REGISTERED CHARrrY IYUMBER: SC027348
REPORT OF THE TRUSTEES AND
FINANCIAL STATEMENTS
FOR THE YEAR EP¥TIED 31 MARCH 2022
FOR
Arrao Cancer s￿p￿rI Trnst
Chartered Accountants
Pavilion 2
i Dava Street
Broornloan Road
Gla4oow
G512JA

Arran Cancer Support Trust
CONTENTS OF THE FINANCIAL STATEMENTS
For The Year Ended 31 March 2022
Page
Report of the Trusttts
Indepelldent Exarni4er's R¢w)rt
Statement of FinaDcial Activities
BalaDce Sheet
Note5 to the Finaneial Statements
7 to 12
Detsiled Statement of Fin#Dcial Activities
13 to 14

Arran Cancer Support Trust
REPORT OF THE TRUSTEES
For The Year Ended 31 March 2022
The tsu5tees present their report with the fmancial ststements of the charity for the year ended )1 March 2022. The
stees have adopied the provisions of Accoutttints and Reporting by Charities: Statement of Recommended Practic¢
applicable to charsiies prepar¢n(r their a¢counts in accordance with the FitWLcial Reporti￿￿ Stsndard appltcabl¢ in tFte
UK and Republi¢ of Ireland (FRS 102) (effrctive l January 2019).
ORIECTIVES AND AcfiviTIES
Objectivu and aims
To provide transport to and from island and main12Dd hospithls for Cancer patients on Arran. Arcas driver& WIK) are
volunleer5, will wllect patients from the fe￿ terminal at Ardrossan and ttke theEll to the appropria* hospital for their
appoinThent. The driver, or another. will then bring them back to the ferry terniinal. On Art7n. a ￿xI service is used to
take pauents to the Brodick feny tenninal aTrJ home when necessary. Patients can apply for a ferry travel warrant
to cover ihe cost of a fcrt)t p&ssenoer retyrn kn foreath of theirhospital Yisits.
To ￿0Vide equipment to hospital& loc￿ swoeries and community nurses which will help in ihe treatsnent and wellbeinrr
of those islanders who have cancer. Numerous iterns of equipment su¢h &% ¢onunodes and beds for the Community
Nurses to use in patienis, homes, canw diyJosi5 aids for the Arn Medical Group surfrertes e.g. dlgitsl cameras, breast
awareness model. a Relatives Room prepared alld fvrnished at Arran War Memorial Hospital and a storage facility for
Community Nurse equipmenL
To provide rounselling and complemenw therapy to cancer patients on Anan. Ea¢h pati¢nt is offetrd six sessions. the
practitioners bein(T fully qualified and registered professionals Én thesr fields. To fund the post of Director of Cancer
Services for the is12rtd, the position to be recruited and employed by the AyTshire and Arran Health Board through the
Arran Medical Group.
All the aboye services are provided in the stridest confidence and atno cost to the patient
Volunteers
Approximately 40 voluTL¢eers give their time lo sthff the Charity Shop which 15 the main source of income. They give
over 90 hours a week and their input is essential. The Tn￿teeS also give their tim¢ voluntarily on working in the shop.
administration. accountin(r and co-ordinating the transprt nttds of the patients and atTangintr Complementary Therapy.
Page I

