CYFEILLION YSBYfY RHirfHUN
RUTHIN HosprrAL LEAGUE OF FIUENDS
ADRODDIAD YR YMDDIIUEDOLWYR A DATGANIADAU ARIANNOL
AM Y FLWYDDYN HYD AT 31 MAWRTh 2023
TRUSTEES REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2023
Rhrf c0frrst￿ Elusen 500939
Re81stv￿ Clwity No $00939

CYFEILLION YSBYfY RHUTHUN
RLrrHIN HOSPtrAL LEAGUE OF FRIENDS
TRU￿EEs. ANNUAL REPORT FOR
THE YEAR ENDED 31 MARCH 2023
The trLtste¢s present their annu41 report and financial statements of the thrity for the year ended 31 March
2023.
REFERENCE AND ADMINisfRATIVE DEfAILS OF THE CHARrrY. ITS TRLISTEES AND
ADVISERS
Reglstèred eharity numbèr. 500939
Greenfield Road
RUTHIN
Denbighshire
LL15 IEP
The trustees vtho SÈbyéd durfng the year ended 31 March 2023 are as A)110￿.
Chairperson
Mis5 Morfudd M Jones
Treasurer
Mr DavÈd McGeou
Secretary
Mts5 Nery5 Roberts
Member and wittrawirpers￿ Mrs Deryi Roberts
Member
MÈmbo
Prwld¢n¢
Bankers
HSBC
SL Petsr's Square
RUTHIN
Den￿2h$hire
LL15 IAB
Independent E￿mInOr
R A Robert& 8k
Hlll & Roberts
Chartered Accountants
l Tan y Castell
RUTHIN
Oenb￿hShlre
LL15 It)0

CYFEILLION YSBYfY RHimiuN
RufHIN HOSPITAL LEAGUE OF FRIENDS
TRUSTEEY ANNUAL REPORT FOR
THE YEAR ENDED 31 MARCH 2023
STrUCTURE. GOVERNANCE AND MANAGEMEKf OF THE CHARITABLE FUNDS
nder a written constfLUtion adopted on S Septwnber 1963 (as amended 3 September 1971 and revised 14
November 2018) and Fverned by a Committee of Tnjstets. Kuthin Hospiral League of Friends became a
registered chariry on 19" Ottober 1971.
Thp Charity changed Its name from 'The Lwe of Frlèids ofthe Ruthin Ho¥￿, to Yluthin Hospitai League
of Frlen&" on the 14 Novem￿ 201&
The Charlty only one vnreStrkt￿ fund at present wh5th it uses In furtr￿ra￿ of its obiecuves. Day to day
management of the fund 15 carried out by its Tru5tet& The Truxees are dected from the Members of the
Lewè and are the Chalr. Secrewy. Treasurer and up to two other Trusreu vtho are r￿t dected
Offlcers must resi￿ afw three year4 Tryjt ¥t eligible for re4ection.
Members of the Leagve are dected ¢)n a rotstiord thrtt ye¥ ￿$1$ at the annual n￿etIn& Membershlp
ol the League Is by recommendatlort and open to any indwidual over the age of 18. Should any appointments b¢
required duringthe year. to say a principat olRcer's pos4 thls would be made by the existtn8 Trustets and ratified
by the Members at the nex¢ i¥xarterly meetir¢
The Charlty has no soff.
STRATEGIC OBJECTIVES
The obJec¢8 of the Clwrfty #re a5 follow
(a) Mobllls4 encourag4 foster #nd the krterest of In the and the work ol th¢
h05pFral: and
(b) Enhance th• sep4tce prwd¢d by the H¢)spir21 for health, welfaré and comfort of the inpatients and
ou¢patients and In the whJer ¢ommuni¢y by 5upplymg equ5pmerit and other provtslons whith may be
roquired for the trtaunenL <are and comfort of suth patients.
BENEFIT TO THE PUBUC
Wh•n planning our Y￿rk for the year, the Truxees conskler the charl¢y commlsslon guldance on publlc benefiL
In particvlar. we rry to help and 5upporrthe patienty rogethervAth their relauw and staff ofRuthln Communi
HOSP￿31 and associated local opeftrlr￿ by Providw￿ fvn& to improve the equlpment and amen￿leS of the

