REGISTERED COMPANY NUMBER; 0224565 (ENGLAND AND WALES)
REGISTERED CHARITY NUMBER; 299511
Report of the Trustees and
Unaudited Flnancial Statements
For The Year Ended 31" December 2024
For
Suffolk Multiple Sclerosis Therapy Centre
Trading as Suffolk Oxygen Therapy Centre
A R C D Associates Limited
Chartered Accountants
42 Wright Lane
Kesgrave
Suffolk
IP52FA

Suffolk Multiple Sclerosis Therapy Centre
Trading as Suffolk Oxygen Therapy Centre
Contents of the Financial Statement5
For The Year Ended 31. December 2024
Page
Report of the Trustees
Independent Examiner's Report
Statement of Financial Activities
8alance Sheet
Notes to the Financial Statements
Detailed Statement of Financial Artivities
io

Suffolk Multiple Sclerosis Therapy Centre
Trading a5 Suffolk Oxygen Therapy Centre
Report of the Trustees
st
For The Year Ended 31 December 2024
The trustees, who are also the directors of the charity for the purposes Jf the Companies
Act 2006, present their Report with the financial statements of the charity for the year
ended 31, December 2024. The trustees have adopted the provisions of the Accounting and
Reportin8 by Charities; Statement of Recommended Practice applicable to charities
preparing their accounts, in accordance with the Financial reporting Stcindard hpplicabSe in
the UK and Republic of Ireland (FR5 1021 IEffective l January 20191
OBJECTIVES AND ACTIVITIES
Object and aims
The principal objectives of the charity are to provide Hyperbaric Oxygen thertipy and other
services to people suffering from multiple sclerosis. Also to people with other health
problems, in the country of Suffolk and surrounding areas, to promote research necessarv
to find the cause, cure and prevention of multiple sclerosis
STRucfuRE, GOVERNANCE AND MANAGEMENT
Governing document
The Charity is controlled by its governing document, a deed of trust, anil conctitutes a
limited company, limited by guarantee, as defined by the companies Act 200fi.
The Company has no issued share capital and in the event of liquidation the liability of the
members is limited to £10.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Company Number- 02245957 IEngland and Walesl
Registered Charity Number - 299511
Registered Office - Suffolk Oxygen Therapy Centre, Unit 27 Claydon Business Park, Gipping
Road, Great Blakenham, Ipswich, Suffolk, IP6 ON L
Page I

Trustees
P J Sims (resigned 22102120241
Mrs E Fsims
Mrs L M Moxon Chairperson & Treasurer
G P Moxon Secretary
Mrs A Howlett
Mr5 L Banks Iresigned 22/02/20241
S Glinos
R Florey- Resigned 0110812024
G Fielding
R Double
Company Secretary
G P Moxon
REFERENCE AND ADMINISTRATIVE DETAILS
Independent Examiner
A R C D Associates Limited
Chartered Accountants
42, Wright Lane,
Kesgrave,
Suffolk,
IP5 2FA
Approved by order of the board of trustees on Jung?Q?S and signed on its behalf by;
(IDvLty1
Mrs L M Moxon - Trustee
Page 2

Independent Examinerfs Report to theTrustees ot
Suffolk Multiple Sclerosis Therapy Centre
Independent Examinerfs Report to the Trustees of Suffolk Multiple Sclerosi¢ Therapy
Centre (The Company)
I report to the charity Trustees on my examination of the accounts of the corripany for the
year ended 31, December 2024
Report
As the Charity's trustees of the company land also its directors for the purpo.ses of company
lawl you are responsible for the preparation of the accounts in accoi daiice with the
requirements of the Companies Act 20061"the 2006 Act").
Having satisfies myself that the accounts of the Company are not required to be audited
under Part 16 and are eligible for independent examination, I report in respert of my
examination of your charity's accounts as carried out under section 145, of the Charities Act
2011 Ithe 2011 Actl. In carrying out my examination I have followed the, Directions given by
the Charity Commission under section 145{51 Ibl of the 2011 Act.
Independent Examlnerfs Statement
I have completed my examination. I confirm that no matters have come to my attention in
connection with the examination giving me cause to believe;
l. Accounting records were not kept in respect of the company as required by Section
386 of the 2006 Act,. or
2. The accounts do not accord with the records- or
3. The accounts do not comply with the accounting requirements of section 396 of the
2006 Act other than any requirement that the accounts give a true and fair view
which is not a matter considered as part of an independent exarnination; or
4. The accounts have not been prepared in accordance with the mLJthods and
principles ot" the Statement of Recommended Practice for accounting and reporting
of charitie5' (applicable to charities preparing their accounts in accordance with
Financial Reporting Standard applicable in the UK and Republic (Jf Ireland IFRS 1021
I have no concerns and have come across no other matters in connectic.n with the
examination to which attention should be drawn in this report in order ko enable proper
understanding of the accounts to be reached.
A R C D Associates Limited
Chartered Accountants
42, Wright Lane,
Kesgrave, Suffolk. IP5 2FA
0 4/0 (//,.
Page 3

