Charity nllmbcr: 1049318
Kid5 ID Nttd
UNAUDITED ACCOUNTS
FOR THE EYDED 31 DECEMBER 2022
Gill & Co
9 Raglan Close
Hounslow
MIddl￿E
TW4 5EF

Kids Ill Need
FINAIICIAL STATEMENrs
FOR THE YEAR EYDED 31 DECEMBER 2021
TRUSTEES
J Miller Chair of Trustees
D Poole
M Rogers
M Zeff (Retired)
REGISTERED OFFICE
The Brambles
21 Hedgerow Grove
Dunmow
CM6 4AS
CHAIUTY IYUMBER
1049318
ACCOUIITANTS
Gill&Co
Chartered Certified Ac¢ountwts
9 Raglan C105C
Hounslow
Middle5ex
TW4 5EF
Page I

Kffids Ill Need
ACCOUiYI
FOR THE TrEAR ENDED 31 DECEMBER 2022
COLYTEf+lTS
Report of thc TTUStee6
Statement of Financial Activities
Balance Sheet
Note5 to the Accounts
6t07
Detailed Statement of Firwicial A¢liviti¢s
8t09
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Kid5 In fleed
FOR THE YEAR EINDED 31 DECEMBER2022
TRL'STEES, REPORT
Th¢ trustees PTesent theiT report aud accouttts for the year cnded 311)ecember 2022.
PRtNCtPAL ACTtVlTIES
Thc piin¢ipal activity of the charity ill the year review rdising fithds to grantwishes to child￿n a8ed 3
to 19 years wbo are ierni1n￿Y OT seriousty ill orhave disabilihes.
STRUCTURE GOvERN￿NCE AND MANAGEMEKr
The clwity is Colltr0ll￿ by tts govemitig diKvmenL a deed of and constitutes an unincortK)fdted chaThty.
The rerx)rt was prepattd in accordance ￿1th the p￿vES10￿S of Acc(X￿tIng and Rwttillg by Charities." Ststement
of Recommended Practic¢ appli(thle to cbariiics prepaTing tbeir accounts ID accordance the FiDSDciaA
Reponing standard5 applicable in the UK and republie of Ireland (FRS102)) (effe¢tive l January 2020).
TRUSTEES
Mr M Zeff retirryj as a Tn¥tee during the ycar.
This
w&$ approv
by the Board of TTU5te<s on i rf
(ktober 2023.
J Miller- Chair of TnIS￿¢S
Tntstee
Page 3