Arran Cancer Support Trust
REPORT OF THE TRUSTEES
For The Year Ended 31 March 2022
ACHIEVEMENT AND PERFORMANCE
Charitable activities
aneer Care Su
ort
urse
We have pled(red £)O,000 ea¢h year for the Arcas support nurse who perforn)s a very import8nt role in the physical and
emotional care of Cancer patients throughoui their i]Iness.
has quickly adapted to this role.DuriT2g lh¢
lockdown she h&$ been in contact with many patients who ￿herwiSe rnav not have been supwrted by her. She h&% an
onc•oinu hea￿Y workload and 15 greatly appreciated by Am Medical Group and the families she supports. We have also
donated baby alarn)s. themiometers and nebu]is¢rs lor use by chemotherapy patient5.
Patient TT￿ Ort
Th¢ transport system remaTns the other main reason for the existence of AJCaS, and patient transfers and ferry travel
are much appreciated by patients and their families during difficult times. During the year to 31 March 2022
our drivers made 28? run5 in which they covered 19529 mile5. There were also 79 taxi runs on the tslan
These figure5 are all up on I&M year but both y¢ar5 have be￿ affectrd by variable Covkd regulaiiiffls.
Th¢ organisation of traTtsport has bttll difficult. In February alone 51Y/o of 32 Ix>(>kings made were cancelled and 4 oui
of 10 t&xi runs were camcelled. These probl¢ms have been due to Covi(L weather or frny problems or sometimes all
We hope forsmc>other weather ahead!
Well
in
ort
As in the previous year most iher4)ies have E*en affected by Covid a]I1￿ugh thiw are now iTnprovin(*. The many
therapies offered have been much appreciated by patients at a difficult time of their Itves. We fjjnded a iotal of IJ I
therapy sessions over the past year.
The Arran Cancer Support group has been able ￿ fiJncEion again recently and we have disltibuted cards to raise the
profile of the group within the local rAylation.
Fundraising activities
In 20? I shop in¢om¢ and fi￿ctionIn[r wa5 Serio￿[Y affected by Coyid. Our first priority always been the safety of
our staff, volunteers and customers. Shop fijnctioninv 15 much more back to nornul levels now aT]d we are I<Miking at
possible new income streams.
Improvintr our rnethods of publicisiDg Arcas and Tmpr()ving our digital fcK)tprint are irnportant issues which we are
a¢tively PUTsuing.
We are currently considering employing an Arcas support efrordinator. part of wh05¢ duties would include the
developmeTLt of our fund raising activities. Other duties would include being a first point of contact and signposti￿tr to
the various services we offer.
FINANCIAL REVIEW
Finantial position
Our source of income is our charity shop. Intorne from the shop s¢riously affected because of Covid ¢losure,
but we are now almost back to norn￿1. As mentioned last year. We￿ it not for government ydnts we WOLLld Ix in a
ditTicult position.
We ¢ontinue to 5UPP)rt all transport and well requests. alontt with our e¥nctt ¢are nurse. alld ongoing equipment
store rental.
Bank baLances at the end of March 2022 were.. BBS £￿.181 and Bar¢lays £53,410 making a total of £145.591.
These figure are up from Iast year because req￿ts for services have been reduced but this will change soon. Shop
in¢ome remains higher than ever.
Reserves policy
It is the Tnstees, policy to retain a minimum of £60.000 tn ￿n￿served fithd8 to enable the transpoN service to ¢olltinue
in the event of a sudden drop in incorne. This is the PTimary reason for the existence of Arcas and is therefore our
priority.
srRUCTURE, GOVERNANCE AND MANAGEMENr
Governing doeumellt
Arcas is a SCIO and the governing docum￿ is th¢ ¢onstitutiOD.
P4fre 2

Arran Cancer Support Trust
REPORT OF THE TRUSTEES
For The Year Ended 31 March 2022
STRUCTURE, GOVERNANCE AND MANAGEMENT
Recrurtment And appoint]nent of new trustees
Trustee recruitsnent is done by ihe existino Trnstees identifyiAg persons who have shown an interest in th¢ workings of
ArC2S and have a reputation for positive community involvement. If there is a vacancy their names are put fotward io
th¢ Committee and, if approved by them, invitatiotL to join is offered.
REFERENCE AEND ADMINISTRATIVE DETAILS
Registered Charlty number
SC027348
Principal addres$
The Pier
Brodiek
tsle of Arran
KA27 8AU
Trustees
Inde
elldertt E%aminer
Approved by order of the board of tru5t¢e5 on 7 June 20?2 and $igned on its behalf by:
T￿￿tee
Page 3

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
ARRAN CANCER SUPPORT TRUST
I report on the accounts for the year ended 31 Marcb 2022 set out on pages five to tsvelve.
Respeetiie r¢spott$lbilities of trustees and ex*mlner
The ¢hariry's I￿SteeS are responsible for the preparation of the aceotmts in accordan￿ with the ternL8 of the Charities
and T￿tee Investtnent (Scotland} Act 2005 and the Chartties Accounts (Scotland) Regulations 21M)6 (as 2mended). The
chariry's trustees consider that the audit TequTreTnent of Regulation 10(IXa) to (c) of the Aecounts Regulations does not
apply. It is my responsibility to examine the accounts &8 required wider S¢¢tion 44(IXc) of the Act and tts state whether
particular mktters have come to rny attention.
BasFS of the independent examine￿$ report
My ¢kwninati(m was canied out in accordance with Retsulation I l of the Charilies Aecounts (Scotlandl R¢gulatio
2006. An examination includes a reyieiv of the accou￿1￿￿ records kept by the charity and a comparison of the accounts
presented ￿7th those records. li also includes Consideration of any unusual items or disclosures in the accounts, and
seekino exp12n*tions from you &s trustees eoncerning ans. such matters. The proceduies undertaken do not provide all
the evidence that would be required in an audiE and consequently I do not expres5 an audit opinion ort the view given by
the account5.
Independent examiner's statement
In connection with my eYdminatior4 matter has come to my attention:
(l) which gives me reasonable cause to believe thal in any ￿￿er1￿1 rest¢cL the requirements
to keep accounting records ill accordance with Section 44(IXa) of the 200) Aet 2nd Regulation 4 of the 2006
Accounts Regulations. and
io prepare aecounts which accord with the accounting records and to comply with R¢gulatiotL 8 of the 2006
Accounts Regulations
have not been mei or
P) io which. in my opinion. attentton should be dra￿1 in order to enable a proper understandintr of the accounts to be
reached.

