Johpl &Company CEred CerEifiedknountattto & Re8t¥t¢rtaAuditorn SpcctrumHouse 2B Sutlons Lats¢ RM12 OIU
h2021 Rcportof th¢ Thk$tc I to 2 stytwcrytofFiwwial kniviti¢s B4lan¢e Shcet Notes to th¢FthAttci81 ststellts 6 to 10 DctsilEd statemofFI[LtCll[ Activrti
rihcT
The ttuste¢s pres¢tstth¢irrwort with the fillaL¢ial %tatemenr8 of the ¢hanty lorlbc yearended 31 M&r¢h 2021. Thc trustee
have adop1 thc prOs1O of Acrounling and Reporting by Charities.. Statemtnt of Rcc4)mm¢nded Prnctic¢ applicable to
hariti#s prep thcir accouttts itt tCLvidallce with th¢ Finan¢i3] Reportikg Standard applicable in th¢ UK 8nd Republic
of IrL,labd IFRS 102} leffe£tive l Janu8ry20191.
OWECllVESANDAcfMTIES
Oble£t[ve8&Udrns
To promote neurologkcaj and rncdical >e8¢ar¢h ond publish the result$ thereof to ibe publi¢ by semin8rs. ptess Hrticles and
mediul jwJs#Js.
FINANCIAL RgVIEW
FlngAthI posltlon Y¢¥lew
kring th¢ year. th¢ chatity6 srLCOm¢ from donÈtion8 (iJdudin8 tts rrEdits) wos £153.643 IZ020 - £286.1141 Bnd
fundroisin8 ev
PthclpalAddres CIO Mrs Wendy Fui¢her 18t Fl(K)r 12115 HaJJgerGtee London W53EL Trnitet8 Mrs W D Ful¢her MsHMdlor Prof M Johnsoll Drm Glaser Mr8A Heatoll Drm Wiiiiaros Mrs A Grossini Indep¢Hdent Ets]Dln Johal & CDmpaxy Chart¢red Certifi¢dA¢counrAnts & Regjsterel Auditory Spe¢bum Huuse 2B SulloDS t8n¢ H0Church EeX RM12 6RJ Approvedbyord¢r ofth¢ boatd oftDJBtseaoll22 DeCemr2021 aud Si4D¢dorL its b¢halfby". MrsWD Ful¢h¢T- Tnk81
I re1 to thE LaTitytTQYt¢¢s ots Iny t¥2mJ1( of the attopnts of BY8in Tuwour Rrxwch IihcTTr5t) for tht
yeLrMts131 Mucb 21.
Ddb4knofr41&rt
the ¢hiEY ty]8¢ees of the TIt you rtspDniibl¢ for the preparatsoD of the ac¢ouD¥ io sttordallce wlth the
rqwrementsof tbe Clwitie&Act2011 Cthe AJ.
Iryort io ttspe¢iofwEzHmillauoD (>[ thrTnL516 t4uit4 [wtulld¢r8¢¢tttI4S of thgA¢tandiJ urryill8
•hundDD Ibave tollow¢d AEI•4p&iothkDit¢WoDB8ivmbyibE(3]tycorDmI1¢VTrtsoll 14315Xbl oftheA¢i.