Suflolk Multiple 5derosis Therapy Centre
Yrading a5 Suffolk Oxy8eh Therwpy tentre
ststementof FI￿1ndal Actlvltles
For the Year Ended 31st Oecembor 2024
2024
Totsl
Funds
2023
Total
Funds
ljnrestrfcted
Fund5
Restricted
funds
Notes
INCOME AND ENDOWMENTS FROM
DonatlODs& legar.ies
164.018
164,018 136.3(11
Other Tradin8Acrkviiies
Investment lTrcome
6,519
3,105
173,641
6,519
3.105
0 173,641 138.Slb7
EXPENDrruRE ON
Ra&in8 Funds
3,860
3,860
665
Olaritable Advltles
Theropv
127,069
130.929
127,Q69 128,87.6
0 130,929 129.4(11
NETINCOME
42,713
42,713
RECONCILIATION OF FUNDS
Total Funds Broughtforward
121.239
0 121,239 110,415
TOTAL FUNDS CARRIED FORWARD
163,952
0 163,952 121,2.49
These mteslorm Pariof thesefinancial 5taiernent5
pa8e 4

Suffolk Multiple 5¢lerosis Therapy Centre
Trdding a5 Suffolk Oxygen Therapy Centre
Balance Sheet
315t December2024
2024
Tutal
Fund5
Z023
Total
Fund
Unre5trlcted
Funds
R•%trirted
Funds
Notes
FIXEDASSETS
Tangible Assets
5,291
5,29J
6,6:.4
CURRENT ASSErs
Cash at Bank
162,797
162.797 132.61
CREDITORS
Amounts falling due wlthln one year
-4.137
-4.137 -18.0.45
NEf CURRENT ASSEYS
158.660
0 158.660 114.6J5
TOTAL ASSETS iESS CURRENT
LIAOILfTIES
163.952
0 163,952 121,279
NET ASSETS
163,952
0 163.952 121.279
FUNDS
Unrosiricted Funds
Restyiaed Funds
io
163.902
163,902 121,IP,9
50
50
TOTAL FUNDS
163.952 121.2.i9
The Iharitable company is ent1tled to exemption frotD audit under section 477 of the Companie5
Act 2006 lor the year ending 315t DEcember 2024
The members have not required the companyto obtain an audit of hsfinanclal $13tements for
the year ended 315t December 2023 in accordaTrce with Section 476 ofthe CompaniesAct 2006
The trustee5acknowledge their reswn5ibilitiesfor'.
ensuriDg that the charitable company keeps accounting records that comply with theAct.
financial year In accordance wlth the requirèments of Seciion$ 394 & 395 and which
otherwise complywith the requirementsol the Companies act 20J6 relating to finafjcia,,
si)tÈmentS, 50 far a5 applicable 10 the charitable companv.
These flnancial statèments have been prepared in accordaDce with the provisK)ns applicable to
charitable companies subject to rhe small companies re8ime.
The Financial siatements were approved by the Board ofTru5rees and auihorlsed for Issue on
19th June 2025
L M Moxon
G P Moxon
These notes form Part of these financial statements
Page 5

Suffolk Multiple Scler05is Therapy Centre
Trading as Suffolk Oxygen Therapy Centre
Notesto the Flnèndal Stateme*ts
ForThe Year Ended 315t tlecember 2024
ACCOu￿rING POLICIES
8asis of preparing the financlal statements
The linallcial statements of the tharitable company, which 15 a pubSic benefit entity under
FRS 102, have been prepared In accordance with charities SORP (FR9 1021 'Accounting and
ReportinB by Charities.. Staiement of RÈcDmmended Ptacti¢& applicable to charities
preparingtheir accounts in accordance with the FRS applicable in UK Republic of
IrelandlFRS 1021 (effective I january 20191. Flnanclal reporting standard 102 'The
Fin?ncial RepDrting Standard applKable in the UK and Republic ol Ireland" and Companles
Act 2(X)6. The financial statements have beén prepared underthe historical c05t convention.
Income
entitlement to the fvnds, it is probable rhat the Income will be received and Ihe amount
can be mèasured ￿liably.
Expenditure
Liabilitie5 are reco8nised as expenditure as SODn as there Is a ￿eal Dr tonstructnfe owoatio
committing the charity tothat oxpenditure, It 15 P055ible Ihat a transfer of economic
bertefit5 will be required in settlement if the amount of ihe obli8aiion can be measured
reliably. Expenditure Is accounted foron an a¢¢ruats basi$ has been c1155ifie(l under
headin8S that 388rè8aie 311 cosi related tothe cateBory. Where costs cannot be direct
ttributed to PBrticular headings they have been ?Il¢cated ro actr¢ities w a Consis￿nI
basis wlth the use of résourtes.
Tan8lble Flxed Assets
Depretiation is provided at the followin8annual rares in orderto wr￿tOff each asset
Htso Chamber & Ancillaryequipment
- 20% on reducin8 balance
Taxatlon
The charity 15 exempt from Corporation Tax on its charitable actNities.
Fund AEcDuntlng
Unrestricted funds can US￿ in accordanc£ wilh the charitable objective5 at the
Restricted funds can be used for particular re5trKted puip05es Yllthin the objEds gf
¢h3rity. Restrlciion5 arise when speclfled by the donor or when fund5 Are ra15ed fora
Further explanaiion of ihe nature and purpose of each fund in illcluded in the notes to
Pago 6

