YEY CANCER CARE LIMITED
(A ¢on)pw limited byguaiuth)
TRUSTEES, REPORT AIYD FthANCIAL STATEMEKrs
FOR THE YEAR ENDED 30TH SEFfEMBER 2025

KIDNEY CANCER CARE LTMITED
FINANCIAL sTATEfv￿NTS FOR THE YEAR E￿￿ED 30TH SEwfEMBER 2025
CoNTE￿rS AND ADMtNISTRATIVE INTORMATION
CONTENTS
PAGE..
T￿￿tEes. RetM)rt
Independeut Examinevs Report
Statemejrt of Finallcial Artivities
Balance Sheet
Notss to the Financial St&t¢tnents
8-16
TRUSTEES..
B J Grtenwood {CbaitDW)
NICOX
Prof G D Stewart
C D ThollL%
GFOX
G lTrades
Dr E Boleti
Profm Trall
COMPANY SECREfARY AND CHtEF oPERAT￿G oFFI￿R..
M Packer
REGISTERED OFFICE:
4 New Inn tAne
Guildford
GU4 7HW
COMPANY NUMBER:
05937304
CHARITY INCORPORATION NUMBE]L'
1120146 and SC043642
Shipley FCCA
For and on behalf of..
Prelltis & Co LLP
Chartered Accountants
& Indewdent Examin¢rs
115c Milton Road
Cambridge
CB4 IXE
vtCE PR&SIDENT..
Earl Freddie How¢
HONORARY VICE PR&SIDENT:
Tim O'Bri¢n
PATRON:
rd Addington

KIDNEY CANCER CARE LDAITED
PAGE I
FINANCIAL sTA1EME￿fs FOR THE YEAR ENDED 30TH SEFfEMBEK 21r25
TRUSTEES AKNUAL REPORT
The TnLSte£s pr4%nt their rep(xt together with the finaDcial sl*ments of th¢ chgrity for the Ye￿ ended 30th
Soptember 2025. The anuupl Teport serves the pury)oses of both a Trusteu, Report and a directors report undeT CO]npany
law. The TnLStees confirni t1￿ the anuual TCPOrt and ffnanci81 statement5 of the cl]aritsble company compty with the
cU￿t stat￿ory require]neDts, the Tequirements of th¢ thitabk company's governing document and the provision5
of the Statement of ReCOm￿ded Practice (SORP) atvlicable to clwities preparing their acc4)wJts in accordance with
the FiD8n¢id Reporting Standard appiicable in the UK aDd R¢pub]ic of Ireland (FRS102) (eff¢rtive 1st January 2019).
Since the charity qualifie5 a5 SDMII section 382 of the Compallies A¢t 2006, th¢ strategic report rEquired of medium
and large cornpanies undeT the ComFwkies Act 21Y)6 (Strategic Report and Directm. RerAlrt) Regulations 2013 has be¢
omitted.
OBJECTIVES AND ACTIVITIES AND PUBLIC BENEFIT
Policfi£s aad obje¢tlves
The policie5 alld objectivw of the cbarity are set agreed at the ¢F￿li￿S AGM whicb is held eath )¢areDd. 17
focus on providing Sup[￿ fDr kidney callctt patients and their carers, Tai5iDg awareness of the disease ¥rnOTWt the
profe&gional hea]th wmmwjity. the genernl wblic and governme￿ he4hh pknning audiences.
Jn setting d)jectives platming for artivitse4 the Tn￿et5 have given due ¢on5ideration lo general guidaTxGe
published by the Charity Commi￿10￿ fElatin8 to public benefiL iDclwJillg the guidance'Pub]ic benefjt.. nmning a
charity (PB2)'.
ACHIEVEMENTS AND PERFORMANCE
Review of aetiwltl¢s
IDtroduction to KithEy Canc¢r UK'S FinaDcia] Statcll*llts 2025
Looking back on 2025. 1 would like to thank every member of the Kidney ca￿ LX team for their dedication and
Commitsnent. Their efforts continue to ullderpin the dmrity's progress and i￿P￿t. We the UK'5 leading kidney
Charity. with a reach u10￿ than doublc that of other kidney wicer charitie5.
During th¢ ycar. the charity Continu￿ ￿ grow aod styengthen its capacity to deliver effertive and ￿5P0j￿8Ivc services. A
mlxlpst expansion of the Offictrb￿d team Tequired a move to laTger premises DeaA)y in Send, Woking. Limited further
staff growth is a￿l<1pated in the Cornn￿ year, buildillir on INJr curreot team of four office-based staff to ensure delivery
of our stratcgic objectiv¢s.
NHS service8 retnain ullder sigDific4nt stiaijk due to Fondemic backlogs w]d illdustri￿ acthon. AgaitL8t this backdrop.
Kithjey Can¢er LK has remaiDd f(￿uSed on sutp)rting kithiey wicer patienw their f8mill￿ aDd carers. We continue
to mitigate the tinpact of tr￿trIbeDt delays i)n paticnt wellbeing ￿ to advocatr forthe routine us¢ of our service
longside those of other specialist c4nc¢r ¢Fwiti4 wtthin NHS care pathways.
Our free telepholl¢ SuppDrt Lin¢ has remained a vttal srrvice, along5id¢ in¢re&sed eDgageTllent in our closed F4fEbook
support groups. Following the cessation of ibe Macmillan Coul￿])]￿8 5Brvice, deTnalld for our free rounselling provision
has incJeased. While a waiting list ha3 been necessary. Ht bave continued to rn¢¢t demand within existtng resources, with
capacity in this area a priority for 2026.
Th¢ chariws digital presence continues to 5tr¢ngtheAu with more than 3.(MX) members acro%5 four closed Facebook
OUPS. Our HE&tlthcar¢ Profrssional website has also gained tractio￿ with the Kidlley Cancer HCP Training PrograD]m6
remauJin8 a widely used NHS resou￿¢. Membership now slonds at almost 5(rf) users.

