CYFEILLION YSBYfY RHUTHUN
RUTHIN HOSPITAL LEAGUE OF FRIENDS
ADRODDIAD YR YMDDIRIEDOLWYR A DATGANIADAU ARIANNOL
AM Y FLWYDDYN HYD AT 31 MAWRTH 2022
TRUSTEES REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
Rhrfcofrestru Elusen 500939
Reslstered Charity No 500939

CYFEILLION YSBYTY RHUTHUN
RUTHIN HOSPITAL LEAGUE OF FRIENDS
TRUSTEES. ANNUAL REPORT FOR
THE YEAR ENDED 31 MARCH 2022
The trustee5 present their annu￿ report and finanaal Sts￿Ments of the t￿rity for the year ended 31 March
2022.
REFERENCE AND ADMINISTRATIVE DETAILS OF THE CHARITY, ITS TRUSTEES AND
ADVISERS
Registertd charity number.
500939
Address of Charity.
The Secretary
Rhoslan
Greenfield Road
RUTrIIN
Denbigh5hlre
LLIS IEP
Trust•es
The trustees who seryed durlng the year ended 31 March 2022 are as follow&.
Chalrperson
Treasurer
Secretary
Member and Vlce-chalrperson
Memb•r
Miss Morfudd M Jones
Mr Da￿d McGeou
Miss Nerys Roberts
Mrs Deryl Roberrs
Mr kniold Hughes
Members
Ocher members who are officers but not truscees:
President
Mrs Cerls Edwards
Bankèrs
HSBC
SL Peter's Squarn
RUTHIN
Denbi8h5hlre
LLIS IAB
Ind•pendent Examiner
R A Roberts, Bsc.
Hill & Roberts
Chartered Accountants
l Tan y Castell
RI￿H1N
Denbigh5hire
LL15 IDQ

CYFEILLION YSBYN RHLrrHUN
RUTHIN HOSp￿AL LEAGUE OF FRIENDS
TRUSTEES. ANNUAL REPORT FOR
THE YEAR ENDED 31 MARCH 2022
STRUCTURE, GOVERNANCE AND MANAGEMENT OF THE CHARITABLE FUNDS
Ruthin Hospital League of Friends I'The League" or 'The Chariry'l is an unincorporated organisatyon set up
under a written constirution adopted on 5 September 1963 (as amended 3 September 1971 and revised 14
November 2018) and governed by a Committee of Trustee* Kuthln Hospital League ol Friends betame
registered charity on 19" Ot￿ber 1971.
The Charity changed its name from 'The League of Friends of the Ruthin H05pitiI" to "Ruthin Hospital League
of Friend5" on the 14" November 2018.
Thè Charity has onty one unrestricted fund at prèsÈnt whÈch it uses in furtherance of its objective5. Day to day
management of the fund Is carried out by its Trnstees. The Trustee5 are elected from the Members of the
League and are the Chair. Secretary. Treasurer and up to two other Members. Trustees who are not elected
Officers rnu5t resign after three year5. bu¢ art el￿ble for r¢4ection.
Members of the League are èlerted ort a rotstitsn￿ threè yèar basis at the annu￿ general meetlng. MèmbÈrship
of the League Is by recommendadon and open to any Indlvldual over the age of 18. Should any appolntments be
required during the year, to Say a principal officer's posi this would be made by the eXistingTrUs￿es and ratified
by the Members at the next quarterly meetin&
The Charlty h45 no staff.
STRATEGIC OBJECTIVES
The oblects of the Charty are as follows:
{a) Mobilisè, èncourage. foster and m￿￿tI1n the Interest of the publlc In the patients and the work of the
hospltal: and
{bl Enhance the servitÈ provlded by the Hosphal for health. welfare and comfort of the Inpadents and
outpa¢ienc5 and in the wider community by supplying equlpment and other provlslons whlch may be
required for the tre3rmen( care and comfort of suth pa¢ient&
BENEFIT TO THE PUBLIC
When planning our work for the year. the Trustees consider the chariry commission guidan¢e on public benefiL
In parricular. we cry ro help and 5UPPQrt the patients, together with thelr relatfves. and staff of Ruthin Communlty
Hospltal and a$so¢lated l*xal operation& by providing fvnd5 to improve the equipment and amenities of the
hospital. Ruthln Communtry Hospttal provides Vital medical and palliative care to the lo¢al community.