Arran Cancer Support Trust
STATEMENT OF FINANCIAL ACTIVITIES
For The Year Ended 31 March 2022
2022
Total
fimds
2021
Tota]
fjjnds
Unrestricted
Restricted
Sjnd
Notes
INCO￿lE ATriD ENDOWMENTS FROM
Donations and lega¢ies
22.497
22,497
92,024
Other tradinly acEiviiies
Investment inctsme
115.978
115,978
17261
Total
1)&519
138J19
109,321
EXPENDITURE ON
Raising fijnds
5i,688
53.688
46,691
CharitAble activities
AtTan Hospitsl
Genero1 Practices
Community Nurses
Patient Transfers
Ferry Transfer Warrdnts
Wellbeino Support
Payments to Pati¢nlS
2J50
30,1KKI
2.550
iO,O(K)
30.99)
138
14.317
128
17.8TI
406
6.9)4
1243
17.877
406
6,934
1,243
872
Other
1592
1.592
3,386
TotAI
114290
114290
103.515
NET INCOME
24229
24,229
5,806
RECONCILIATION OF FUNDS
TotAI funds brtsuuht forward
225.910
330
226240
TOTAL FUNDS CARRIED FORWARD
250,139
250,469
226,240
The notes forni part of th¢se fin¥n¢ial swem¢rtts
Page 5

Arran Cancer Support Trust
BALANCE SHEET
31 March 2022
2022
Total
fijnds
2021
Total
fimds
Unrestricted
Restricted
fund
Notes
FIXED ASSETS
Tanoible assets
105,225
105,300
CURRENT ASSETS
Cash at bank and in hand
145.604
i30
121.600
CREDrroRS
Amounts falling due within one year
(690)
(690)
(660)
NET CUiiREKf ASSETS
144.914
330
145,244
120.940
TOTAL ASSETS LE&$ CURRENT
LIABILITIES
250.139
330
250.469
NET ASSETS
250,139
250.469
226,240
FUINDS
Unrestricted fimds
Restrieted funds
250,139
225.910
330
TOTAL FUNDS
250.469
226,240
The financial statements were approved by the Board of Tn￿ and authorised for issue on 7 June 20L? and were
sioned on its behalf by..
Twstee
The notes form part of these financial Statements