KIDNEY CANCER CARE iJMtTED
PAGE 2
FINANCIAL STATEMENTS FOR fAEYEAR ENDED 30TH SEvfEMBER 21r25
TRUSTEESANNUALREPORT......................
JCONrtNUED
ACHIEVEMENTS AND PERFORMANCE. Continued
The 12th Kidney Caneer UK Patient Survey. la￿Ched during Kithhry Cancer Awarenes5 Week in February. bigbliglrted
ongoing ChaM￿sES for patiEnts, iDcluding ]￿idental diagnoses and dissatisfaction with NHS inforn]ation and suppo
The survey helped to significantty raise the cbaTitys international PToffle ill 2025. D￿r￿]g the year. I rewrsented Kidney
Cancer UK at fouT rnajor conferences". The IKCC MadTi& IKCS All￿terdaM ESMO BerliD. alld at BSIR 2025 in
Liverpool. All att¢nthJces weT¢ Swrted by (Kganiser grdnts. Reflecting th¢ ¢l)aritys Browing ￿￿uenCe, we havg
been invited to retum to IKCS ID 2026, this lim¢ io cl]air a sessioD wi the RCC paticnt experience.
A rnajor mtlestone for patients will be th¢ pub]i(ation of th¢ NICE 8uidaDC4 for which the charity su¢¢essfully
ampaigDe(L expected in spring 2026.
Despite a cha]lenging fulldraising enviro]mieDt, Kidney Cancer UK remain5 fJDancially stable and well positioned for
it5 next phase of d￿elopment W¢ Temain comTnitted to str¢Wbening fundrnisin& investing ill patient services. and
maintaining our role as the leading voice for kithey surwrt and advocary in the U
FINANCIAL IiEVIEW
Going CODc¢r
After making approp￿te ellquiries, the T￿￿tee% have a reasonable w*ctrtion that th¢ ¢b¥rity has adequate resource5
to C4)nlinue in operational Existence for th¢ forcseeable future. For this Tea8on. they continue to adnptthe going concern
basis in pfEpariDg the fit]at)cial statemEDts. Further detsi15 regarding the adoption of the going wnc¢rn basis be
fowid in the ac￿Unt￿￿B policie5.
Trj. Re5eTve5 policy
The charity received tota] incom¢ of £493,040 (2024.. £289.934), it expend¢d £265,927 (2024.. £233,802) and had an
overall SUTpIu5 of £227,11312024.. surplus £66.1321
Reserves stand at £379,872 {2024: £152.759). rorllprisiDg uurestricted Teserves of £315,749 and r¢stricted Tr5erYes
of £64.123. Thc charity had fre¢ ￿SErveS of £315.749 (2024. £84,445).
Funds have significantty incre&8ed this year due to the Charity receiving bequests 4lld lewies of over £303.7K.
£255K of this h&s been transfeTr¢d into three new fIx￿ rate &posit accounts.
The Trust¢¢s have corksideTed tbe level of fr¢¢ reserves that the chaTity hold8 which currently stands at six months of
our operatillg costs. It is th¢ir iniention to build these fiDther going fonvard.
STRLCTLRE, GOVERNANCE AND MANAGEMEKr
a. Constitutio
Kithjey Callcercare Litnit£d is register￿ a5 a cbarltsble company limitrd by guara￿ and WLS set up by a
Me]nQTandum of Association on 15th September 2006. It is T¢g]￿erEd with the Charity Commission for Ellgland
and Wales D￿mber 1120146 aud Officc of the Scottish Reguiatornumttr SC043642.
b. Methods of appointment or eiectlDll of Tr￿Stee8
The management of the tharlty is the respjnsibilty of the Trustees who are electsd and cTroptEd under the tern)s of tbe
MeThorat)duJn of AswciatiotL
The Trystees who served dLring the year were..
B J Greemvood (ChaiTman)
Dr G D Stewart
NICOX
C D Thomas
Dr J N Pejiy (resigtted 20101f2025) DrN Chamley
GFOX
G Oades
Dr E Boleti
Prof M Tran