CYFEILLION YSB Yry RHUTHUN
RUTHIN HOSPITAL LEAGUE OF FRIENDS
TRUSTEES. ANNUAL REPORT FOR
THE YEAR ENDED 31 MARCH 2022
ACTIVITIES
Due to Covid-19 and refvrbishments the d)arity has been LEnable to reopen the Sm￿1 shop at the Ruthin
Community H05Pital or hold any fun&raising acuwties. However. the charsty was able to sell their Christmas
card though local shop5 and stock was sold. Atl income generated is used to irnprove the hospital's facilliies
for both patlent and staff.
ACHIEVEMENTS AND PERFORMANCE
The Charlty has been artlve In the pursuic of its objectives over the lart year. ChèraFI income has increased by
£44,993. General donation$ received increased by £45,327 from £1,709 to £47.036. and Includes a legacy
rÈcèived during the year of £38,892. Due to tovtd-19 the charity has been unable to hold any fund raising events
but have sold Christmas t#rds. with the help of the members of the League and local Shops. and the income
generated was £1.014 (1021- £893). Due ro the temporary dosure of the shop there ha5 been no sales this
year. Interest rates remain low and income from investments has décreased from £459 to £4, a decrease of
£4SS.
The Charlty Spent £22,355 12021 £4.7191 on items and amenities for the hospital in the year and so far have
¢ommi¢¢ed to Spending £25.00012021- £47,329) In tht Current year. The Charity believes that supporring the
hospital and simllar associated projects provides a great deal of benèfit for the patyents and their families and
a551sts the staff in the perfomiance of their dutyes.
Sociéty benefits as the Charity provides funds for amenlrles or to acquirè quipment whith mW)t not be available
within the hospitsl's budget and Improves the wellbeing of the pats'ents.
We would again like to thank the various individua15. familie5 and organizations for th•lr continued 5UPPOrt and
to the numerous people who so 8enerou51y contribute.
FINANCIAL REVIEW
Investment Pollcy
The Snvesunenr obj¢<riYe Is to yleld a rea50nable level of Income In order to party safeguard the Charlty's funds
against inflatyon. The performance of the inve$tmtnf is miewed on a regular basis by comparison with suitable
benchmarks.
Rèsery¢s policy
It is the poliy of the Chartv to maintain unrestritted funds. which are the free reserves of the Charlty, net of
Investments, at a level which equa￿ approximatety to six mnths expendSture. Thls provide5 sufficient funds
to cover management and administration costs on a day to day basis. The reserves ensure thÈ Charity 1$ also in
a posiuon to respond to reque5rs for hospitsl equlpment whlch may arlse.
The Charity is working wlth the hospital to forniulate a plan tha¢ will best utilise additional funding througho¢Jt
the year. This means that the unrestritted funds ofthe Charity will remain at a level above that whlch is normally
required for possibty severnl years to come. It is the hope of the Chary that this addityonal funding will be used
as soon as practically possible on the right projecLS. This process was begun in 2021. and the Charity has agxin
commltted to slgniflcant spending as at the 31 March 2022 (please See r￿te 8 of the financial statements).

CYFEILLION YSBYTh RHUTHUN
RUTHIN HOSPITAL LEAGUE OF FRIENDS
TRusfEES' ANNUAL REPORT FOR
THE YEAR ENDED 31 MARCH 2022
Covld 19
Thè Charity has Sufficient reserves to meet its day to day need$ for the foreseeable fijwre. The Covld 19
pandemic ha5 required the closure ol the shop and refreshments counter within the Ruthin H05Pital since 17
March 2020. The facility will not be reopened until it 15 safe to do 50. The Trustees will review this stacus on a
regular b￿1$ and will of course work closety wi¢h the medical team at the hospital.
The Charity redistributed its Stock of Christmas cards to a number of lotsl community shops wlthln the
catchment area of Ruthln Hospfital. Thè ￿*$ have been extremety good and the TrusTre5 will consider this
practice for the future.
The day to day operation of the Charity ha5 been curtailed 51nce March 2020 a5 a resultof the Covld 19 pandemlc
and restricdons placed by the Welsh GovernmenL Meetings continued online throy8hout the year. but face to
frdce meet¢ngs have recommenced. The Trustees continue to monitor requests from Ruthin HOSP￿41 by erymail
and telephone.
The crustees declare that thèy havè approved thÈ trustees. report above.
Signed on behalf of the charity's trustees
Slgnature
w. doL
Full Name
P051tlon
Miss Morfudd M. Jones
Chairperson
Date:

CYFEILLION YSBYfY RHUTHUN
RUTHIN HosP￿AL LEAGUE OF FRIENDS
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES
OF RUTHIN HOSPITAL LEAGUE OF FRIENDS
I reporr to the trus￿e$ on my examination of the accounts of the Ruthin HOSPI￿ League of Friends (the Trurt)
for the year ended 31 March 2022.
Responsibrlities and b￿15 of report
As the charity trustres of the Trust you are responslble for the preparation of thè accounts in accordance with
the requirements ofthe Charitie5 Act 2011 [￿e Att).
I report In respect of my examination of the Trurfs accounts carried out under section 145 ofthe 2011 Att and
in carrying out my examination I have followed the applicable Directions given by the Charity Commission
under secdon 145(51{b) of the ACL
Independent •xaminè05 Statement- matter of concern identified
I have completed my examlnat6on. I conftrn) tha¢ no materlal matrers have come to my attentyon in connecdon
wlth the examSnatlon glving me cause to believe that in any rnaterial respect
accountlng records were not kept in respect of the TrLt5t as required by sedon 130 of the A¢ or
the accounts do not accord with those rètords.. or
the accounts do not compty with the applicable requlrements ¢oncernin¥ the forni and content of
a¢counts set out in the Charities {Accounts and Reports) Re8ulauon$ 2008 other than any requirement
thac rhe accounts give a 'true and falr view whlch ts not a matter considerèd as part of an Indepèndent
examination.
In carrylng out my examination, I noticed that the monthly interest received from NS&I Income bonds had
ceased Sn July 2021. Having spoken with tho treasurer. l under5rand that the regisEered posral address for the
investments had not been updated and related to a previous treasur•r. It is my opinion that the Trust should
re-establish ¢orre5pondence with NS&I and recLalm unpald Inrnresrfromjuty 2021. The Income Bond certfficates
are 5ti11 in the Trust's possession.
I confirm that there are no other matters to which arrentlon should be drnwn In thts report in order to enable
a proper understandlng of the accounts to be reached.
Slgned..
Dat¢
R A Robèr¢s Bsc FCA
Hill & Roberts
Chartered Accountants
l Tan y Castell
RUTHIN
LLIS IDQ

CYFEILLION YSBYTh RHUTHUN
RUTHIN HosprrAL LEAGUE OF FRIENDS
ATEMENT OF FINANCIAL ACTIVITIES FOR YEAR ENDED 31 MARCH 2022
2022
Notes Unrestricted
fund
2022
Total
2021
Total
INCOMING RESOURCES
Incorne ond endowments frDm.'
Donations and legacles
47.036
47,036
1.709
Oth•r tradins a¢¢iYities
HospStal shop & other sales income
Fund-raising events
1.014
1,014
893
1.014
1.014
893
Investments
National Savings Bank Income Bonds
HSBC Bank accounts
451
459
TOTAL INCOME
48.054
48,054
3,061
RESOURCES EXPENDED
enditure ¢n.'
Ralsing fund5
Shop Supplies
Fund raising events
Glft ald clalm withdrawn
900
900
900
061
Charitable activities
Amenides & equipment for hospital
Christmas fund I gifts to patients
21355
20.215
4.719
183
22.455
20,315
4.901
Other
Hire of hall
Printin& copying & adverts
Affsliauon fees and Snsurnnce
Independent examiner's fee
Mi5cellaneou5
78
78
488
423
470
29
423
989
989
499