I h¥v¢ Completed ttry axwninAti I ryJnfi5Th no Itterial JM{t8 &ave ruy 8ttattb(ryJ in ¢DYUtIO0 th¢
. txaminRtion8iviD¥]yy¢cwto hJyEV¢ r¢specL
•e¢o4titingrccorth wtrc4otkept IftTP5t 0fth¢TrottasT¢qdbySe¢tIoTh 130of the Ac4, Ur
¢ 4CCQUTtdO tord with thDSerecor(ls' or
the octollz do not wmplywith th¢ applieabk ItLT¢ents etsuccrDip¥ lh¢ fotn ¢ODtMi of occokntA 8rfout
JD th¢ ChitteE IAccows REPOrn) R¢8lllationJ2wI othvthan ony requiremÈDt that the •¢CODttts give a tr
8Dd fBirYiew 15 llota Difytt
31J.21 31.320 Uttr&trictsd Restricted fimd fimd INCOME AP4D EI¥DOWMENISDROM DoN8tion88nd lega¢ie8 153.644 155.644 28AI14 Other t(adin84¢tivitse8 12.154 65 65363 iiiy 65 140,174 67 426.355 Totgl 165.8 EXPXNDTfuRKON Raising thd6 4265 4365 41, ChxrknNtr¢llvltt Gr8ttts Co tA)nth)nfi n¢uTologiral T¢8e4TGh andclI1pan lillked dwm 307.736 700 307.736 107.219 312,701 311701 149279 11468381 114A838) ,076 RKCONCILIATION OF FU14 Totsl fund•brop¢lLtforw•rd S2SI83 S25.883 248.8D7 379 525 883 Pa6e4
31.3.21 Total nd¥ 31.3.20 UDt¢Strid¢d fund R¢strithd fund fund5 Note$ Debwrs Cash at bJDk 9,977 369 768 379,745 7.819 518.7H 526,583 369,768 379,745 CREDITOILS ATfLI)unts falling duewithin Ojltyear I7>) (7001 1700) T(YfALA&SETSLLSS CUIiREfiT LLIBILIT]ES 379.045 379,045 525,883 NET ASSETS 525.883 Rc51ticted funds TOTAL FUNDS 379.045 525.883 The fittAn¢id 8t&tcrncntsw¢Te llPPTovcd by the Board of Trustr¢g ond authtsri#d for issue 22 Dvccrnbu 2021 and wer¢ sigDcd on its bchalf by.. W D Fulchcr_Tn]stec Th¢JJot¢s fonYL part of these fLTLWi4J 51alenJents P4c5
Notts t AccouNfJNG POUCIFS gf prq>Arfn¢ the flnwndal $t8tem¢nts The fin2cial stalemetits of the charity. wbich 1$ a publir bcncfjt cntity ulldtr FRS 502. hav¢ be¢n preparEd Ati ardan with the Chèrities SOPP (FRS 1021'ActOUDtin8 Reporting by Ch8ritiey'. Stslementof R¢cotwn¢nd¢d PrEctice applicable to charitke& prEpatin8 their accounts in accordance with tbe FiTWiCiO] Reporting St8ndaTd app]ib]e itt the UK 2nd Rep.£ oftreland IFRS 1021 {¢ffettivc l Japu3ry 2019}', Fillaucial REpofyknS strndd 102 'The FllMncial Reportsll8 Standard &ppli¢able IJJ Ib¢ UK and R¢public of Ireland the chariti Act 2011. Th fiDancial stetc]ncnts hav¢be¢D pr¢p6redund¢rthtbi8torical co&1 conv¢ntiott. All itt¢ome 15 rewgryi8ed in the StAternent of Fi]llDGtal A¢tiVL¢ies ort¢¢ the thTity IS to th¢ futtd4 li AS probabl¢ thttt the iticom¢wll be received 4thd the 8mowJt can be mEtt8Vttd ttlIly. Eypendknye Liabiliti¢s are rew8n28ed a¥ expenditure 500n as there is legA] WCODStnJctlveobligaty'on colllmittingthe cbArity to that expenditure, it 18 probable that a transftruf e¢onornic benefit5 will b¢ Tcquirtd in s£ttlcmeDt aDd the atnouJJl of the oblig&tion Can be Tneasured reliably. ExpKttdiUlf¢ is aOLted for oll ac¢tual$ basi$ 8Jd bs' b¢en la$&%fied und¢r headings that aggrtgai¢ all ¢ost rclated to the catt80ry. Where costs cannotbe directly &uribu¢ed tv particular kneadiL8s th¢y bav¢ b¢¢n All&t¢d to act2Vitic& on a basts ¢OJ15i5knE Witb tkne