KtDNEY CANCER CARE LIMrrED
PAGE 3
INANCIAL STATEMENTS FOR THE YEAR ENDED 30TH SBvfEMBEi2025
TRUSTEE8ANNUALkEPORT...............................
STRLTCTLIiE. GOVERNANCE ATrID M￿NAGEM￿T. L￿tin
. Oryalllsational structure aod deeiston-msking ptrllties
The dA>'.to-day n￿agement lies witti tk otTJc£ of '.￿ cnarii>Js Chief OpeAtin8 o￿l￿£{CO0) &ctirg in litt witb
the obj¢ctiN'Es agreed bv the B08rctofTruslees. Tk C(Kl rtw>rts Chair of ￿ Bofirdof Tntsttts 8
w]kn reqwrel briefs atFttr membets of the BoBt
The B0￿d of Trustett% meets qu8rteTlv Brta ￿ SL'XX)rted by the thar1￿$ ser.ior m8nagrmentte4rn. Our Truste¢s
are draNn frotn a rBngeof piofes510]￿ backgroT]tuls and bring 8 wide range olrltvantexpv.i¢r.ct.
d. Members1 ]￿bIlIty
The Members of gwalltee to cvntnlntt¢ an amount Dotcxceeditig £1 (o the of the charity in
th¢ ¢ventof wirtding up.
STATEMEwf OF TRUSTEES, RESPONSIBllJllES
Th¢Trust¢£s (WIKI aT¢ also th¢ dir¢¢tor5 of th¢ ¢haritY 40r PUTPo￿ of WllLrAnv lawl tr5￿￿11 )IE br
ep2ring the Tru5teC5 Retx)rt and fill&icial 5￿te￿WIl5 ?￿)rd￿ with 8pp'.icablc law aod Unitrd
Kiwom Accounting Stsndards (Unttyj Kingdom Gettrslly Acttprcd AccotmtiJJ8 Pr&tice).
Cempany law requir￿ th6 Trust￿5 10 finallck21 btstrmcThts foreach fin￿1&1 ye4r. Undero)mrAny law.
Ihe"fruqtees mLLStnot approvethe rMa￿l&l ¢Atements unless tky are ￿]Sfi*l that give a Int and f￿r
view of the st8tc of affa￿ of tr£ charity andof its illcomillB ￿￿￿[C¢S a￿lappI1ClII0nU[tt￿OUrC¢& ity
lal
(b)
{cl
{d}
sclect suitabk ￿￿)untIng￿)￿CleS a￿l thtts appty iltm C0ts5iStE￿l￿￿
observe tr JDctbods ￿aprI￿lI￿$ ofiiL- c.I￿1￿¢s SORP IFRS1O2)'
ake judgCtnc[￿ and actoutrting ￿l[[￿r that ate r￿￿orible and pru(kntr
strate 8pplicablc UKAccour.tin8 St&idards (FRS102) 4aYe I￿.folloW& subject to any
niat¢riai departures discloscd EndcxpIait*d in Ilt fiDallcial State￿2￿ls.
pr¢pyTe thc fitLryDCial *&tcInriJE5 on a goiig basis uD1¢55 it 15 inBppfvpTi*e to p￿Su[￿# tk Chdrity
will continu¢ in ope¥atioR.
{el
Th¢ Tntste¢s 8re responsible for keeping ad¢4￿ate a¢￿￿￿tIng reo)rds that are sufficiats to show and txplain
th6 charitS'5 tr3ffjattionq attd disclose re&qon&Sie &ccurncs Lt afty lime￿ finartci￿ p)si:ion of the cE2rity
d enable them to ensuT¢ that ttK finatLcial stat¢Euctr& ￿ll1p[v with ttjt Comparu65 A¢t 2(￿. Tr.ey gre bIso
respon5ibl¢ for Safe.￿rdillg the a5Stts of tlLe tharity alld 1￿ce fOrtskI￿ rea￿Dab￿ 5tq)5 fDr th¢pFev¢ntioJi
a￿1 dctcction of fraud md ottKr irrcBU]9ritie&
Approvedby order of the ￿eM￿rS of the Board ofTrllsrees 8rtd siwxd ort their behalf by.
B J GREENWOOD
CHAIRMAN
DATE