Arran Cancer Support Trust
NOTES TO THE FINANCIAL STATEMEKrs
For The Year Ended 31 March 2022
ACCOUNTING POUCIES
BASIS OF PREPARINC THE FINANCIAL STATEbfEprrs
The fmancial Stalen￿nts of th¢ ¢harity. whi¢h is a public benefit etttity utthr FRS 102. have ken prepared i
accordance with the awities SORP (FRS 102) 'Accounttng Jnd Reportino by Charities.. Sta*rnent of
R¢¢oTrunended Praciice applicable io charities preparin4J
their accounts in 2e¢ordanee with the FiTJancial
Reporting Standard applicable in UK and Republic of Ireland (FRS 102) (effcctive l January 2019)..
Financial Reporting StandaTd 10? Yhe Financial Rep)rting Stsndard applicable in the UK and Republic of
Ireland, and the Charities and Tnstee InvestTnent {S¢otlaTrd) Act 2005. The financial statements have been
prewed under the hi#oficai cost ¢onventio
ENCOME
All income is recogThised in the Statement of Financial Activities on¢e the charity h&$ entStlernent to the fimd5, it
is probabl¢ that the incotne will be received and the atllount can be measured reliably.
EXPENDITURE
Liabilities are recoouised &8 expenditure as s(M)n as there is a legal or ¢oustru¢tiv¢ obligation ¢OTnmittinu the
charity to that &YpendittJre. it is probable that a transfer of ecrjnomic t¢n¢fits will be required in settlemenÉ and
the amount of the obligation can be measured F¢liably. Expendiwre is accountrd for on an accruals basis and has
been classified under headings that &ggregai¢ a]1 c05t ￿lated to the category. WThere costs eannot be directly
attriiNJted to particular headings they have been allocated to accivities on a basis consistent with the use of
resources.
Grants offtred subject io conditions which have not been met at the year end date are noted as a comll)itment but
not accrued as expendibjre.
TANGIBLE FIXED ASSETS
Depreciation is provided at the following annual Ta￿ in order to WTite off each &4set over its esiimated useful
lift.
Freehold propety
Computer equiptneni
in accordance with the propety
. 20% on cost
The tru5te¢s ¢onsider that the value of the PTDperty at The Pier. Brodick &s stated in the accounts is accurate and
that ongoing maintenance policy will ensure no reduction in ivs value.
TAXATION
The ¢harity is exempt from t&x on its clwi¢able ￿tiVItIeS.
FUND ACCOUNfiNG
Unrestricted fjjnds can be used in aecoTdance with the charitsble objectives at the discretion of the trustees.
Restricted tljnds ¢an only be used for particular restricted purpM withtTr the objects of the charity. Restrithions
orise when SFecified by tbe donor or when fimds are raised for particular restricted purpose&
Further ¢xplan*ion of the nature and putpos¢ of eath fiwd is included in the notes to the financial statement&
PENSION COSTS AND OTHER POST-RETIREMENT BENEFrrs
The ¢hariry operates a defined Corttr￿[ tion pension scheme. ConknEutions payable to the charitys pension
scheme are chary.wed to ihe Statement of Finartcial Activities in th¢ P¢Tiod to which they relate.
Page 7
continue￿..

Arran Cancer Support Trust
NOTES TO THE FINANCIAL STATEMENTS - continued
For The Year Ended 31 March 2022
DONATIONS AND LEGACILS
2022
2021
Donations
Gift aid
Grants
VAT Repayments
12.238
10,914
207
79.856
,047
9.613
646
22.497
92,024
Grants received. included in the above. are as follo
2022
2021
Coronavirus Job Retention Scheme
Covid Closur¢ Grants
Co-op Local Community Fund
Third Sector Resilience Fund
Other grants
337
7.000
22,550
22.000
22.917
2276
79.856
OTHER TRADING A￿1VITIEs
2022
2021
Shop incorne
115,978
17261
INVESTMEiYT INCOME
2022
20?]
Deposit account it￿ereSt
44
TRUSTEES, REMUNEIi4TION AhT) BENEFITS
There were no trustees, ￿MUneratiOn or other benefits for the year ended 31 March 20?2 uor for the year ended
31 March 2021.
TRUSTEES, EXPENSES
There were no bl￿es. expenses paid for the year e￿I¢d 31 March 2￿22 rM)r for the year ended JI March 2021.
Pltre 8
¢ontinued...

Arran Cancer Support Trust
NOTES TO THE FINANCIAL STATEMENTS - continued
For The Year Ended 31 March 2022
COMPARATIVES FOR THE ￿ATEMENT OF FINANCIAL ACTIVITIES
Ut)restricted
f)Jnd
Restricted
thd
Total
fitnds
IDICOME AND ENDOWMErifs FROM
Donations and legacies
69.106
22,918
92,024
Other tnding activitie5
Inv¢slment income
17261
17261
Total
86.403
21918
109,321
EXPENDITURE ON
Raisin(p fimds
43,712
2,979
46.691
Charitable a¢tivitie5
Arran H05Pital
General Practices
Cornmuniry Nurses
Patient Trwfers
FeThy Transfer Warrants
Wellbeing SupFQrt
Payments to Patients
400
i0.995
138
3.400
30.995
138
14.317
128
3,588
872
128
3.588
872
Other
2,164
Tot¥1
80.927
22588
103,515
NET INCOME
5.476
5,806
RECONCILIATION OF FUNDS
Totsl funds brought forward
220.4)4
220.434
TOTAL FUNDS CARRtED FORWARD
225,910
Page 9
continued...