2 OTHER TRADING AcfiviTIERS
2024
2023
Fundraising ￿entS
6518.55
2231
3 INVESTMENT INCOME
2024
2023
3104.7
1784
4 NET INCOME IEXPENDMJREI
Net incornellexpenditurel lsstated aftercharginglcreditin81
2024
2023
Depreci8tin8 owned assets
Deficit on the diSP¢S?l ol fixed as5et5
1,323
1654
1322.6
1654
5 TIIUSTEES. RigMiINATION AND BENEFWtS
There were no trustÈes' remyneratw)n or otherbenefitsfor the yèarèndÉd forthe
yeèr Énded 31st December 2024 nor for theyeèr ended 315t December 2023.
2024
2023
Trusrees, ekpenses
R Double
A Howlett
L Moxon
G Moxon
L Sims
l Banks Ireygned 22102120241
R Florey Iresigned 01108120241
P Sims lyesigned 22102120241
6 STAFF COSTS
The avor3gÈ moThth￿ number of employee5 durine the year was as follows..
2024
2023
Hyperbolicoperative5
No empbyee receNed emolumentgin extess of £60,0(N).
Page 7

7 COMPARATIVES FOR THE STATEMENT OF FINAC1ALACTIV￿lEs
20Z4
Total
Funds
Llnrestrirted
Funds
Restrictsd
Funds
INCOME FROM ENDOWMENTS
Donations and other le8acies
Other non-Iradin8
Other Tftding Artivit￿5
164,018
3.105
6.519
173.641
164,018
3,105
6,519
0 173 642
EXPENDITURE ON
R31sing funds
3.860
3,860
Therapy
127,069
130.929
127,069
0 130,929
NET INCOME
42,712
42,713
RECONCILIATION OF FUNDS
Fund5 brou8ht forward
121,189
50 121,239
TOTAL FUNDS CARRIED FORWARD
163,901
50 163,952
8 TANG8LE FIXEDA5SETS
HBO Chamber&
otherequlpment
Cosi
At IsiJ3nuary 2024
Assets purchased
At lstjanuary 2024
40.169
40,169
EPRECIATION
as at Isi January 2024
charge torye"
At 315t December 2024
33.555
1,323
34,878
NET BOOK VALUE
As èt 31st December 2024
5.291
As at 31st December 2023
6.614
Page 8

CREOITORS: AMOUP4TS FALLING DUE WITH ONE YEAR
2024
2023
Trade creditofs
Social security and othertaxes
Accrued Expen5e5
3.099 16,406
1.038
1.629
4,137 18,035
10 MOVEMENT IN FUMDS
At 1.1.2024
Net
AT 31.12.2024
Movement
Unresiricted funds
Genèral fun(J
121,189
41,558 162,747
Restflcted funds
Oxygen Reseneration equipment
so
50
121.239
41,558 162,797
A RlskAssessment has been uTrdertakÈn by the Charity intothÈ fortnation of resetves
reserves Policy. This has identified several poienikAI medium/hi8h impact risks,
although they have been assessed mainlyt be in the lowlmedivm likelihood tste80ry.
An overa11 Resetvesfi8ure of £25,000 is deemed approprlaie.
11 RELATED PARTY DISCLOSURES-CONFLlCtS OF INTEREST
There were no related party tran￿(tIOnS forthe year ended 3Jsi Oe¢ember 2024
Pa8É

Suffolk M￿lI1p1e 5clerosis Therapy Centre
Trading a5 Suffolk Oxy8en Therapy Centre
Detsiied Statementof Flnanclal Activltles
For ThÈ Year Ended 315t December ZOZ4
2024
2023
INCOME FROM ENDOWMEPIts
Don3tbns and Le8acies
Gift Aid
Granis
Subscriptions
140,068 12S,805
8,500
15,450
10,495
164,018 136,3
Other Trading A¢tivrties
Fundrai￿￿8 Events
6,519
2.231
Investment Income
InLere5t Receivable- Iradin8
3,105
1,784
Total Incoming rÈsourcès
173,641 140,315
EXPENDITURE
othertrading activit
3,860
666
Personnel costs
Rent
71,835 59,860
7,228
7,328
-1,697
S,842
5,258
7,058
145
14
32.134 28.328
361
146
1,323
1,654
120,447 110,896
Service charges lincl I￿ht heat & rates)
P05ta8e and Stationery
Equipment. maintenance & runnin4COSts
Plant & m8chine.ry
Support costs
Management
Office
Telephone postage stationery & advertisin8
MarketiTrgAdvertising etc
Affiliation fees
13,123
705
-5,420
1.345
9,754
8,878
687
5,420
16,179
GovernanceCo5t5
729
2,417
Resources expended
130,929 129,492
NETINCOME
42.713
Page 10