KIDNEY CANCER CARE LIMfTED
PAGE 4
FINANCIAL STAIEIAEKtS FOR THE YEAR ENDED 30TH SEPTEMBER2025
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF KIDNEY CANCER CARE LIMITED
I rey)rt to the cbarity TTUStee5 exami1￿0￿ of the accou[￿ ofthe cbarity for the year ended 30tb S¢ptember 2025.
RESPONSIBILITIES AND BASIS OF REPORT
As the Th￿te¢S of the thrity {and its direc￿ foT the pur]M)ses of comp&ny ]awX you ate responsible for the Preparation
of th¢ aGcounts in accordance with the r4Uiren￿tts of the Chariti¢6 and Trnstee Inv¢stmcnt {Scotland) Act 2005
('the 2005 ACVA the Chwitie5 Accounts (Scotland) Regulatiolls 2[m￿ (as am¢Tthd) (*be 2006 Acc¢)wits Regulations,)
and the cO￿panieS Act 2006 (Ibe 2006 Acfj. You are satisfied thatthe acwunts of tbe charity are notrequired
by tharity or company law to be audited andhave chosen inst￿ to bave independent ¢xami]￿on.
Having satisfied myself thatthe acwuDts of the charity are not required to be wJdit¢d under Part 16 of the 2006
Act and are eli￿￿11e for ]Dd¢pend￿t examinatio￿ I r¢port ill resEKd of my exaujinthn of the charitys arcounts
caTTied out under sectioll 44{IXc)of the 2005 A¢t alld SECtion 145 of the Charities Acl 2011 fthe 2011 Act). ID
ing out my examiti8tion I have followed the requirements of Regulation I l of the 2006 Accounts
Reg￿tiOnS and the Directions given by tbe ChaTity Cou)TDi55iOll under sectkon 145(5)(b) of the 2011 knt.
Since the tsAty is required by comwdDy law to prepare Its aCcOw￿ OD an wual basis aDd is regist¢red as a
cbarity in Scotland. YO￿ examiner must be a m¢￿ber of a ￿ listed ID Regulation I1(2) of the 2006 Accowits
R¢gul&tions. K w confirm that l am qualified to undertake the examination because l alll 4 rcgistered member
of the Association of Chartered Certified Acc4)untaDts, which is one of the listed bodies.
I have CO￿pIet¢d my examination. I Confum that Do ll￿teria] matkn5 have wne to my attention iti connection with th¢
examination giving me w5C to believe that ill any rnaterial respect
aCCOLmting records were not kept in respECt of the charity a5 TequiTcd by section 386 of the 2¢M)6 Act
and Regulation 4 of the 2006 Accoullts Regulations" or
the accounts do not ￿0rd with those records aTMI with the accountitjg Tequtrffl￿ of Regulation 8 of
the 2006 Acwullts Regulations.. OT
the accounts do t)ot cillnply wtth thE ac£ounting requirnts of section 396 of tbe 2￿6 Act other
than any requirementthatthe accounts give a ond faiv view whicb is not a matter considered
ay part of aD independent examination" or
the accounts have not been prepared in accordance with the TD¢thods al￿ principle5 of the Statement
of RecomeDded Practice for accouuting and reporting by ￿ltIeS lapplicable to eh8rities prep￿r￿g
their a￿oll￿ts in accordance with the Financi￿ Reporttug Stsndard applicable in the UK and
Repub]ic of Irel￿d (FRS102)1.
I have no eoncerns and have Xr0￿ TAO odKr mall¢rs iti comiection with the examination to which attcntioll should
be thawll in tFLiS report in order to enable a prow ulldostsnding ofthe acwuDts to be r￿h

KIDNEY CANCER CARE LLMITED
PAGE 5
FINANCIAL STATEMEKfs FOR THE YEAii EPhDED 30TH SEpfEMBER 2025
]NDEPENDENf EXAMfNER'S REPORT TO THE TRUSTEES OF KIDNEY CANCER CARE LtMITED
This report 15 made sol¢ly to the clwitys TnJsl£e4 a Tr￿, in accordance Part 4 of the Charities
{Accounts and Reports) Regulations 2tN)8 and Regulation I l of the Charities Accounts (Scotland) ReguiatiODS
2006. My wot* has been Und¢￿ell so that I might st*e to thc charity's Tntstees those matters I ￿ required
to state to them iD an independent examiDeT% r¢port and for no otberpwse. To the fullest extetrt perniitted
by law. I do not ￿ept or 83sume r¢spowilJi]ity to awe other than the charity and the cbaritys Trustees
as a b)dy. for my WO￿ or this rqth.
IAN SHIPLEY FCCA
FOR AND ON BEIIALF:
PRENTIS & CO LI
CHARTERED ACCOUN7TAhTS &
INDEPENDENT EXAMtNERS
115£ Milton Rood
CambTidge
CB4 IXE