CYFEILLION YSBYfY RHUThUN
RUThiN HosprrAL LEAGUE OF FRIENDS
TRusfEES' ANNUAL REPORT FOR
THE YEAR ENDED 31 MARCH 2023
AcnviTIES
Due to recurring CoNI&19 rwric1i￿ al￿ refurblshmwrt aCtt￿ty. the dwiw vr4s unable to operate the small
shop at the Ruthin Community Htsspfi￿ thr* the N•ts)le year. The trustee5 arE proud to announce that
the refvrbthed café and shop VAS reopened towar& the end ofthe firAncial year. No fun&raising events were
held during the year, however, the dwiy was able to sdl their Christmas though local shops and all Stock
vrts AJI income gwtted is used to xwove ho4)iDfs facilities S)r both patient and soff.
ACHIEVEMENTS AND PEIIFORMANCE
The Charity has been active in the pursult of Its obleap￿S over the lax year. Income has Increased by
£51.081. G¢ner￿ donations reCeI￿d increased by £49.755 from £47.036 to ep6.791. and indudes a legacy
reC￿￿d during the year of £94.7S9. Chri5tiTB5 card sal* with the hdp ofthe members ofthe League and lo
￿erat￿ £1.13012022 . £1.014). they have also rteefr￿d ITO dorNuons from tl* sale of paintlng5. The
shop has genernted It)C￿ne of £32 this ytsr. The missing interest from the NS& l Bond now been restored
and income from InvtstrT*rts 14$ wKreased fr￿n £4 to £1. 111 an of £l.108.
The spent a803 P022. QI455) on items and amerdts for the hospd in the year and so far have
commltted to spÈn&ing £38335 Q022- as.1￿> In the current year. The Charity believes that supporting the
hospiol and similar assothted prolects wovfjdes a grea¢ dell of benefft for the patients and thelr famllbes and
asslsts the sraff tn the performarKe oftheir
viithin the hosplttl's budg•t and iThyroves the weHbeln8 of the patlent
FINANCIAL REVIEW
Inyestmert Pollcy
The investment Objecti￿ is to yi•ld a a(incom• in orthr to par* safe8wd the funds
benchmarks.
It Is the policy of the Chary ro maintsin unrestricted fvnd& t*thkh are the fre• reserves of thè Charfty. net of
Investmen￿ a¢ a level which equates approxlmately to srx months expen¢&vJr& This provides sufficient funds
a position zo respond to requests for hospitsl equlpment wthkh may aris
The CW is WC•rkinz with the h05piuI to formultte a pkn that wlll best addilional funding throUg￿Ut
the year. This means thatthe Unrestric￿ fvnds of the ch￿￿ty Y+rill re￿￿1n ata levd above that whith is nornul
requlrtd for possibty several year5 to com& It is the hope of the Clwrty that this xddmonal fvnding will be used
soon as praaidty po55ible on the ri8ht proiecrs- This process was be&￿ In 2021. and the Charity has ag￿n
committed to 5iwiftc¥nt spending as at the 31 March 2023 <plÈa5e ￿ rK>t* 8 ofthe frnwiol Statem￿}.

CYFEILLION YSBYfY RHUThUN
RLTfHW4 HosprrAL LEAGUE OF FRIENDS
TRusfEEY ANNUAL REPORT FOR
THE YEAR ENDED 31 MARCH 2023
Covld 19
The Charity h4$ suffici•rt reser￿$ to meet its thy to thy for the foreseeknle fijty￿ The Covid 19
pantJemK had required the dosure ol the sh4) and rththments counter within the Ruthin Hospital since 17
March 2020. The faci15ty has been relurblshed and rEopryL
The Chary redistribuod its strfk of Chrlsunas ards to a number of local communty shop5 withtn the
catchment area of Ruthin Hospital. Thè sales ha¥e be￿ extr￿* good and the Tntstees wil conslder th
praaice for the fijtur
The thy to day operatlon of the Charity has bw to rebJrn to a ntrrTkL with but face to face rneetin
recommencin& The Trustees coniinue to ffw)nitor requesLS from Ruthln Hoswul by ￿all and telephon&
ed on behalftsf the th¥r1￿$ tru%tees
SI￿l￿re
Full Nam•
Position
Miss Morfudd M. Jonos
Chairperson
1>4t