Arran Cancer Support Trust
NOTES TO THE FINANCIAL STATEMENTS - continued
For The Year Ended 31 March 2022
TANGIBLE FIXED ASSETS
F￿ehOld
property
Cotnputer
equipment
Totats
COST
At l April 20218nd 31 March 2022
105,(K)O
i75
105,375
DEPRECIATION
At l April 2021
Charge for yeax
75
75
75
75
At 31 March 2022
150
150
NET BOOKVALUE
At 31 March 2022
105,000
225
1052?5
At J l M4r¢h 2021
105.000
300
105.300
CREDITORS: AMOUPUS FALLING DUE WITHIli ONE YEAR
2022
2021
Other creditors
690
660
MOVEMENT IN FUNDS
Net
movement
in fitnds
At
At 1.4.21
Unrestricted funds
General fimd
225.910
24,229
250.139
Restrkted funds
Covid Resilience
3iO
3iO
TOTAL FUNDS
24229
250,469
Net movement in furtd& included in the above are as follows:
Incomin
Re50ur¢es
resources exp¢Dded
MDv¢ment
in fiinds
Unrestrieted fllrtds
Genernl fijlld
138.5l9
(114,290)
24.229
TOTAL FUNDS
1385l9
(114.290)
24,229
Page 10
¢ontinued...

Arran Cancer Support Trust
NOTES TO THE FINANCIAL STATEMENTS- continued
For The Year Ended 31 March 2022
MOVEMENT IN FUNDS- eontinued
Comparatives for movement in funds
Net
movemen¢
in fimds
At 1.4.20
31.3.21
Unrestrieted funds
General fvnd
220,434
5,476
225.910
Restricted funds
Covid Resilience
330
TOTAL FUNDS
220,434
5,806
226,240
Comparative net movement in fimd$, irAcluded in the above are 2$ follows..
Incoming
resources
Resources
expended
Movement
in fijnds
Unrestricted funds
Gener81 fund
86,403
(80,927)
5,476
Restricted funds
Covid Resilience
22,918
{22.588)
TOTAL FUNDS
109,J21
(103,515)
5.806
A ¢urrent year 12 months and prioryear 12 months combined position is as follows-.
Nei
movement
in fitnds
At
il.i.22
At 1.4.20
Unres¢ri¢ted funds
General fund
220.4)4
29.705
2iO,l)9
Restrlcted funds
Covid Resilience
330
330
TOTAL FUNDS
220.434
30,035
250,469
Page 11
ntinued...

Arran Cancer Support Trust
NOTES TO THE FINANCIAL STATEMENTS - continued
For The Year Ended 31 March 2022
MOVEMENf IN FUNDS- ¢ontinued
A CUTrent year 12 months and prior year 12 months combined net mov¢ment in funds, included in the abrJv¢ are
as follows..
Incoming
resources
Resow¢es
expended
Movement
in funds
Unrestrieted funds
General fund
224.9L?
(195217)
29,705
Restricled fund5
Covid Resilience
22.918
(22.S88)
i30
TOTAL FufiDS
247.840
(217,805)
io.
RELATED PARTY DISCLOSURES
There were no related party transactions for the year ended il Mawh 2022.
Page 12

Arran Cancèr Support Trust
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
For The Year Ended 31 March 2022
2022
2021
INCOME AND ENDOWMErirs
DonAtiQD$ leg¥¢ie5
Donation5
Gift aid
Grants
VAT Repa￿Thents
12238
10.914
207
79,856
1,047
646
22,497
92,024
Other trading activities
Shop income
115.978
17.261
Inve$tmeDt in¢otNe
Deposit account interest
36
Totsl incorning resources
138,519
109,321
EXPENDITURE
Otber tradiDg aetivities
Wages
Social s¢¢uriry
Pensions
Licensin
Repairs and Renewais
lrtsurance
Water Rares
Refi￿ Collection
Sundry Expenses
Auchrannie Room Hlre
43,747
2276
744
299
2,084
1,339
42.411
2,OfJ4
1,322
Ili
841
1.154
95
274
52.012
46,691
Charitable activities
Grants to insii¢uEions
Grdnts to individuals
34,395
19.043
26,460
59,010
53,4)8
Support costs
Management
Telephon¢
Pogtage aTKI s¢ationery
Advertising
Sundries
.285
66
235
670
1.040
100
638
632
2256
2,410
This page does not fiMTh part ofth¢ staDrtory fuwicial sr*tnents

Arran Cancer Support Trust
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
For Tho Year Ended 31 March 2022
2022
2021
Management
Governane¢ eogts
Accountaney and legal fe
Payroll Fees
Depreeiatioll of tangible fLxed assets
690
247
75
660
241
75
1,012
976
Total resour¢es expended
114.290
IOi,515
Net income
24229
5.806
This page does noi forni part of ihe statutory fI￿￿Kial statements
Page 14