E cy rry

KIDNEY CANCFJi CARE LIMITED
PAGE 7
FINANCIAL STATEMwfs FOR THE YEAR ENDED 30TH SEPTEMBER 2025
BALANCE SHEFr
2025
2024
Nore5
FIXED ASSETS
TanBibl6 ￿ets
CLRREKfASSETS
Stocks
Debtors
C8sh ai bAnk fftttd
1866
7.963
373.830
io
6.003
160,031
TOTAL CURRENf ASSETS
384,659
169.798
JRRENT LIABILtnES
C.rditor5.' Amounts falli￿g d
itlun one year
4,787
17.039
NET CURREhl ASSETS
379.872
152,759
TOTALNET ASSETS
379,872
152.759
THE FLNDS OF THE CHARITY
12
Restrictd fifftds
UnEEStrictBd fi￿[￿
64.123
315,",49
68,314
84,445
379,872
152,759
Th¢ diretityrs tQD5id¢r tbat ￿ ctwitsble COn4￿nY 55 ￿titled to ¢xefftption trom tk requI￿n￿l to have an wdit tmder
the provisions of S¢ction 477{11 of ts Compani¢5 Acl 2006. Membtri hawe wuiredtlw compgnywider S¢clio
476 of t￿ ConLP2ntes Act 2006, to obknn an audii forthe yearended 20th September 20fj5. dirccrois &knowltdge
Ih6ir rc5ponsibilit1¢5 for ¢Fwing tb2tthe cbarittble ￿tt1p8aY keeps ￿CO￿tIO8..eLy)rds whth comply Seclion
386 and 287 of th¢ Comp&nies Aci 2(X)6 alld for finallcial s181tlLEDtswhich give altuegnd fyir v.ewof the
state of affairs of the CE￿ilable a5 at 30th SeptrDJt£r 2025 and of surplus for thE. yeaT then etthd in
aocordaw¢ wiihthe I¢qUiT¢mtnts of Section 396 ￿)d which oihtr¥vise *￿t￿pty withth¢ requir¢ments of the Act
iating to tb¢ fjnwiai sta1￿¢￿￿ a5 far 85 2pplicsble to th¢ cbaritabl¢ ￿Try￿1Y.
Tbe fiL8llcial stat¢mcnts. ybicb.bave btcn prcpared itL ￿rdance wilh the s￿l81prOViSionS re￿rIng to companies
subject to the smau cD]npoTri¢s T¢Wl¢ Mithin Part l< of the Companies Act2(Kk5, 4>prtsved by on
rtd signedon its khalf.
J GREBNWO
CHAIRMAN
The nDle5 on pages 8 to 16 fam) partofth¢5e firwKial 5tatemellt&

KIDNEY CANCER CARE LIMITED
PAGE 8
FfNANCIAL STATEMENfs FOR THE YEAR ENDED 30TH SEPTEMBER 2025
NOTES TO THE FINANCIAL STATEP4tENTS
ACCOUNTh'G POL]CIES
(a) BASIS OF PREPARATION OF FtNANC]AL STATLMENrs
Th¢ financial statements have b¢¢n PTepAttd iti accord￿ with the Charities SORP IFRS102) .
Accounting and Reporting by Cljarities". Staten)eDt of RecoW￿¢[￿d Practice applicable to charilies
preparing th¢ir accoullts in accordance with the Finsncial Reporting stsnd￿ applicabl¢ in thc UK
and Republic of Ireland (FRS102) (effeetive 1st Jallu￿ 2019), the Fioawial Rew)rtill8 Standard
applicable in th¢ LK R£public of ]reland (FRS IW2). Compwjies Act 2006, The ChaTitie5 Accowits
(ScotlaDd) Rogulations 21YJ6 and the Charitigs aDd Trustee tnvestment (Scotland) Act 2(K)5.
Kity Cancer Care tiD)ited the definition of a public beDefii ¢ntity uuder FRS102. Assets and
]iabilities are initialty recogoised at historica] cost or traT]saction valu¢ UTdeM otherwise stated in the
rekvant accounting policy.
Tb¢ fiDancial statements are presenkd in SterIn￿ which is the fillKtional currgw of the chHrity.
The Trust¢¢s bav2 tsken advantage of the atoeTHjM￿t to the Clwiti¥ SORP FRS 102. wher¢ only
larger tharities are required to prepare a Stat¢m¢Dt of C&sb Flows.
{b) CHARITY STATUS
Th¢ cb8rity is a conwany IiD)ited by guaT￿. Th¢ ￿e￿berS of the charity aTe tb¢ TTUStees. In tb¢
ev¢nt of the clmrity being wownd up, the liability in respect of gurntee is lilljitsd to £1 per member.
(c) fNCOME
All incoTne is reGO8nised ODce the charityl]a8 entitlement to the In￿ it is probable th&t the income
will ￿ TEceived and the amowrt of incom¢ re¢¢ivable can be measured reliabty.
The Te¢o￿ltion of inconK from legdCiQ8 is det¢ndEnt on establisbing ￿tItleMen( the probability of
T￿tIpt the abi]ity to estimate with sufficiellt a￿uracY the aDJount receivable. Eviden¢e of
¢ntitlement to a legacy exists wb£D thc £I￿rity h&8 sufficient evidence that a been left to them
(tbrough knowledge of the existence of a valid Mryll and the death of the bEnefattor) and the executor
l5 salisfi¢d that the in question wiil not b¢ required to satisfy claims in the estate. Receipt of
a legacy ￿ust be recognised when it 15 probable that it will received and the fair value of the
amount receivable, whith will g¢neralty be the ex￿ed arnountto ￿ distributed to the charity,
can be reliably mfd8ure
Grants are included in the Statement of Financial Adivi¢i¢s on areceivable b&si5. The balance of
incorne reeeived for specific puw IKrt TJOI eXpr￿dea duriDg tbe period is shown in the rel¢vallt
fund gn the balance sheet. Where incorne is received in adv8nce of entitlement of Teceipl its
recognition is defeTred aud iD¢lud¢d iti creditors &8 deferr￿ incotDe. Wh¢r¢ ¢Dtitlement occurs
before income is T¢￿]ved, the iucome i5
Income tsx recov￿￿1¢ in Telation to don￿l0￿s received uth Gift Aid or deeds of covenÈnt is
recognised at the tiD]e of donatio
Income tsx recoverable in rolation to inveslment InC￿e is rec0gDi￿d at tbe titne the investsn¢nt
iDC4)me is r¢ceivable.
Other income is recogDised in the p¢ri(Kl in whi¢b il is receivable and to tbe extcm the goods have
been provided ￿ Im complgtioll of the seryicc.