Kids Io F4eed
Statement of Financial Acttwlttes
for the year ended 31 Deeember 2022
21122
2021
Uurestrirted Restrlcted
Fll￿d$
Total
Total
Illcojne
Income from generated fill
Dollations and Icgacies
In¢omc froln Investments
Incorne &oJn ehariiable activities
1,314
53
30.075
IJE4
53
30,075
3,452
4,430
Totsl IDcome #nd eDdowmeDts
31842
31842
7,885
Expenses
Costs of genernting funds
Expenditure on Raised fiJnds
Expcnditure on CharÉtable a¢tivities
24.116
5,827
24.116
5.827
3.630
14.069
Ttstal Expenses
29.943
29,943
17.699
L* gains on iJvc51ments
t.et Iucomel(Expendiknre)
IA99
1,499
(9.814)
Gains1(1055es) on re141uation of fixed assets
IN'et movement funds:
Net income for the year
Total fimds brougbt forwaTd
1.499
35,593
IA99
35,593
19.814)
45.047
Net funds ￿rIed foTward
37,(192
37,092
55.593
This statem¢llt of finallciaI a¢tivities includcs all garDS and losses reCwIs￿ in the year. All income and
expeTEditi]re derive fro￿ continuing activitie5.
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Kids ITr Need
BAUNCE SHEET AT 31 DECEMBER 2022
2022
2021
Noles
CURRENT ASSETS
Cash at bank and iu hand
3&092
36,093
3&1192
36.09J
CRED￿oRS. Amounts fallillg
due within one year
500
NET CURRENT ASSETS
37,1)92
35,593
TOTAL ASSETS LESS CURRENT LL4BILITIES
37.092
35.593
CAPITAL AND RESERVES
Ullrestricted fvnds
General fi￿d
37,092
35.595
37,092
35,593
These accouots bave been ptEpared in accordan¢¢ with the provisiojjs applicable to Clwities Act 20II.
Approved by the board of tntstees on l ¥october2023 and sign¢d on their behalf by:
JMiller- Chair of T￿￿e¢S
Tr￿￿1¢¢
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Kids In Need
OTES TO THE ACCOLf4TS
FOR THE YEAR ENDED 31 DECEMBER 2022
l. AccoiJwfiNG POLICIES
l&. Basis of Accounting
The a¢counts have Eeen PTeparryJ under the histortcal cost convellti(Jn.
The fillancial ststcm¢nts ofthc Elwi"(y. whi¢]L is apublic benefii undcr FRS102 have beer* prepared in
a¢COrda￿Ce with Charitits SORP {FRS102) - 'A¢counliDg and Re￿ffing by Charities." Statejnent of
RecomTnended P￿CtiCe applicable to charities preparing their aceouzrt5- in acctrrdance with the Finan¢ial
Reporting Stsndard applicabk in the UK and Republic of IrelaDd (FRSI02) (eff￿t1ve l January 2020),
Firwjcial Reponing SthDdard 102 'The Finaticial ReFthting Standard apph"cable in the UK and Republic of
Irelattd and the Charities Act 2011, Accounting and Rwrtin8 by Chat]"tses.
Ib. Infomitig RfsouNe5
All incomRng resourn are incbJded on the Ststement of Fi#ancial Acti￿tieS whell the cbatity is le8ally
entitled to the incomc and the amount cat) ￿ quantified reasonablc accllra¢y.
le. Resour¢e5 E￿llded
Expenditure is accounted for on an aC¢ft￿ basis and been clwified under headings that ag￿egate all
cost relat¢d ro the cat¢gory. Wh¢re costs cannot be dtrttuy atuibuied headings they have been
allocated io artivitkes on a basis CODSiStent with the w¢ of resourt¢s.
Alloratlon and Ap￿rtI0￿Ment of Costs
All ¢0sts relate to the single activiry of the clmritable compw and ate trcognised a¢eordingly.
l& Fulld Accoulltkng
Unresttirted funds ¢aD be used ill ac¢othce with the cF￿r1￿bLe obj￿¢1V¢S atthe discretion of the trustees.
Restrirted fimds can only be used for p*ticular restric￿ purposes witbin the objects of the clLarity.
RestrtctiOn5 aTise when stttkfied by tbe donor or ￿lIett fi￿d$ ralsed for particularTe5tricted pws¢s.
Designated funds are fuuds srt aside by th¢ ttU5ttts out of￿)￿*tricted genetsl funds foi the specific future
purtM)ses or proje0￿.
1£ InCo]lle￿￿rn￿Ver
Income represents cbaritsble adivitie£ do￿1005 and legacies received during tbe year.
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Kids Ill f*eed
NOTES TO THE ACCOtJNTS
FOR THE YEAR ENDED 31 DECEMBER 2022
2. EMPLOYELS
2022
2021
Averdgc number of employees
The charity does not eroploy any staff. All tr￿tets frc¢ty provide their scrvices.
3. CREDITORS: AMOUNTS FAtLING DUE wrtllTh ONE YEAR
2022
2021
Other cr¢dito
50(P
I,o(M)
500
UNRESTRICTED FUIIDS
Brought ttttoming
Outgoing
Fvrward r¢sowrrcs ruourcrs
Cxrried
rorwar
TraD5fers
GeDer81 fund
As at 31 December 2022
35.593
31.442
(29.943)
37,092
General fund
As at 31 Dec¢mber 2021
45.407
7.885
(17.699)
35.593
. RESTIUCfED FUNDS:
Brovght Incoming
F•nFard resotst£e5
Outgoillg
Carried
forsvsrd
Tr*nsf¢rs
Page 7

Klds ID ￿'eed
¢omtDg Resource5
forthe year ended 31 December 2022
2022
202J
lll¢oTning
Into￿1￿8 re￿llr￿s from gwernted fuDds
Grants
Donations
1.314
3.452
1314
3.452
lJ14
3.452
Investment iocome
Deposit interest
53
53
53
Cbaritable Actlwlty
Fund raising events
29.835
4.190
29.835
4.190
Charitable Activttv 5
Other Incoming Resouree$
240
240
240
240
30,075
4.430
31.442
7.885
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Klds ID l%e¢d
Expenses
for the year ended 31 December 2022
2022
2021
Expenses
Costs of generating funds
Fundraising Trading Costs
Costs Of Fwldraising Events
24,116
3,630
24.116
3,630
Charltable Activities
Charirable pa￿￿e1)ts
Statiollery & office supplies
Card cl￿rgeS
Bank Cbarg¢s
3.672
320
326
96
10.637
14
4.414
10.651
Governance Costs
InsuTance
Storage Costs
Accountancy
463
450
5(K)
458
90
2.060
1.413
3.418
29.942
17,699
Page 9