchassfflg a Portable Uttrasound Unit and Vascular Doppler Plus Probe for the B￿aSt Cancer Unit120191
During 2023, we have funded the purchase of 2 AiTgloves and 8 kalp Coole¥s to ￿dLICe hair loss during
Chernotherapy. We h3ve also provided Funds toward5 the atqUi51tion of Al Software to reduce ssgnificantly
the time taken In plannlng radiotherapy treatments.
Since l January 2024. we have made a payment of E405.fm towards the acowsilion of 3 Surface Guided
Radiotheiapy machines, with the balance to be paid in the near future.
The charity continues to be run only by volunteers. Consequerrtty. a very high proportion of the funds
which are raised each year are 3va.:lable for irnpro¥ryng facilites. An average of 90-95% over the last 5 years.
Trowbridge Branch
since 1988 the charity h65 benefitted from the fund rai>ng actÉvities ol its Trowbridge Branch and the
Trustees wish to record their Ih3nks lor the remarkable contributton which the members ol the branch
have rn)de to the amounts raised by the chanty over more than 30 years.
Frome/Shepton malletlm1dsom￿ Norton P￿th
Since 2022. several volunteers have met re8ula¥ly to or8anise a new Branch. Their fund ratsing durlng 2023
has been Superb.
FINANCIAL REVIEW
Reserves policy
It 15 the policy ol ihe charity to r&5e funds ro finan￿ various projerts, cgnsequently the level of reserves
will vary dependent upon whether the charity is in the pioce55 of raigng funds or has expended or
committed such funds. As the charity ha5 lirrle fixed operatin8 costs it does not req¢Jlre any level of re5eTves
in order to ensure that it Is able to function.
FUTURE PJANS
The charity will continue to fund amenities for Cancer patients attend¢"ng The Royal Unrted Hospital Bath
and Wbll considef application5 for grant5 to fvnd the pvrchase of equipment.
STRucfuRE. GOVERNANCE AND MANAGEMÈNT
Governing document
The Iharity is controlled by its Constilution. the latest version of which was adopted on 11 January 2012
ènded on 5 December 2012 and 11 ApTtl 2018 and is an unincorporated LK)dv.
Page 3

Bath
ancer Unit Su
ort Grou
Re
ort o* the Truslees
for the Year Ended 31 December 2023
STRucfuRE. GOVERNANCE AND MANAGEMENT
Organisation of the charity
The trustees rneei on a regular basis and at each meeting rnonitot the pro8ress of the thartty's income and
expenditure as well as considèring requests for grants.
Trustees 3rE appointed in accordance with the rules set out in the con5titLrtion. and are formally eletted at
each Anru31 General Meeting.
Risk mana¥ement
The trustees have a duly to tdentify and revsew the risks to which the charity is Èxposed and to ensure
appTopriate conrrols are in place to prov6de Teasonable assurance against fraud and error.
REFERENCE AND ADMINISTAATIVE DETAILS
ReÉ15teied Charity rtumbe¥
292643
PrlncFpal address
Mr Mike Coomb5
10 Horseshoe Walk
Widcombe
8ath
BA2 6DE
Tru51ees
M D Taylor FCA CTA TEP Chairman
C A Gilleece
J E Margetts
L R Dyfflond
S Coppin
M P Coombs
A Webb
Dr A C Herring Iresi8neiJ 26.4.231
S) Oliver
Ms T M Langton
J S McAllister
Or E I de Wintot)
Ms K Single-Bltsom (appointed 18.1.231
D N LanÈ lappointed 18.1.23
Independent Examiner
Mark Powell
Moore
Chartered Accountants
30 Gay 51reet
Barh
AI 2PA
Page 4

ath Cancer
nit Su
rtGro
for the Y
mber 2023
REFERENCE AND ADMINISTRATIVE D￿AlL5
Solicitors
510ne King LLP
13 Queen Square
Bath
8A1 2HJ
Bankers
CAF &ank Limited
25 Kings Hlll Avenue
Kings H411
West Malliftg
Kent
ME194JQ
HSBC Bank pk
41 Sovth8Zte Street
gath
8A1 ITN
Approved ljy order ol the board of tnstees on...... .
M D Taylor FCA cfA TEP- Trustee
PagÈ 5