CYFEILLION YSBYfY RHUTHUN
RUTHIN HOSPITAL LEAGUE OF FRIENDS
STATEMENT OF FINANCIAL ACTIVITIES FOR YEAR ENDED 31 MARCH 2022 (conld)
2022
2022
Total
2021
Totsl
Notes Unrestricted
fvnd
TOTAL EXPENDITURE
24.344
22,204
6,062
Net Income l {exp•nditurè) before
Investment galns l (losses)
23.710
25,850
{3.001)
Net g￿ns I Ilosses) on inv•stm•nts
Net incom• l (éxpendlture)
23,710
2S,8SO
(3.001)
Transfers be¢￿veen funds
NET MOVEMENT IN FUNDS
23,710
25.850
(3,001)
Reconrlllatlon of fund$'.
Totsl funds brou8ht foThvard
124,858
124,858
127.859
TOTAL FUNDS CARRIED FORWARD
£148,S68
£150.708
£124.858

CYFEILLION YSBYfY RHUTHUN
RUTHIN HOSPITAL LEAGUE OF FRIENDS
BALANCE SHE￿ AS AT 31 MARCH 2022
2022
2021
FIXED ASSETS
Invesrments
10
54,TrJO
54.000
54.C
54,000
CURRENT ASSETS
Stock
Debtor5 and prepayments
Cash at bank and in hand
12
97.656
71.798
97,656
71.798
CREDITOR5- Amounts
falling due withln one year
Credltors
Accru￿$
13
13
2.140
NET CURRENT ASSETS
94.568
70.858
NET ASSETS
£148.568
£124,858
Represented by:
FUNDS OF THE CHARITY
Unrestricted fvnd5
14
148,568
124.858
TOTAL CHARITY FUNDS
£148,S68
£124,858
Approved by the
rustees on
and slgned on Its behalf by
Signed
Mr David
¢Ge¢ugh
Treasurer
The notes on pages l O to 15 form part of these financial statements.

CYFEILLION YSBYff RHLTTrIUN
RUTHIN HOSPITAL LEAGUE OF FRIENDS
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2022
ACCOUNTING POLICIES
Basis of preparation and assessment of going concern
The accounts (financial statements) have been prepared under the his¢ori¢al tost Convention wtth items
recognised at cost or rransaetion fdlue unless otherwrse stated in the relevant notes to these accounts. The
financial statements have been prepared in accordance with the Statement of Recommended Prnccice..
Accounting and Reporting by Charities prewing thèir accounts in accordance with the Financial Reporting
Standard applicable in the UK and Republic of Ireland (FRS 102) effective date l January 2019 and the Charities
Att2011.
The trust consututes a public benefit enty as defined by FRS 101
The trusttr5 consider that there are no material uncertalnrles about the Trust's ability to continue as a going
concern.
The financial statements are prepared In stedin& which is the functional currency of the enuty.
Funds structure
The charity has a slnzle unrestrlcred Income fund. which the trustees are free to use for any purpose In
fvrtherydncè of the charitable obiects.
In¢ome recognltlon
All income Is recognised once the charity has entitlèment to the incom& 1¢ is probabl• that thè income wlll be
received and the amount of Income receivable can b¢ measured relw.
Dona￿on5, arè rÈcognisèd when the Tru$¢ has been notified In writing of both the amount s•tdomènt date.
In the event that a ¢Jona¢ion is subjett io conditions that requlre a level of perfomiance before the charlty is
entided to the funds, the income is deferred and not recognised until either those condltSons are fully mek or
the fulfilmènt of those condttions is wholty within the control of the charity and it is probable that those
¢ondlwon5 wlll be fulfilled In the reporting period.
Legacies are recognised on a case by case basis following thè granting of probate when the
administratorlexecutor for the estate has communiated In writing both the amount and 5etdement date. In the
èvent that the Ift 1$ in the fomi of an asset other than cash or a financial a55et traded on a reco8nised stock
exchange. recognldon Is sublect to the vajue of the gift being reliably measurable with a degree of reasonable
accuracy and the ude to the ame¢ having been transferred to the d)ariw.
Interest on funds held on dep051t b5 included when receivable and the amount can be measured reliably by the
charity, this is norrnalty upon notification of the interest paid or payabte by the bank
Expendlture recognition
Liabilities are reco8nised as expenditure as soon as there is a legal or construthve obligation committing the
charity to that expendrtur< it i% probable that setdement will be required and the amount of the obli￿tiOn can
be measured reliabty.
All expendlture is accounted for on an accrua15 ba515. All expenses including support costs and governance costs
are allocated or apponioned to the applicable expenditure heading&