CYFEILUON YSBYfY RHirrHUN
RUTHIN HOSPITAL LEAGUE OF FRIENDS
INDEPENDEKf EXAMINER'S REPORT TO THE TRusfEES
OF RufHIN HosprrAL LEAGUE OF FRIENDS
I report to the trustees on my examhmtion of the accounts ofthe Ruthkn Hospd Lew of Friends (the Tntst)
for thÈ yw ended 31 March 2023.
thè requirements ofthÈ Charittes Act 2011 Cthe Art).
I report in respett ofmy eY2mina¢icm ofthe Trurt's att(￿nts carried ou¢ sectlon 145 oftrt 2011 Act and
under 5e(tion 145(5l(b} of the
wlth the examinatyon me cause to belttht that In any materlal respect
accountlng records were not k*pt in rw of tht Tno¢ as required by seth 130 <rfthe or
the ac¢ounrs ¢Jo not accord with those rewrt" or
the accour)ts do not compty with the appllcable requlr¥ntylls ccmcerning the form and ¢¢￿tent of
¥tounts se¢ ou¢ In the Charriies (kn￿nts and Reports) Regulation5 2008 other than any req￿reMert
that the a¢¢ounts give a 'true and fatr ￿e￿ which 15 not a mtr considered as part of an Indeptndent
I confirnb that there are no other YrAtttrs to vknith attentkn shodd be dra*Tr In thls rer*Jrt kn orthr to enable
a proper und¢rs¢andkng of the accounts to be reache
R A Roberts Bsc FCA
Hill & Roberts
l Tan y Castell
RiJfHIN
LL15 IDQ

CYFEILLION YSBYfY RHUTHUN
RufHIN H￿AL LEAGUE OF FRIENDS
STATEMENT OF FINANCIAL Ac￿￿￿Es FOR YEAR ENDED 31 MARCH 20Z3
21123
2023
2022
nd
INCOMING RESOURCES
Income and endo￿ fr￿L.
l>onations and legacies
9&791
94791
47.036
Other trading activities
Hosplral shop & ￿h¢r sale5 Income
32
32
1.014
1232
1232
1.014
tional Savings Bank Income Bonds
HSBC 8onk accounts
757
355
757
355
1.112
1.112
TOTAL INCOME
99.135
99.13S
4&054
RESOURCES EXPENDED
£¥pend￿re on..
Raisins funds
Shop supplies
Christma5 cards
209
478
478
900
1395
1395
21355
Chrlstmas fund I glfts to patien¢5
l763
l763
21455
Hire of h￿1
Ptintyn& ¢opfvg & a¢tr¥erts
AtTiliation fee5 2nd insurance
Solicitor fees {Estate of Patrlda Reth￿d>
Independerbt examiner's fee
Bonk tharges
Ex%rntia y(ts and svndri•5
645
645
96
492
492
28
395
1.445
1.445
989

CYFEILLION YSBYfY RHUTHUN
RiTtHIN HosP￿AL LEAGUE OF FRIENDS
STATEMEKf OF FINANCIAL AcrivrnES FOR YEAR ENDED 31 MARCH 2023 (cont'd)
2023
2023
2022
fund
TOTAL EXPENDMJRE
4.895
4.895
24.344
Net income l (expendithre) befr•rn
Investment 8th$1 (lojses)
94240
94240
23,710
Net gdins l (losses) on inbtstments
Net income l (expendltsTh)
94.240
94.240
23.710
NET MOVEMENT IN FUNDS
94.240
94.240
23.710
Reconclllatlon of fvnd%
Total fijnds brought forAvd
14&568
148,568
124.858
TOTAL FUNDS CARRIED FORWARD
£241808
£241808
£148.568

(FEILUON YSBYfY RHUThUN
RLttHIN HosprrAL LEAGUE OF FRIENDS
BALANCE SHEEf AS AT 31 MARCH 2023
Z023
2022
FIXED ASSErs
10
CURRENT ASSErs
Stock
Debtors and prepaymerrfs
Ca¥h at bank and in hand
61
12 190387
97.656
190.648
97.656
CREDITORS - Amounts
falllnz due wlthln one year
Credltors
cruals
13
13
1360
1140
NET CURRENT ASSETS
94368
NET ASSETS
£141808
£14568
Reprexntsd br.
FUNDS OF THE CHARITY
Unrestriceed funds
14
24Z8(*
148.568
TOTAL CHARrrY FUNDS
£241808
£148.568
Approved by the trus￿$ on ................................. 2023 and *d on Its behalfby
Mr David McGeou8h
Treasurer