Inde
endent Examiner's R
ort to the Trustee5 of
Bath Canter Unit su
on Gro
Independent examiner's report to the tnistees of Bath Canter Ufiit Support Gr(wp
I report to the charity trustees on my exarnination of the accounts of Bath Cancer Unit 5uppc>rt Group Ithe
Trust) for the yèar ended 310ecember 2023.
Re5pon5ibilities artd basis of rèport
As the charity trustees of the Trusi you are re5wnsible for the preparation OF the xcount5 in accordance
with the iequirements of the Charities Act 20111'the Act'l.
I report in respect of my examination of the Trusi"s acwunts carried out under Section 145 of the Act and in
cairyFng out my examinatlgn I have followèd all applicable DirectioTrs given by the Charity Commission
under Section 14515llbl of the Act.
Independent examiner's ststement
since your charity's gross income exceeded £250,OCKI your examiner must be a member ol a listed body. I
can conlirm thal l am qualified 10 4Jndertake the examinatton becav5e l am 6 membef of the Institute of
Chariered Accountants of Scotland, which is one of the Itsted txjdies.
I have completed my examination. I confirm Ihat no maierial matters have come to my attention in
connettion wsth the examination gÈving me cause tD believe ihat in any material respect..
3ccountine records were kept in respect of the Trusi as required by Section 130 of the Act- or
the account5 do not accord with those records- or
the account5 do not comply with the applicable requirements concerning the form and content of
accounts set out in the Chaiities IAccount5 and Reports) RegulatlOn5 2008 other than any
requirement that the accounts give a true and fair vtew which is not a rnatter conydered as part of
n indepÈnd*nt exam*Traion.
I have no concerns and have corne across no other matters in connection with the examinatton to which
attention Should be drawn in this report Èn order to enable a proper uThderstatxling of the accounts to be
reached.
Mark Powell
Moore
Chartered Accountants
30 Gay Street
Bath
BAI 2PA
Date..
Page 6

Bath Cancer Unit Su
rt Grou
State
nt of Financial ActiVFties
for the Yedr Ended 31 December 2023
31.12_23
Total
fvnds
31.12.22
Total
funds
Unrestricted Rèstricted
funds
lund5
Notes
INCOME AND ENDOWMENT5 FROM
Donations and legacies
512.938
512.938
146.2S3
Other trading artivities
Investfnent tncome
32.Cl)4
32,004
39.049
583
Total
547.548
547,548
185,885
EXPENOITUR£ ON
Raisin8 funds
9.184
9,184
10.831
Charitable activities
Royal United Hospital 8ath. Cancef UTrii
144.620
144.620
Total
153,804
153.804
10.831
Nrr INCOME
393.744
393.744
175.054
RECONCIIIATION OF FUNDS
Toral funds brought forward
3Q7.693
307.693
132,639
TOTAL FUNDS CARRIED FORWARD
701.437
701,437
307,693
The notes form pari ol these Iwwncial 5tatement5
Page 7

Grots
Bala￿ She
31
mber 2023
31.12.23
Totsi
fvnds
31.12.22
Total
lunds
ijnrestricted Resiricted
lunds
fund5
Notes
CURRENT A55Ers
Cash at bank
811.388
811.388
324.21S
CREDifoRS
Amounts falliTrg due within one year
IL
1109,9511
1109.9511
116.5221
￿￿CURRE*￿ ASSETS
70J,A137
701.437
307,693
TOTAL ASSEfs LESS CURREKf UABILIYIES
701.437
701,437
307.693
NET A55ETS
701.437
70L437
307.693
FUNDS
Unrestrirted fvnd5
12
701.437
307.693
TOTAL FUNOS
701.437
3Q7.693
The fin
.¢i&l statements weie approved by the Board of TTt*5tee5 and authorisEd for issue on
- and were signed on rrs behalf by-
tyf, L. T4¥k>i i CA crA"r£p.. YfU$ttre
ThE t)ote5 form part of these financral statements
Pige 8

