REGisfERED COMPANY NUMBER: 08415295 (Engknnd 7+nd Wales)
REGISTERED CHARrrY NUMBER: 1151319
Rewjrt ofthe Th￿tee4 and
Unaudited Fi**n¢l41 Sts¢¢rnents
For The Year Ended 31 March 2026
ror
The John Hartson Foundatlon
Ath]ns(￿ Donnelly LLP
I Camb￿$18ng Cowt
c8m1m￿laTrg
G]&sgow
Strdthclyde
G32 8FH

Th¢John H4rt80kn Foulld•tlon
CoDtents of the WmaDcial Ststemewts
For The Year E￿ded 31 March 2026
Page
RepDrt of the Truste
I to 2
Illdepelldent Exgminees Report
Statement of Flnanelal Aetlvltles
B#lanee Sheet
Notes to the FlnaDclal Statemejhts
6 to 11
Detalled Ststement of FIDaneA*l Aetlvitlcs
12

TheJtshn Harlyon Foundatio
Report of the Trustees
ForThe Year Ended 31 illatth 2026
Th¢ ttwtees who are Also dirt¢toT¥ of the ¢harity foT the pur[￿5 of the Cornpanies Act 2006$ present their report with
the financial statements of the charity for the year ended 31 March 2026. The trustees have adopted the provisions of
Accounting and Reporting by Clwi¢iu: Statement of RecomTnendeAI Practi(r appIicable to charities preparing their
accounts in accothnce with the FiDaDcial Standard applicable in the UK and Republie of Jreland (FRS 102)
(effective l January 2019).
OWEcfIvES AND ACTIVITILS
Objective5 and al￿5
The John Hartson Foundatiott Cancer Charity is governed by a board of two trustees, who are responsible for the overall
strategic directio￿ flljancial Ove￿igh￿ and ￿mplianCe with rekvant Ch￿tty r¢gulations. The trusteos review activities,
a&ry¢￿ funding priorili¢s, aud ¢nsur¢ that the charity Colltinw to oiKrate in line with its core mission of supp)rting
individuals and families affect￿ bv cancer.
Th¢ charitys prill￿ry obj¢ctive is to rnise fv￿ts and #war¢ll¢5S to support ¢th¢er patients and their familie4 as well &8 to
contribut¢ to ¢an¢¢r-T¢lated ¢ause5 and initi4tives. The FouDdation remai￿ (xmynitted to supporting a range of ¢allcer
charities, continuing a tradition that has been upbeld for tbe p&s¢ 16 y￿.
Slgnifieanl aetlvi¢ie8
During the rcporting perioQ the thrity s￿Cess￿ organised sevffal key fundrnising events:
Golf Day . This ov¢nt brought together s[Wrte￿. sw)nw and pjticipants for a day of sport fill￿rni8]n￿
generating signifi￿t contributions toward8 the charitys wo
Charity Ball - A fiagship eyening event that combined enterth￿¢llt with fimdrnising adivitiw attrarting strong
att£ndance and generous donations.
S￿rtSman's Lunch. A p)pular eve￿ feabjring gllest S￿kerS 8nd $portiDg personalitie& which h¢lped rni5e both funds
and aware￿&8 for th¢ eharitys mi85i0ll.
As a result (trfthes¢ effort4 the Foundation w&% proud to make the following don*ions:
£42,000 to Beatson Cancercharity
£42.(M)O io Glasgow Childrens Hospital
Publie benefit
The charity considers that IL5 8¢tiviti4s ￿nstItutE a bellefitty th¢ public both in rdising awJrne&5 and generating fun(L8.
L¢y)king akn, the tswtees aim to buiId on the success of the p&qt year by expand￿8 ￿ndraisIng activities. (kveloping
new pthnership8 and Ancre&qing the clwiws r¢aclL The charty will ¢ontinu¢ to supwrt other cancer organisations,
aintaining ils long-standing comjnitment to giving back acmss the cancer support community.
FINANCJAL RKVtEw
Invest￿ellI polic) and objectives
In accordance with its c(MlStilution, the charity hasthe tthvus to make ally investments Mthich the tr￿¥t¢￿ see fit.
Reserves polley
The trustee5 oim for a minimum of 3 months unrestricted widesigllated reseryes. The unr&stricted undesignat￿l r¢seryes
at 31 March 2026 were £39.699 (21r25- £49210).
Funds raised during the year have Ixen applied in ace<)rdance with the charitys objectiveg, gupporting individualg
afftxt¢d by cancer and contributing to relevant causes. The trustees Conti[￿ to exercise careful fu￿181 nwnag¢m¢nL
ensuring that resources are ￿ed efficiently and transparentty.