CYFHLUON YSBYTY RHUThUN
RLrfHIN HOSPITAL LEAGUE OF FRIENDS
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2023
AccouKllNG POLICIES
reCOgn￿ed at CQSt or transaction vatue unless other4vse statyd in the releyant notes to these accountL The
Accounting and Reporting by Charitie5 preparing their accounts in actordance with the ￿nancIal Reporting
Standard applicable in the UK at)d Republk of Ireland (FRS 102) elteaNe dats l January 2019 and the CharirJes
Art2015.
The tr￿st constittrtes a pthlic ber*fi¢ enu¢y as defined by FRS 101
concern.
Funds structur•
The charity has a stngle unrestrSrtd furf %*thith the trus¢ee5 are fret to use for any purpose In
furtherdnce of the tharltsble <)bie
Ineome r•co8Triti¢)n
All income Is recognlsed once the dwity has entrtlemait tr• the Int￿ probable that the Income will be
re¢eived and the amount of income recewable can be measured relmbty.
t>OnatI￿ are recognlsed vlthen the Trusf has been notilled in WTNng of both the amount and settlemènt date.
In the event that a th)nauon is 5ubjett to conditions ttrAt require a level of PerforM￿ce before the chariry 15
enrltfed cts the fiJn(& the Income Is deférred and not rncognlsed un(il thr those condltions are fijlty meL or
the fulfilment of those condmons is wholly within the control of the chari¢y and ir 15 probable that those
onditions will b¢ fullllied In the rtporting porio
Legacies are recwb5ed on a case by cas• folDwln8 the 8rant¥ry of probate Wh￿ t
administyatorlexecutor for the estate ha5 communicated In wrlting both the amount and settlement date. In the
event that the 15 In the form of 2n asset other than cash or a firwthl asset traded on a recognised stock
exchan8e. reCo￿lI1¢n is su4.eec to the *filue of the being reliabty measurnble a ¢je￿ of reasonable
accuracy and th¢ litle to the a$5et having been trartsfe￿ to thè ctrArlty.
Inrere5t on frJn& he￿ on dysrt IJ Incbjded WI￿1 recthabk and the am(yJnt be measured rellthly by thi
nditure reCo￿lt10n
Liabilitie5 are recognised as expendrturE as scon as there is a legal or Constructi￿ obrigati￿ committing the
charity tts that expendrwr4 it is ￿0babIe that Settle￿ wim be required and the awrKwnt of the obliytion can
be measured reliabty.

CYFEILUON YSBYff RHLrrHUN
RUTHiN HosprrAL LEAGUE OF FRIENDS
NOTES TO THE FINANCIAL sfATEMEKfs FOR THE YEAR ENDED
31 MARCH 2023
The Inyestment is a form of b3si¢ fi￿n(la1 instrument and Is Irtrlially rwi5ed at the (Trnsa￿ value. Th¢
statement of financml actyviues does not inthde the net gains and losses arising on revaluation and <K5posals
throughout the ye¥, as the Investsne￿ is in the forni of Bond receNrng a ￿ed rate of interesL
Rea115ed galns and losses
All gains and losses are taken to the Statement of financial ActivIts￿ as ttrw Reali5ed gains and losses on
investments are cakulated as the difference between sales proceeds and their s¥enlng carrylng value or their
purchase values rf acquired subsequ￿¢ to the first thy of the financial year. Unrealised gains and 105ses are
ojjated as the drfference between falr **alue at the >wr and their orrying vabJ& Realhsed and unreaused
I￿es￿￿ent &&ns and losses are combined in the Statemwbt of hnancial Auwrues.
Stock
Stock 1$ measured at the lower of cos¢ and es¢imated selllng prke less costs to complete the sal
Uabllity reco8nltlon
Ll4bllldes are reCo￿lSed whére It ￿ more ItTrely than not that there ￿ a 14al or constructive obligation
commi￿llg the thary to pay out resources and the amount of the *)bligation can be measured with rea59nable
FlnwKlal Instrumerts
A firrdndal asset or a financial Imblltty Is recognlsed only the Owlty bec<rfT￿ a pary to the contracuol
provlslons of the [n5tNr￿nL Basic finanaal instrum￿￿ art Inèrlalty rÈcozn15ed at the transaction prk< unlèss
the arrangem•nt consrlDJrts a finanung trJnsac¢ion. *I￿re It is recognised at the prt5ent value of the future
payments dlscounted ￿ a market r* of interest for # simil¥ debt in5trumenc Debt instruments arn
subsequentty m¢asur•d at amortlsed COSL
at the end of each reporrlng datL If there is objeaive evldence of implrmenE an 1rrprftr￿rt Ios¥ 15 rncognlsed
Any reversals of impairnKnt aro reco8nised in the Sratement of ￿nanCi￿ AthrESes Immedltt*. to the extent
t the rwersal doe5 not result in a carrying amount of the firAnciil a5se£ that exceeth thÈ carying
amount would have betn had the in¥>airment not Pre￿OU5fy been recwise
STAFF cosrs AND REMUNERATION
The w￿rage number of Iynplgyees thring the year nil (2022- nil)- The totsl of employee
benefrts for the year nil (2022- nit).
DONATIONS AND LEGACIES
2023
2012
General donations
Donation5 in memory of
Will of Patricia Redmond
Will of Mair Roberts
585
1.447
5230
1914
38092
94.759
£96,791
£47.036