Bath Cancer Unit Su
rt Grou
Note5 to the Fifbancial Statemerrts
for the Year Ended 3
ecernber
023
ACCOUNnNG POLICIES
Basis of a£counting
The financial statements of the charity. which is 3 public benefit entity ￿nder FRS 101 have been
prepored in èccordancè with the Charitie5 SORP IFRS 1021 'Accounting and Ileporting by Charities..
Statement of Recommended Practice applicable to charities preparing their aCCOLtnt5 in accordance
with the Financial Report%n8 Standard 3PP£icable the UK and Rep￿blIC of Ireland IFRS 1021
leffective l Jafiuary 20191-. FinanEial Reporting siandaid 102 'The Financial Reporting standard
applicable in the UK and Republic of Ireland. and the Charities Act 2011. The financial statement5
have been ptepared under the historKal cost convention.
The accounts Ifinancial statementsl have been prepaTed to give a "true and fair. view and have
departed ffom the Charities (Accounts and Reportsl Regulaitons 2(￿>8 onfy to the extent required to
provide a "true and fair v￿w. Thss departure has inVo￿ed following Accounting and Reportin8 by
Charlt*es preparing their aCCDuniS in aciordance with the Financial Reporting Standard appllcable in
the UX and Republic of Ireland IFRS 1021 Tssued OTr 16 JLkty 2014 rathef than the Accounting and
Heporting by Charities.- Slatemenr ol Recommended PFaCtice effective from l Aprtl 2005 which has
since been wiihdrawn.
The charity Is registered charity in England and wales and is unincorporated. The address of the
PrinCFpal office Is Sel oul 011 P38e 2 of the Report of the Trtsstees. The presentatiork currency of the
financial statements is po(tnds sterfin
Flnantlal reportlng standard 102- reduced disclosure exemptions
The charity has taken advantage of the loHowsng disclosure exemptions I￿ preparing thesé financial
statements. as pem)itted by FRS 102 'The Financtal Aeportsng Standard appltcable in the UK and
Repvblic of Ireland,:
the requireme*)ts of SertIo￿ 7 Statement of Cash Flows.
Tan8Fble fixed assets
All fixed a5seis are inilialty recorded at cost.
Taxatlon
The charity is exempt from tax on its charitable activitES.
Fund atcountine
Unrestricted funds can be used in accordan￿ with the chaiifdble objectives at the discretion of the
trustees.
Restricted funds can only be used for particular restriciod purposes within the objects of the charity-
Restrittions arlse when specified by the donDF or when fund5 ave raised fur particular restricted
purposes.
Further explanation of the nattsre and purpose of each fund is included in ihe noies to the financial
statements.
Page 9
continued...

8ath Cancer Unit Su
ort Grou
N tes to the Financial S
atements. continued
for the Year Ended 31 December 2023
ACCOUNtING POUOES- contlnued
Donations. vduntary income and legacies
Donations and voluntary income ère accounted foi when receivable. Legacies are recognised when
received or if, before receipt, there FS sufficieni evsdence to provide the necessary certainty that the
legacy will be received and ihe value of the incoming res0vi￿$ can be measured wlth sufficient
Liabilities and allocatiort Of tosts
Liabilitie5 Bie recognised In the financial statements when the thafity has an obligatyon to transfer
ec9n0m￿ benefits as a result of a pasi transattion or evenl. Costs are otlotated between dirert
charitable and other expendituye 3ccofdifig to the nature of the cost.
Funds
The restricted funds were held specificall¥ for the purpose of fitnding the Low Level Laser Unit. All
other income received Is unrestricted in natufe and has been dassified as such. The surplus or deficit
in the yeaf is all￿ated to each fvnd accoTdin81y.
DONATION5 AND LEGACIES
31.12.23
Total
funds
31.12 22
Total
funds
Unrestricted Re5tficted
funds
funds
Donations
Legacies
Collection boxes
121.175
387.675
4.088
121.175
387,675
4.088
89.555
54,037
2,661
512.938
512.938
146.253
OTHER TRAOING ACTIVITIES
31.12_23
Toial
funds
31.12.22
Total
fvnds
Unre5trided Restricted
funds
funds
Fundraising events
32.
32,004
39,049
P4e 10
continued...