KIDNEY CANCER CARE LIMITED
PAGE 9
FINANCIAL STATEMEKfs FOR THE YEAR ENDED 30TH SEPTEMBER 2025
NOTES TO THE FINANCIAL STATEMENTS
ACCOUNfiNG POLlCtES. CODtynueAI
(d) EXPENDITURE
Expenditu￿ is recogDised once there is a legal or ¢onstnKtive obligation to transfer the eronomie benefit
to a third paty. it is probable that a trav5r￿ of ¢coll￿ benefits will be required irt settlement and
the amount of the obligatiott me&8ured reliably.
Fundraising costs are those incurred in seekng vohmtary wntrJThutions and do not include the Gos¢9
of diss￿Di￿4ti￿ infonnation in 5UPPOrt of chaTitLbk activities. Governance costs are those
urred in conDectioD with thin15￿￿￿Oll of th¢ Fund ond coJnp]iance witb ¢OJ￿Iti￿1ol￿I and
Sta￿tr$ry requirgm¢nts.
Expenditure on charitsble acllvitie5 15 illCU￿ed on drectty undertaknng the activitie5 which filltherthe
¢baritys objeaives. as wdl as aDy &w￿lated support cthts.
GTonts payable are cknged in the year wlwithe offer lljade except in those c￿5 wher¢ the offtr
is colldiiionaL such gTaDts being reeognised as ex￿id1￿jre when the COD¢Jitiolls altacbing are
lfilled. (Irants offered subject to conditi￿5 which have noi be¢D met at the year end are notsd as a
conjrni1￿ellt. but not aCCn￿ as expenditiJTe.
(e) TANGIBLE FIXED ASSFfs AND DEPRECJATION
Tangible fixed assets illitialty recognised at COsL After rew￿lti0￿ und¢rth¢ cost modeL tangible
fjxed ass¢ts arc measured at cost less accutnuiated depr¢ciathon auy accumulated impairnKnt
losses. All costs to bring a tangible fixed &5set into its intrllded wrtillg conditi¢m shouldbe
infjluded ID the mwur¢rn¢llt of c05L
Ikpreoiation 15 chatged so as to allocate the ￿st of tall￿￿1e fixed a￿tS le&$ their residual value
ovEr tbeir estimated u5¢fill livGs. using th¢ straigbt.lit)e JnethLXI.
Depreciatioll is provided oll the followingba5iS:
Plant and m8dJinery 5Wc straigbt lin
Ifj OPEIiATtNG LEASES
ReDtsIs paid undeT oper8tin8 lea8es are charged to the of Fitkfjtieia] Activities on a straight
]ine b95iS OVEr the lease terni.
(g) PENSIONS
The charity CODtnThutes to sKrsonal peDSi4)rt plans of its ¢mploy¢¢s WKI the pension charge
Tepresents the amounts paydble by the cbartty to th¢ plan5 ill fEspeLt of the >ear.
Ih) FUND ACCOUNTING
Geueral fimd8 ar¢ wjrestricted which are available for use at tb¢ discr¢￿ of the Trnstees in
furtherdllC¢ of the general objectives of the chaTity and which have not been designated for other
PUryJO8¢S.
Restrieted fuD(ts are funds which are to be u5¢d accoTdattce with specific Testriction8 imposedby
donors or which have been rai5cd by the eharity for particular purposes. Th¢ costs of raising aDd
administcring such fithds are charged against the specific fi￿(L The airn and w¢ of each restricted
fund is s¢t out Ill thc not&4 to tbe fllmncial Statern￿ts.