The J¢)hn Harlsoll Foundation
R¢wrt orth¢ Trust¢4¥
For The Year Ended 31 Mareh 2026
Lo()king ahead. tbc tm8t¢¢s aim to build i)n th¢ of thE P&5t year by expanding fi]ndTaising activitie5, developing
new partnership4 and incre&8ing the chrriws Teach. The charity will continue to supp)rt other Can¢￿ orgmisations,
maintsining its long-standing commitment to giving FAck across the cancer supox)rt ¢o]nmunty.
STRucfuRE, GOVERNANCE Af4D MANAGEMENr
Governlng document
The charity is controIled by its governing a deed of tntsL and ￿15t￿tuteS & limited CO￿panY. limited by
guarantee, as defined by the Compani&s Act 2006.
Recruitment appointment of new Irugttts
Any fulw¢ dire¢tors would b¢ appointed by th¢ existing Imjard.
Or%anlsAtional SIr￿cture
The charity is governed by a iM)ard of t[￿Ste¢S WIK) wforn an overview function.
Induetlon and trnining of new trustees
The Current directors were inyolved in the fonnation of tr cljarity or sbortly ther¢after and fvlty w￿d th¢ ¢haritys
objectives and their duties as trusl¢e5. For any fillure ditwtors, thete will a siNctswed induction progra1￿ to ensure
they fulty understsnd thE charity's 0(rtions.
Registered CompaDy number
08415295 (Eng]alld 8tMI Wales)
Regtstered Cb#rlty llun)ber
1151319
Regi&tered off]ce
JCP SolicitOTS
V¢nth Courl Wat¢rnid¢ Busin¢55 Pwk
Valley Way, Enterprise Pat*
SA6 8QP
Tru8tee5
Mrs S A Hartson
S Mulle
llldependent Examiner
Atkinson Donnelly Ltp
I Cambuslallg Court
Cambu818ng
Gl&gow
Strathclyde
G32 8I,'H
Appmved by order ofthe board oftrllAte&g on......... . ....
and signed on its behalf by..
Mrs S A Hartson- TnL8tse
Page 2

Indep¢￿dent R¢port tD the ThistttJ or
The Jobll Hartson Found4ts)n
I report on the ￿Ounts forth¢ year ended 31 March 2ff26 py fow to ¢l¢ven.
Respective ￿%￿)n17b1Iities of trusleu and examkner
The chariws trnsts6% are responsible for the preparatiOD of the xcounts in accordance with the tern)s of the ChBrities
and Th￿tee InvestmeThl (Scotland) Act 2005 and the Clwities Aeeounts (Seotland) Regul*itsA¥ 2006 (as amended). The
charltys tsiths consider that the audit requirement of Regulation 10(IXa} to (c) of the Accounts Regulatio￿ does t￿t
apply. It is my r4sponsibility to examine the acccyjnts as required ¢mder S¢rtion 44(1)(c) of the Arl and to state whether
partiCLdar matters have come to my att¢ntion.
Basls ofthe Independent examille￿$ rtpDrt
My examinatioh was c4ffieJJ out in accordance witb Regulation I l of tbE CharitiE5 A￿OUnts (Swlljnd) Regulations
2006. An examination iDcludrs a r¢vi¢w of th¢ aw(M]niing records kept by the chartty and a comwdrison of the accounts
presented with those rKord5. It ￿50 incI￿leS consideration of any ullUsu￿ Iteti￿ or disclo$ur¢s in the accounts, and
seeking explanatio￿ from you as trustees eollteming any such mat*ts. Tbe procedures undertaken do not provide all
the ¢Yi(kDC¢ th8t would be required in an a￿j1[ and Consequently I do not express an eudit opinion on th¢ view given by
th¢ ￿lUllts.
Independent examlner's Statement
In ¢otwKtlon WAth my ¢xaminalIo￿ no matter has come to my attelltion:
(l) which gives m¢ rettsonable to believe thaL in any Dlltrrial respecl the rquir¢m¢nts
¢0 ke¢p accounting re￿rdS in accothce with Section 44(IX&) of the 2(KJS Act and Regu]Ation 4 of the 2006
Accounts Regulations" and
to prepare acCO￿ts which accord wsth the rn1￿)g r￿OrdS and to comply with RegUl￿10n 8 of the 2006
Accounts Regulatio]Js
have not b￿n Tnet or
(2). to which. iti my opinion. attention should be drawn in OTder to enable a proper whderstanding of the a¢¢ounts io be
Michael DOr￿elty
The Institsrte of Chartered AuxM]ntants of Scotland
AtkiDson IkTrnu¢lly L
I Cambuslang Court
Cambuslang
Glasgow
Strathclyd¢
G32 8FH
Poge 3