CYFEILLION YSBYfY RHUTHUN
RUTHIN HOSPITAL LEAGUE OF FRIENDS
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2022
Fixed asset Investments
The Invesunent is a fonn of basic ftnancial instrument and is initially reCO￿lSed at the transactlon value. The
statement of financi￿ activitie5 doe5 not include the net gains and losses arising on revaluation and di5PC*5a15
throughout the year. as the investment is in the forni of Bond receiving a fixed rate of interesc
The Charity does not acquire put option& derivatives or other complex financi￿ in5rrumenr
Realised gain5 and losses
All gains and losses are taken to the Statement of linancial Activityes a5 they arise. Realised gains and10sse5 on
investments are calculated as the difference be￿een S￿e$ proceeds and thelr opening carrying ￿ue or their
purchase values if acquired subsequet)t ¢0 the first day of the financial year. Unrealised gains and losses are
calculated as the difference between fair value ar the year end and their carrying ￿l￿e. R￿l$ed and unreatised
investment ralns and losses are combined in the S¢arMient of h'nancial Activitles.
Stock
Stock is measured at th¢ lower of cost and estimated Selling prfce less costs to complete the sale.
Llablllty recognltlon
Llabllitles arè re¢ognis¥d where rc is more likety than ntst that th•r• is a leg31 or constructive Obliga￿an
commltting the charfity ro pay out resources and the amount of the obliTatlon can be measured wfrth reasonable
certainty.
Flnanclal Inrtrum¢nt$
A financial asjet or * financial IlabS11ty Is recognlsed only when thè Chariy becomes a party to the contractual
provisions of the instrumenL 8aslc financlal Insfrnments are iniually reco￿lSed at the transactlon pricè, unlèss
the arran8ern¢n¢ constitutes a flnancing ¢ran5actyon, where It Is recognised at the prtsent value of the fu¢ure
payments discounted at a market rate of Interest for a similar debt instrumenL Debt instruments are
subsequendy measured at amortised ¢QSL
Financial assets thac are measured at cox or im0rri5ed c05¢ are rwewed for objecttve evidence of impairment
a¢ the end of each reporting date. If there is objective evidence of impairmen( an impairnienc105s15 reco8n15ed
in the Ststement of Financi￿ Activraes immediately.
Any reversals of Impalrn)ent are recognlsed In the Ststernenc of linan¢ial Attivi¢le5 Immedlately, to the extent
that the reversal doe5 not result in a carrying amount of the financi￿ as$et that exceeds what the carrying
amount would have been had the impairnient not Previol￿lY been recognised.
STAFF COSTS AND REMUNERATION
The average number of employees during the year was n51 (2021- nll). Thè total of èmployee
beftefits for the year wa5 nil {2021
nil).
DONATIONS AND LEGACIES
2022
2021
Donations
In Memory of
Will of Patricia Redrnond
5.230
2,914
38.892
520
1,189
£47.036
£1,709

CYFEILLION ysBy￿ RHUTHUN
RUTHIN HOSPITAL LEAGUE OF FRIENDS
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2022
FUNDRAISING EVENTS
Fete
Coffee morning
Sale of Paintyn8S
Carol singers
Sale of Christmas cards
1.014
Net funds raised
£1.014
£893
ITEMS AND AMENITIES PURCHASED FOR HOSPITAL
Wlreless Companion rnoniror5 x 6
Disposable Finger Probe
Dlstriburion Trolley
Adult soft cuff x 3
Acuve Fry, Nutri Bulle¢ Grfll
X-boK Tablet ffan y Ca5tell)
Shed (fan y Castell)
ECG Machine
Phlebotomy Trolley x 2
Shop & relatives room
Cabine¢ Fridge. Toaster for shop
Chair5 & Tables for shop
& Wall mount for relatives room
Newspapers and magazines
Gardening and 115h tank repair5
OffKe thoirs x 6 *
Phlebotomy chair
Sum up eard reader
1,539
128
1,297
198
350
351
4,356
i.wo
10,297
957
1836
650
856
780
lJ60
£22,355
£4,719
Items marked * are currendy outsrandin8 as costs are under dislxlte. They have been pro￿ded at
the prèviously a8￿d cost
CHARITABLE EXPENDITURE AND SUPPORT COSTS
Charltable
Expenditure
Support
Cost
Total
2022
Total
2021
Raising funds
Expenditure on tharifabfe
Activities
Governance costs
900
900
661
21355
39
950
22.394
950
4.917
484
£23,2SS
£989
£24,244
£6,062