e•
tr-
Ctr-¥OOC
Q *rt
tr-
t4
,Iil IA

KIDNEY CANCER CABE LIMFTED
PAGE 11
FINANCIAL STATEMEKfs FOR THE YEAR ENDED 30TH SEPTEMBER 2025
NOTES TO THE FINANCIAL STATEMEKrs
INVESThIENT INCOME
Current year
Fwid5
2025
Fund5 Funds
2025
2025
Bank interest receivabl¢
4,403
4,403
R&stricted UnTCStrith¢d Total
Fund5
FuDds
Funds
2024
2024
2024
Prior year
BaTJk interest receivable
1,096
ANALYSIS OF EXPENDITURE ON CHARITABLE Acr[VIT￿ Restricted Unrestrictrd Total
by type
Funds
Funds
Current year
2025
2025
2025
Patiellt advice and infonnation 5UPPCrt services
Funthaisin8
40,025 210.876 250,901
15,026
15,026
40.025 225,902 265,927
Restricted Umre5trickd Totsl
FuDds
Funds Funds
2024
2024
2024
Prior year
Patient advice and infor1nati￿ siippwi services
19.500 186,781 206,281
132
17,389
17,521
19,632 204,170 223,802
ANALYSIS OF EXPENDITURE BY AcfIviTIES
Current year
ActivitÈes
undertsken fimdin¥ of Support
directty activities
Cost
2025
2025
2025
TIAal
fimds
2025
Patient edfyice and ltfforn￿on 5￿port servic
Fundraising
252.528 (11818) 11.191 250,901
15,026
15,026
267.554 (12,818) 11,191 265.927
The 8rant funding of adivilies in 2025 trpr￿ents grants Tepaid to the Ch￿lty and PTeviously ac(n￿d

KIDNEY CANCER CARE LLIAITED
PAGE 12
FINANCIAL STATEMENfs FOR THE YEAR ENDED 30TH SEFfEMBER 2025
NOTES TO THE FINANCIAL STATEMENTS
ANALYSIS OF EXPENDITURE BY ACFIVITIES. continued
Activities
undeTthken fimding of S
direetly activities
2024
Prlor year
Total
Cost
2024
2024
Patient advice alld inforn)ation siipwrt wvic
Fundraising
195.130
17.521
1.500
9.651 206,281
17.521
212,651
1,500
9,651 223,802
Analysi5 of dlreet costs
Current year
Patient support
aDJ Inforn￿trOll Fwidraising
2025
2025
T(Aal
2025
Staff costs {Do* 6)
Fundrai5iDg costs
Establislmient Costs
Ba￿k charge5
Patient sI￿￿rt
Prinlin& p)stage and stationory
Subscriptions and donations
REpairs and rniinten2nce
Trav¢1 8Thd subsistence
Adv¢rttsing and prornotion
TTainin& CODferen¢e and meeting costs
InsuTance
Rent and rates
Web5itr Rlld internet expenses
160.167
160,167
15.026
2,750
359
59.270
6,168
1,675
1,209
2.892
3,435
118
308
9,282
4,895
15.026
2.750
359
59.270
6,168
1.675
1,209
2,892
3.435
308
9,282
4,895
252.528
15.026 267.554

PAGE 13
F￿ANC[AL STATEMENTS FOR THE YEAR ENDED 30Th SEFfEMBER 2025
NOTES TO THE FINANCIAL STATEMENTS
ANALYSIS OF EXPENDrruRE BY AcfIviTIES. continued
is of dlreet costs
Prlor year
Patient sUpp[￿t
Total
and infornHtion Fundrnising fiwds
2024
2024
staff costs (note 6)
109.735
109,735
17.521
3.593
354
12,578
9270
1274
65
2,680
26,046
177
884
5,442
23,013
13
17,521
EstsblishTneDt costs
Bank chaTg¢s
Patien¢ support
Printitts P05tsge and stationery
Subscriptions and donatioL%
Repairs alld rnAintenance
Travel and subsistencg
Advertising aDd prO￿otiOn
Training, ronf¢ren¢e and IneetiD8 costs
In3ur8TlCe
Rent and T2tes
Website and iTrt¢TllCt rxp&
Sl￿dry expE￿sES
3,593
354
12.578
9.276
1,274
65
2.680
26,046
177
884
5,442
23.013
13
195.130
17.521 212,651
Anaty511 of S￿￿pOrt c￿ts
C￿rrent y￿r
Patient support
and infonnatiOD
2025
Totsl
funds
2025
Prnfe&sional fees (incl. IE ftts)
11,191
11.191
Analy5i8 of 511PPOrt
Prior year
Patient support
and info￿￿tIOn
2024
Total
fi￿d5
2024
Prof£%5ional fees (incl. IE fees)
9.651
9.651