The John Hartson Foundatlon
Statement of Flmnelai Aedvltles
For The Year 31 March 2026
31J.26
Ilnrestricted
funds
31.3.25
Total
fimds
INCOME AND ENDOIVMEhYS FROM
Dollations alld lewdcies
2384
19.682
Other cknitable activities
222.716
173,880
Total
22SOOO
193,562
EXPENDITURE ON
Raising fi￿dS
131.149
125.540
Ch4rlt8bl¢ g¢tlvltle$
Charithble Activities
Charitsble A¢tivtties
(4)
103124
1.478
72,002
Total
2W69
199.020
NET INCOMFJ(EXPENDITURE)
(9,569)
(5,458)
RECONCILIATION OF FUNDS
Total funds brougbt fonvard
49J86
54,844
TOTAL VUNDS CARRIED FORWARD
39,817
49,380
The forni pyrt of the8¢ fiT]4ncial sl*m
PAVP. 4

Th¢ John H*rtson Foffjndwtioll
BalaDee Sheet
31 M*reh 21n6
31.3.20
Unrcstrlcted
fuDd¥
31.3.25
Totsl
nds
FIXED A￿ETs
Tangible assets
A18
176
CLIIRENT ASSETS
Debtorn
Cash at b8nk
l?75
41316
1,361
50.745
42,591
52.106
CREDITOILS
Atnounts falling due within one year
io
(2892)
(2,896}
NET CURREKf ASSKTS
39,699
49210
TOTAL ASSETS LESS CURRENT
LIABILITIES
39,817
49,386
NET ASSETS
39,817
49.386
FUP4DS
Unrestrithd fvnds
39017
49.386
TOTAL IIUNDS
39￿17
49,386
Th¢ ctwitable compally is entitled to exemMion from audit under Section 477 of the Conwanies Act 2006 the year
ended S l March2tr26.
The members have uot required the coThpany to obthiu an audit of its fthancial stat¢m¢nts For the year eDded
31 fvIarch 2026 in accordance with s￿{100 476 of the Con]panies Act 2006.
The tn￿teeS acknowledge their responsibilities for
{a)
¢TLsuring that thc charitable company k¢¢ps accounting reL%)r(ts tbat eompty with Sections 386 and 387 of the
Companies Act 2006 and
preparing financial statements which giv¢ a true and fair view of th¢ 5tat¢ of affaiT5 of th¢ ¢haTitable COTnpaDy a8
at the end of eath financial year and of its surplus or deficit f[￿ each finaDcial yw in accordance with the
rthwirements of Sections 394 and 395 and which othen¥ise eompty with the requirements of the Companies Act
2006 relatiDg to financial statementy so far ￿ 4)plicable to the ¢I￿ltable company.
(b)
Th&se financiaj statsments have been pret￿r￿ ID ￿)rd￿ with the provisions appl]L￿le to charitable companies
subject to thc 8nthll companies r¢gi
The fi
¢nts wer¢ approved by the Board of Tnwees w)d &uthoris¢d for issue on
.. and were signed on its behalf by.
S A Hartson- Truste¢
The notss forni part of these financial statements
Pgop 5