CYFEILLION ysBy￿ RHUTHUN
RUTHIN HOSPITAL LEAGUE OF FRIENDS
NOTES TO THE FINANCIAL sfATEMENTS FOR THE YEAR ENDED
31 MARCH 2022
ANALYSIS OF SUPPORT COSTS AND GOVERNANCE
Ratsing
Funds
Charitable
Activitie5
Total
2022
Total
1021
Hire of hall
printi￿ P05ta8e. copying and
adverts
Affiliauon fees and insurance
Miscellaneous
Governance ¢os¢s
39
39
15
475
475
950
£475
É514
£989
£499
CHARITABLE COMMITMENTS
The Lea8ue ha5 ￿readY entered into the folloNying charitrble commi¢menu as a¢ 31 March 2022:
RenOva￿on¥ to Hospltsl receptlon area
Totsl comminients as at 31 March 2022
25,000
Tatsl commitments as at 31 March 2021
£47.329
THE RESOURCES EXPENDED BY THE CHARITY INCLUDE
9.1 Trustées. expenses and remuneratlon
The trustee5 all give freely their time and expertise wlthout any forni of remuner4tlon or other benefit In
kind or cash12021- £nill. During the year two trus￿e$ were reimbvrsed expenses (Sfationèry, posrag¢,
Christmas gifts for patients and tlowers) of £39612021 two trustees - £382).
9.2 Independent examlnerfs fees
The charge for the independent examination of the ffinanCu￿ statements was £48812021 £470).

CYFEILLION YSBYfY RHUTHUN
RUTHIN HOSPITAL LEAGUE OF FRIENDS
NOTES TO THE FINANCIAL sfATEMENTS FOR THE YEAR ENDED
31 MARCH 2022
10
FIXED ASSET INVESTMENTS
Moyement in fixed asset investments
2022
2021
Carrylng amount
As at l April 2021
Additions
Dtsposals
54,000
At 31 March 2022
4.000
£54.000
Investments ar fwr ￿￿• compriwd of onty one dass of Investment whKh 15 a cash or cash equlvalent
InvestmenL namely National Savings and ImiÈstments- Income Bond& where fair value is equivalent to
CQSL
DEBTORS
2022
2021
Debtors
Prepayments and accrued income
12
CASH AT BANK AND IN HAND
2022
2021
Bank current account
Bank deposit account
Cash in hand
79,887
17,769
54,032
17,766
£97.650
£71,798
13
CREDITORS - Amounts
falling due within one year
2022
2021
Creditor- Amenities and hospital equipment
Accruals
2,140
3,088
£940

CYFEILLION YSBYfY RHUTHUN
RUTHIN HOSPITAL LEAGUE OF FRIENDS
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2022
14
MOVEMENTS IN THE FUNDS
At31
Marth
2021
Incoming
Re50urc¢s
Outgoing
Resources
Transfers
At31
March
2022
Restricted funds
Unrestri¢ted funds
124.858
48,054
(24.344)
148.568
Total funds
É124.8S8
£48,054
£(24.344)
£148.568
15
ANALYSIS OF NEf ASSETS BETWEEN FUNDS
General Fund
Tan8lble flxed assets
Fixed asset Snvestments
Net Current assets
54,O¢XI
94,568
£148,568
16
RELATED PARTY DISCLOSURES
There have been no related party tran$3¢rion during the year.