use of resour¢¢%. CTtants Offer subjeGt to condition8 whi¢h hllvc bBtk met fjt th¢ y¢4r ¢nd d are noted a wnThJktsE¢nt ot accn]ed as EXPEnditure. Th¢cb8rity is aemptfrorn tsx on its¢lwitableactiwlie5. UttrcslriLtcd [tS catLbeused ill a¢COTdanc¢ with the ¢hari¢able obj¢ctiYEs 8tthedi8crttioo of the bu8te¢8. Restri¢teAI tvnds only be u&ed lor particuidr resiricted purpos¢5 wilhill the objects of the cbariiy. ReBtyi¢tiorts ans¢ wh¢n SPCGifi¢d by th¢ dollororwhen &rerni8ed forpaniculwr¢8tr%etedplltpoÉe8. Futthet pIlIatIo of the llalure and pwpos¢ofeQkfiIlld is irtcluded ittthenoL¢$ to the fin£1#1 $iatethettta. 31.321 31.3.20 FutLdrai5iDg ev¢tsts
31.3.21 31.320 D¢wait accouAI itttere 67 Thcre were no trust5. reM¢T2#on orutherbeJfits for tbe ywr ¢Ddd JI Marth 2021 Aor forth¢ ye4r¢nts131 Tr8teu' ¢xpens Therewer¢notrwt¢¢' ¢XPtsKtSPAidfortheyearettded 31 Matth 2021 rtorforthcyeuettdcd31 Mh 2QZO. UrttBtri¢t¢d R¢8sri¢t¢d O]nd fund Total furld Don41ions and l¢gacies 286.114 2&AI14 Oth¢r tradillg Y&livilie Jnvestmettt Incon Totsl 140.174 67 426JSS 140.174 67 426J55 R4isi•g funds 41.360 41,Jflb G¥atsts to ItDtrtsl lE¢LOndotor lithd to the 107319 1fr7219 Tolxl 149279 149379 NBTINCOME 277,076 277,076 IIECONC]LIATtONOF FUNDS Trt•l brouEh¢foTwavd 248,8in 248,807 525,8KJ Page7
DKBTORS.. AMOUN7SFAUJNG DUE WtTHINONE ITAR 31J21 31J.20 Otbcrd¢btors 9.977 7.819 CREDITOR&. AMOiINTS FAUJNG DUE WITIIJN OFIEYEAR 31J21 313.20 7W 7(M) Net Ai 31J21 At 1.420 in filt R4Strf¢ted fiTrnds R&stricted 525,883 (146,8381 379.045 525 146 858 N¢tmov¢moLin tsJnd8. ill¢iud¢din th¢ abov¢ ar¢4sfollo RestruFce¥ ¢xp¢nded oveEUEMt in funds resour¢e8 Rethted R¢s(riLicd 165.863 1146.8381 312 701 146338 Comprdw¢a fOr0VeentII Net At 31.3.20 Ai 1.4.19 in furtds RestriCd 248.807 277.076 525.883 525 883 Page8 continued...
mc MOVEMKf4T IN FUNDS.¢ondi Comp04tiv¢netmov¢Jn¢Dtinfimdg.inellldedittthe i&)Ye8res follow&: Re8our¢ex Moveme expendeA in futtds 421355 {149,279) 277.076 TOTALFUPIDS 149.279 A tunEntycRr 12months and priory¢Ar 12 tllorAths ¢ombinedposirioti is follows: Nrt At At 1.4.19 8.807 130,238 379.ts45 248 130 A cu[ 12 mottths aud prioryear 12 moDth6 ¢onJbltsed ttet movethetttTO its¢luded in Ihc above are f4)llow& Re80y[ MOv¢ml expend¢d ill fldI T¢8oiirc¢$ Re$lric 59U18 1461.980) 130238 59 130,238 Page9
IILLAfiD PDISCu)SuRP8 Th¢Ttwu¢ noretthdp%rtytraLsa¢tions fortheye8Tended31 March 2021. Pwlo
31.3.21 31.320 INCOME AND EIIDOVIMKP4TS DonaloDyAndky¢lg4 Dona¢ion8 153,044 286,114 Other trAdinE ttlYltl•x FuDdraiBiDg events 12,154 140,174 DepositaccOD¢ ittlerest Totsl In¢oMkn8 rwiiir 165.863 426255 XXPVIIDITURi Rthlog #nd létacl In8urarLCC Marketiug Charity 81ft]XocItt 867 817 18.403 360 l227 19,688 cbarEtab1tt1wttlts 3.038 21,672 CTr#rfralbl¢a¢tiYill Gtaut5 to It110t1¢)s 307,736 107219 STftPWJrt¢wts Otb•r ITLd¢p¢DdentCX8JniMliotL Toial resourees expcnded Net(exptmdltureVlllcotte 312 701 146.838 149 279 277 076 Thi5 page doe8 DOtfornip&rtofth¢ 8latut0ryfDCls] 8tstetEKnts Pa8ell