8ath Cancer Unit Su
ort Grou
Notes to the Financial Sta
ements - continued
lor rhe Year Ended 31 Decernber 2023
INVESTMENT INCOME
31.12.23
TDtal
funds
31.12.22
Total
fund5
UnrestrKted Restricted
futKts
funds
Oeposii account interest
2.606
2,606
583
IIAISING FUNDS
lia￿l￿g donations and legaciès
31.12.23
Total
funds
31.12.22
Total
funds
UTrresiflCted Restricted
funds
1.332
1.332
907
681
5.839
617
1.083
1.704
Insurance
Postage and Stationery
Fundraisin8 and publicÈty
Administrator costs
Sundries
Support Costs
1.733
1.364
2.966
1.789
1.733
1,364
2.966
1.789
9,184
9,184
10,831
Included wiihin support costs are fees Fwable to the Independent ExaminEr for 2023 of El.789
12022. £1.704}.
CHARITABLE ACTIVITIES COSTS
Direct
Costs
Royal United Hospital Bath: Canc¢r
Unlt
144,620
Page 11
continued...

Bath Cancer Unit Su
ort Grou
Notes to th Financial Staterncnts - continue
lor ihe Year Ended 31 Decernber 2023
SUPPORTCOST5
Govetnance
osts
Raising donations ènd legacies
1.789
TRUSTEES, AEMUNERATION AND BENEFITS
There were no trustee5' remuneration or other benefits lor the year efided 31 December 2023 nor
for the year ended 31 December 2Q22.
Trustees, expenses
There were no trusiee5' expenses paid for ihe year eoded 31 December 2023 nor lor the ye3r
ended 31 December 2022.
COMPARATIVES FOR THE STATEMENT OF FtNANaAL AcrivmES
UnFestrsCted Restricted
funds
furbds
Total
funds
INCOME AND ENDOWMENTS FROM
Donation5 and legacies
146.253
146,253
OthÈi tr3din8 aetivirtes
Investment income
39.049
583
39.049
583
T¢rtal
185.885
185.885
EXPENDITURE ON
Raising funds
10.831
10.831
NET INCOME
175.054
175,OS4
RECONOLIATION OF FUNDS
Total lunds brought forward
132.639
132.639
TOTAL FUNDS CARRIED FORWARD
307.693
307,693
Page 12
conti¢7ued...

8ath Cancer Unit Su
ort Grou
Notes to the Financial Statements- continued
for the Year Ended 31 December 2023
IQ. TANG18LE FIXED ASS￿5
Plant and
machinery
COST
At i January 2023 and
31 December 2023
2,327
DEPRECIATION
At l January 2023 and
31 December 2023
2.327
NEf8OOKVALUE
At 31 December 2023
At 31 Decewnber 2022
ii,
CAEDITORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
31.12 23
31.12.22
Trade creditor5
Other creditors
95,133
14.818
1,704
14,818
109,951
16.522
12. MOVEMENT IN FUNDS
Ner
movement
in funds
At
31.12.23
At 1.1.23
Unrestritted funds
General fund
307.693
393,744
701.437
TOTAL FUNDS
307.693
393.744
701,437
Net movement in funds, included in the above are as follows..
Incomi
resources
Resources
expended
Movement
in funds
Unrestricted funds
Genefal furtd
547,548
1153.wl
393.744
TOTAL FUNDS
547.548
I153.￿}
393.744
Page 13
continued...

Page 13
continued...

Bath ca￿er Llni
ort Gro
Notes to the Financial Statement5- contintjed
for the Year Ended 31 Decernber 2023
12.
MOVEMENT IN FU14DS-coThtin
Comparatives tor movème•)t In funds
Net
movement
in *unds
At
31.12.22
At l.1_22
Unrestricted funds
General fund
132.639
175.054
307,693
TOTAL FUNDS
132.639
175.054
307,693
Comparative net movement in furbds, induded in the above are as follow5=
Incoming
resotjrces
Resources
expended
Movement
in funds
Unrestricted funds
General fund
185.885
110.8311
175.054
TOTAL FUNDS
185.885
110,8311
175,054
13. RELATEO PARTY DISCLOSURES
There were r¥) relaied party transactions for the yearended 31De￿mi￿r 2023_
Page 14