KIDNEY CANCER CARE LMTED
PAGE 14
FINANCIAL STATEMENTS FOR THE YEAR ENDED 30TH SEPTEMBER 2025
NOTES TO THE FtNANCIAL STATEMwrs
STAFF COSTS
2025
2024
Wagcs salaries
Social SEC￿lty costs
Pension Costs
Other 5￿ff ¢osts
147,469
4J33
4,124
4241
98,090
2,777
3.883
4.985
160,167 109.735
The average ofpeTsOn￿l ewoloyed by the ¢hwity duritig th¢ year &8 follows:
2025
2024
Patient care alld admin
No employee received remu￿0￿ a[no￿￿tEllg to more than £60.1KKJ in eitheT year.
TRUSTEES, REMiTNERATION ANT) EXPENSES
DuTiDg the y¢ar ¢Dd¢d 30th S¢pt¢th 2025 no Tr￿Stets recLived any remuneTatioD or oljw benefits
(2024.. £Nil).
During the year ended 30th Septe[niw2￿2S no Trw5t¢e expe￿ bave been inclwred (2024.. £Nil).
FIXED ASSETS
Plant and Plant atKI
MacbiThery Machinery
2025
2024
COST OR VALUATION
At 1st (ktober and 30th SeptembeT
5,862
5,862
DEPRECIATION
At Isi October and 30tb September
NET BOOK VALUE AT 30th S¢ptrmber
5,862
5.862
sT(￿Ks
2025
2024
Go￿$ foT Tesak
2.866
3.164
10.
DEB"foRb
Due within olle year
2025
2024
7.963
6,003

KIDNEY CANCER CARE LIMITED
PAGE 15
FINANCIAL STATEMEKfS FOR THE YEAii ENDED 30TH SEPTEMBER 2025
NOTES TO THE FINANCIAL STA]EMENrs
CREDITORS
Arnollnts falling due With1￿ on¢ year
Trade creditors
2025
2024
277
404
958
3,148
928
993
Cmher crediiorg
14,007
4,787 17,039
12.
STATEktENf OF FUNDS
Current year
Balance at
Balanre at
1st
30th
Octol%r
September
2024 IncoJlle Ex￿]dIt￿re 2025
Unr¢51rirt¢d funds
GeDernl Funds
84.445 457206 (225,9021 315,749
Restricte41
Kldney Cmcer Awareness
H¢althcare Profe55i(ui website redevelopment
Bristol My¢T- Awlio books
Private doDatioDs for Research
61,666 20.834 (32,975) 55,525
(6,61XJ)
(450)
5,000
4.000
4550
4,048
48
68,314
35,834 (40,025) 64,123
l52,759 493,040 (265,927) 379,872
TOTAL OF FUNDS
STATEMENf OF FUNDS
Prior year
Balall￿ at
30th
September
2023 Income Expendittre 2024
1st
ITDr￿lrfiettd funds
QenEral Funds
76.972 211,643 (204,170) 84.445
Restricted funds
Kidney c￿cer AMwene55
Research Grants (U￿v¢T5ty of Cambridge)
Healthcw¢ Professional website redevelopment
14ivate don2ti0tt8 for Research
9.607
61,666
1,500
15,000
125
(9,607) 61.666
{1,S(KJ)
(8.400)
(125)
0,600
48
48
9,655 78,291
(19,632) 61314
86.627 289,934 (223.802) 152,759
TOTAL OF FUNDS

PAGE I6
FINANCIAL STATEMENTS FOR THE YEAR ENT)ED 30TH SEpfEMBER 2025
NOTES TO THE FINANCIAL STATEfvtwrs
12.
Reslrlcted Fullds
Kidn C8nc¢r Awarniess.. awarded over 3 ye4r8 to 202f)ll7 for awareness campaigning.
Healthcare Profrssion
cbsite redevelo
ent.. developmeDt Df a healthcare sp¢rifi¢ website.
The Private d(mgtions for Research were given by memba3 of the public SFrfifitallyrequesting th¢y
for research.
. Audio tr￿kS.. grant awarded towards the pu￿1￿Se of audio books wbith prnvide furtbeT
understanding of kithiey cancer.
13.
ANALYSIS OF NBT ASSETS BEfwEEN FUNDS
Current year
Restricted UDr¢striL*ed Totsl
Fuuds
Funds
Funds
2025
2025
2W25
Curnt &ssets
Creditors due withiu olle ye
64,123 320,536 384,659
(4,787) (4.787)
TOTAL
64,123 315.749 379.872
ANALYSIS OF NET AssEfs BETWEEN FUNDS
Prior year
Restricted Unrestricted
Total
Fun(L% Funds Funds
2024
2024
2024
68,314 JOI.484 169,798
(17,0391 (17.039)
84,445 152,759
Lreditors due within one year
T(yfAL
68J 14
14.
PENSION COMMITMENIS
The cbartty cijntributes to employees, [￿rS0T￿l WLSIOD scbaD¢S. The pension cost thprg¢
r¢presellts contriErtttions payable by the ch￿lty to the sche￿e5 amounted to £4.124
(2024: £3,883). contrib￿lOnS totalling £826 (2024.. £353) were payable to the schemes at the
balance sh¢& date and are Includ￿ in ¢￿dItOrS.
15.
At 30th September 2025 the eharlty had cojnnutments to ]Dake fikn minimum lease payments under
noll-cancellable 0￿￿tin8]e￿￿ as follo
2025
2024
Withiti l yeaT
14,41M)
7,200
16.
RELATED PARTY TRANSACTIONS
Total dtnount received from Tntsttts in the year were £Nil (2024.. £Nill