The John Hartson Foundatlo
Notu to the FitiallelAI Sl•trmettts
For The Year Elld￿ 31 March 2026
ACCOUNTING POLICIES
Basis of preparkng the financial stateTheuts
The fJnanci21 #atements of the charitable compony. which is a wblie Ixnefit entity under FRS 102, have been
prepared ID accordanc¢ with the Charities SORP (FRS 102) 'Acc(Junting and Reporting by Charities.. Ststement
of ReconTrmended Practice applicable to clwities preparing their accounts in ac¢onlance with the Fiwan¢ial
Reporting Standard applicable in the UK 4nd Republi¢ of Ireland (FRS I￿) (effective l January 2019y,
Financial Rewting Standard 102 Tr FinanciAI Rewrting Stondard applicable in the UK and Republic of
IRland and the CompalliN Art 2W6. Th¢ fina[Ki￿ ststernents have been prepared under the historical cost
conventiotL
Income
All in¢o]n¢ is recognised in th¢ Statement of Financial Activities once the thaTity ba5 ¢ntitlemeDt to the funds. it
is probable that the income will ￿ [￿e1ved and the att]oulltcan be Me&￿r￿j reliably.
Expenditure
Liabiliu¢s ar¢ rr¢ognis¢d ￿ ¢xtKndi¢ur¢ ￿ mi Ys th¢r¢ 15 a legal or ¢onstrudive obligation ¢QTrJmitting the
charity to that expenditure, il is prr*>able that a transfer of economic benefLts will be required in settlement and
the amount of the obligati(Trn can be me&sured reliably. E￿AdIt￿re is ￿Ounted for on an accruals basis and hag
been classified under headings a￿egate all cost related to the category. Where costs cannot be dIre￿lY
attributed to psrtlc￿3r hEaditLgs t￿Y have b¢en allocated to a¢¢ivities on 8 basis ¢on$13t￿t with the use of
resour¢¢$.
Twngible fixed assets
Depreciation is provided at the followiDg atmual Tatas in onler to write off ￿ch as&et over its estin￿d ￿fll[
lifr.
Computer equipme4)t
33% on reducing balance
Tmxation
The ch￿lty is excmm from rAJrporation tax on its charitable activitses.
Fund accounting
Unrestricted funds be ￿ed in ￿rdance with the charitsble objecttves at the discretion of the trustees.
Restricted fi￿dS Only ￿ used for particular Kslrictrd purposes Within the objects of the ￿lty. RestTiclions
aTiSe wheu 5ppxified by thE donor OT wh¢n fimd5 are rJi5¢d for partI￿lar restricted purposes.
Further explanation of the nature and purEx)se of each fund is in notes to the fir￿￿181 statements.
(¥rHER CHARITABLE AcrivrriES
31J.26
31.325
F￿draIsIng ¢v¢nts
222,716
173,880
Page 6
continued...

Th¢ Johv H*rtsoD Fotythd*thJ*
Notes to the ￿￿ancIal.Stat¢1llellts- contlDwed
For The Year Ended 31 Mfireh 2026
RAl8lt)g donatio￿ and legaelts
31.326
31.3.25
Fundrnising expet)
Support costs
131,149
128,449
(3.847)
131,149
124.602
r4ET INCOMW(EXPENDrruRE)
Net inComeJ(ex￿nditllre) is 8tate41 after chaTgingI(cT￿JitI￿g).
31.326
31.3.25
Depreciation. owned ￿Sets
Deficit on disposal of fixed wets
938
TRUSTELS, RELWIUNERATION AND BENEFITS
There were no trustee8' r¢muneTation or other b￿erts tor th¢ year ¢nd¢d 31 March 2026 nor for the year ended
31 Marth 2￿25.
STAFF COSIS
The average rnotrthly numE¢r of Nnployees during the year was as follows:
31J.26
31.3.25
15
Volunteersl Tnjstees
No employees reLxived eDX)luments in exc￿ of£60,(KIO.
COMPARATIVES FOR THE sfATEMENT OF FINANCIAL AcrivrriES
Untt8tri¢t¢d
fLU)ds
INCOME AND ENDOWMENTS FROM
Donations and legacies
19,682
OtILer chatitable artiviti
173,880
Totsl
193.562
KXPENDrruRE ON
Raising funds
125.540
Charitable aedvltles
Charitable Activi¢i¢s
Charitable Activities
1.478
72.002
Totsl
199,020
continued...

The JobD Hartson Foundatl
Notu to the FIMnclal Ststemtnts-
For The Year EDded 31 March 2026
COMPARATIVES FOR THE STATEMENT OF FINANCIAL A￿1VITI￿- eODtinued
Unr¢ytriGted
fullds
NET INCOMEI(EXPENDITURE)
(5,458)
RECO.YCILIATION OF FUNDS
Total fun(ts brought forward
54,844
TOTAL FUhT)S CARRIED FORWARD
49,386
TANGIBLE FIXED ASSETS
Computer
equipment
COST
At l April 2025 and 31 March 2026
&538
DEPRECIATIO
At l April 2025
Charge for year
8a62
58
At 31 Marth 2026
&420
LYET BOOK VALUE
At31 ma￿h2o26
118
At 31 Marth 2025
176
DEBTORS: AMOUN]S FALLINC DUE WITHtN OIYE YEAR
31J.26
31.3.25
Prepayments
lJ75
1.361
Page 8
continued...