CYFEILLION YSBYfY RHUThUN
RUTHIN HosprrAL LEAGUE OF FRIENDS
NOTES TO THE HNANCIAL STATEMENTS FOR ThE YEAR ENDED
31 MARCH 2023
FUNDIIAISING EVEpirs
S￿¢ of Painting5
Sate of Christrros cards
70
1.130
IX+14
£1.200
£1.014
ITEMS AND AMENITIES PURCHASED FOR HOsP￿AL
Wipes and Dislnlectxnts
Baker Cabinet for café15hop
Swlng signs for cafélshop
Tabards for cafélshop
Newspapers and myzir
G¥dening cojts
Office thalrs x 6 (dNftrwKe In prlce)
ECG Machine
Phlebotomy Trolley x 2
Shop & relatfves room
Cablne¢ Frits Toastèr for shop
Chalrs & Tabkn for shop
TV & Wall rnourt for room
Phlebotomy choir
Sum up card rnad•r
230
436
425
549
459
780
4.356
10.297
957
1836
650
lJ60
Q395
£21355
Payment for the item marked • Is outsMidin8 at the 31 Marth 2023 as the prldng Is under
dWt&
CHARITABLE EXPENDITURE ACCORIDNG TO ACTNMES
2023
2022
Raising fund5
Expendi￿re on ¢haritsbl•
783
1763
21394
950
Governance cosrs
624
624
£3.450
£1.445
£4.895
£24.244

CYFEILLION YSBYfY RHufHUN
RLmiiN HOSPtrAL LEAGUE OF FRIENDS
NOTES TO THE FINANCIAL sfATEMENTS FOR THE YEAR ENDED
31 MARCH 2023
ANALYSIS OF SUPPORT cosrs AND GOVERNANCE
2023
2022
Flnance and office
Profession￿ fees
39
96
624
624
950
£96
£1.349
£1.445
£989
CHARITABLE COMMITMENTS
The League has alrea(ty entered Into the fcthwkng tharl4ble roTh￿l￿￿entS as at 31 March 2023..
Renovations to Hwithl reception area
Dlning tables & d4lrs. coffee tables
4,157
5,142
4.036
5 x AryhvAter rttyded Pknk benthe5
Total commirments as at 31 M¥th 2023
£38J35
Total commltments as at 31 Pkrth 2022
£25.000
THE RESOURCES EXPENDED BY THE CHARrrY INCLUDE
Independent examlnerfs fees
The tharge for the indewdent examlrAtkn althtt fr￿￿111 s[at*m￿ vrns É492 (2022 £488).
io
FIXED ASSEf INVEsfMEKrs
2023
2022
As at l April 2022
Addiuons
Di5P0s￿S
At 31 March 2023
£54.000
4.000
In¥es¢ments at fair value comprised of only one cFass of Invests￿ wthich 15 a lash or cash equlvalent

CYFEILUON YS8YrY RHUTHUN
RLrfHIN HOSPITAL LEAGUE OF FRIENDS
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2023
DEBTORS
2023
2022
12
CASH AT BANK AND IN HAND
2023
2022
Bank current attount
Bxnk de￿$1¢ ac¢obJrt
Cash In hand
31704
157.883
79.887
17.769
£190.587
£97.656
13
CREDITORS- Amounts
falllng due wlthln one y
2023
2022
Credltors- knenlries h05prt￿ equIpi￿t
Accruals
1.360
2.140
£1,840
É3.088
14
MOVEMEKfs IN THE FVNDS
At31
Outzolng Transfen At 31
March
1023
2022
Regtricted hjnds
IK568
99.135
{4M95)
241808
Total fund5
£148.568
£99.135
q4.895)
£241808

CYFEILUON YSBYfY RHLrtHUN
RiITHIN HOSPtrAL LEAGUE OF FRIENDS
NOTES TO THE FINANCIAL sfATEMENTS FOR THE YEAR ENDED
31 MARCH 2023
15
ANALYSIS OF NET ASSEfs BEfwEEN FUNDS
General Fund
TawNe f￿¢d assers
Fixed asset invests))
Net current assets
188,808
£24I808
16
RELATED PARTY DISCLOSURES
The trustees all fredy their time and expertise wIthO￿ any forni of remunerntitin or other benefit
In kind {2022 - Lnil). STrnll eX￿at• 'thank you. gi￿ to the tool value of £40 were 8i¥en to three
trustees 2nd two rn￿berS durfng the ￿r. fthng the year t4VO trLt5tee5 v￿e reimbursed expenses
(5wionery, postaTr Chrtstyw sifts lor Pati￿ts and fiowers) of a78 P022 two trustees. £396).