The JobA Hartson FOll￿d#ll0￿
Notes to the Thnancial Ststements- totttinued
For The Year Ended 31 2026
io.
CREDITORS: AMOUNTS FALLING DUE wrrHIN O,YE YEAR
31J.26
31.325
Ae¢rued expellses
2,896
ii.
MOVEMENT IN FUNDS
Net
movement
in fun
At
31.3.26
At 1.425
Unrestrlcted funds
Gencrnl fimd
Fixed asset reS￿ve
49268
118
(9AII)
(58)
39,757
60
49J86
(9J69)
39,817
TOTAL TrL'NDS
49J86
(9A69)
39017
Netmovement in fi￿(l8. in¢lud¢d in th¢ ab)ve ar¢ a8 followy..
oming liesour¢es
expellded
Movement
in funds
Unrestricted funds
General fund
Fixed assetre5erve
225mO
(1143IA)
(58)
(9AII)
($8)
225,000
(234A09)
(9J69)
TOTAL FufiDS
225,000
4J69)
(9J69)
Compar*tiYe4 for movement iD fryDd5
Net
movement
ill fund5
At
31.3.25
At 1.4.24
Unrestriete41 funds
General fund
FiK¢d a58¢1 r¢sorye
53,643
1201
(4.433)
(1,025)
49.210
176
(5,458}
49,386
TOTAL Fuf4DS
54,844
(5,458}
49,386
continutsl...

The Johtt Harts0￿ Fo￿ndatiO0
Notr¥ ¢0 the FlnaD¢lal Ststements- continued
For The Year Ended 31 Mareh 2026
ii.
MOVEMENf ll¥ FUP4DS- tontinued
Compardtive net moVeMe￿t in fund4 Includ￿ in the alM)ve are L8 follows:
tncoming
Resourc¢s
exp¢nd
Movem¢nt
in funds
Unrestricted futtds
General fi￿d
Fixed &8set reserv¢
193.562
(197.995)
(1,025)
{4,433)
{1,025)
193.562
(199.020)
(5,458)
TOTAL TrUNDS
193.562
(199.020)
{5,458)
A y¢ar 12 month5 and prior y¢ar 12 mODths wmbiDed N￿ltiOn is aJ follows:
Net
n)oYement
in fi￿d5
At
31.326
At 1.4.24
Unrestrieted funds
General fund
53,643
1201
(13.944)
(1.083)
39,699
118
54,844
(15,027)
39,817
TOTAL FufiDS
54,844
(15.027)
39.817
A current year 12 months and prior year 12 nM)nths net moY¢meDt tn funds. inchKl¢d ill the ab)ve are
as follows..
Incoming
Res0￿r¢e5
ext*nded
Movement
in funds
Unrestrickni fuxd5
General fund
Fixed ￿5¢1 reserye
418.562
(432.506)
(1.083)
(13,944)
(1,083)
418,562
(433,589)
(15,027)
T(yfAL VUIYDS
41&562
{433,589)
(15.027)
Page io
continu¢d...

The Johll HarLwtt Fo￿nd￿lion
N¢)tes to the FinaDcl•l Stxtements- eoTrtlnued
For The Ye4r Ended 31 M#reh 2026
12.
Th¢T¢ were no related party transactio￿s for the yearended 31 2026.
Page 11

The Jobn Harts0￿ FouKdatlon
Detalled Ststemwt of FI￿￿￿#1 Attlvltk8
ForThe Year F.ndwJ 31 March 2016
31.326
31J.25
INCOME AND ENDOWMENrs
DollatiOnS t4nd legacies
Donations
2,284
19,682
Other ch4rltsble 4¢¢lvltkJ
Fundrnising events
222,716
173.880
Totsl llleomlng resoorc
225,OIMI
193.562
EXPENDITURE
Raislng doTration5 and legacies
Fundraisillg ¢xpenses
131,149
128.449
Other tradlng 2etivltles
IA)ss on sale of intaogil)le fixed assets
938
Support eosts
Management
R&tes and water
Insurance
AdY¢rttsing
Don8tions
Profession41 feel
Softwwe Costs
Computer eqUip￿ellt
258
1,266
12286
84,IM)O
287
1,034
1,626
12J16
50.112
1201
87
99,189
65J42
Finince
Bank charg
165
100
GoverrtaM¢¢ ¢osts
AccoLTntancy and lega] ftts
4,191
Total r&8ourc&% expended
234J69
199,020
Net ¢xpellditsre
(9,569)
(5.458)
This pag¢ does not forni part ofthe stskntory. financi￿ Statem￿
Page 12