Cbarity number: 1049318
Kids In Need
UNAUDITED ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2023
Prepared By:
Gill&Co
Chartercd Certtfid Accounlants
9 Raglan Close
Hounslow
Middlesex
TW4 5EF

Kids In Need
F￿ANL CIAL STATEMENrs
FOR THE YEAR ENDED 31 DECENIBER 2022
TRUSTEES
J Miller Chair of Trustees
T) Poolc
M Rogcrs
REGISTERED OFFICE
The Brambles
21 IILdgLrow Grove
Duiiniow
(:M6 4AS
CHARITY NUMRF.R
1049318
ACCOUNTANTS
Gill & Co
Cliartered Certified Accountants
9 Ragldn Clos
Houllslvw
Middlcscx
TW4 5EF
Page I

Kids In Need
.4CCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2023
CONTENTS
Pag¢
Rcport of the Trustees
Statement ot Financial Activities
Balance Sheet
Notcs lo thc Accounts
6t07
Delailed Statement of Financial Activities
8t09
Page 2

Kids In Need
FOR THE YEAR ENDED 31 DECEMBER 2023
TRUSTEES, REPORT
The ttvstc¢s pr¢s¢nt their report and accounts for the y¢aT ended 31 December 2023.
PRINCIPAL ACTtVTTTF.S
The principal activily of the charity in thc year under revicw was raising fvnds to grant wishes to childr¢n agcd 3
tu 19 yLdTS who are temiinally or seriously ill or hdve disabilitics.
STRUCTURE GOVERNANCE AND TrL4NAGLMENT
The charity is controllcd by it8 governing documcnL a deed of trust and constitutes an unincorporated charity.
The report was pr¢par¢d in accordance with the provisions of Accounting and Reporting by Charities: Ststcmcnl
of Recommendcd Practice applicable ro charities preparing their accounts in accordance wilh the Financial
Rep()rting .standards appliLable in the UK and republic of Ircland (FRSI 02)) (cffcctive l January 2020).
Thi
report was ap
rovcd by the Board of Trustces on / o &u£/.
2024.
J Millcr - Chair of Trustees
TrLtstLL
Page 3

Kids In Need
Statement of Financial Activities
for the Trear ended 31 December 2023
2023
2022
Unrestricted Restrlcted
Funds
funds
Totgl
Tolal
Income
InLome froin generated funds
Donaiions and legdcies
Income frum Inveslmcnts
Incomc from charifable activiti¢S
2,758
149
26.530
2,758
149
26.530
1,314
53
30,075
Total Income and endowments
29,437
29,437
.11,442
Fxpenses
c.osts (if ¥Lncralin8 ￿ndS
Expenditure on Rai4cd funds
Expendirure on Charitablc activities
26,586
13,502
26,586
13,502
24,J16
5,827
Total Expenses
40,088
40,088
29.943
Net gAln$ (Jn Investments
Net (Expenditvre}Ilncome
(10,651)
(10,651}
1.499
cFain￿{lO$seS} on revaluation of fixed assets
et movement in funds:
Net (expendlture)lin¢ome for the year
Total funds brougFhi forward
(10,651)
37.092
(10,641}
37,902
1,499
35,593
Net funds ¢Arrfcd forward
26,441
26,441
37,092
This ststement of f￿￿n¢la1 activities includes all gains and losses recognised in thc y¢ar. All incomc and
expenditure dcrive from continuing activities.
Page 4

Kids In Need
BALANCE SHEET AT 31 DEcEI￿BER 2023
2023
2022
Notes
CIIRRENT AS.SETS
Cash at bank and in hand
26,941
38,092
26,941
311.092
CRF.DIT()RS: Amounts falling
due within one year
500
1,000
NET CURRENT ASSETS
26,441
37.092
TOTAL ASSETS LESS CURRF.NT LIABILITTES
26,441
37,Q92
CAPITAL AND RESERVES
UnrestriLted funds
Cicncral tund
26,441
37,092
26,441
37,092
T11¢5C ÉlLLounls hav¢ bccn prepared in accordance with thc provisions applicablc to Charilies Act 2011.
Approved by thc board of trustces on l
2024 and sign¢d on thcir behalf by:
J Miller - Chair of Trustees
-I"rustce
Page 5

Kids In Need
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2023
ACCOUNTING POLICTES
l a. Balis of Accounting
The accounts have been prepared under the historical co.gt convention.
Thc fmancial statements ot. Ihe charity, which 18 a public b¢nefit cntiry under FRS102 have been prepared in
accordance with Charities SORTr (FRS102)
'Accounting and Rcporting by Charitics: Statement of
RcLommcnded Practicc applicable to charitics preparing thcir ac¢ounts- in accordancc with the Financial
RLpofiing Standard applicable in the UK and Republic of Ireland IFRS102) (effective l January 2020),
Financial Rcporting Siandaid 102 'The Financial Reporting Standard applicablc in the UK and Republic of
Trcland and the Charilies Act 201 I, Accounting and R¢portin8 by Charities.
I h. Ineomlng Resources
All incotning resources are included on the Ststcment of Financial Activities when thc charity is legally
LmtitlLd lo the incomc and the amount can be quantificd with reasonablc accuracy.
le. Resourccs Expended
Expenditurc is accounred for on an ac¢ruals basis and has been classified under hcadings that aggregate all
o%t rrlatcd lo the category. Wher¢ costs cannot b¢ directly attributcd to particular headings they have becn
dllocaled to activitlC5 on a basis consistcnt wilh the use of ro8our¢¢$.
Id. Allocation and Apportionment of Cosls
All costs r¢latc to the singlc activity of the charitablc lonwany and aTC recognised accordingly.
le. Fund Accounting
Unrcstrictcd funds can b¢ us¢d in accordanc¢ with the charitabl¢ objcctivcs at the discretion of the trustees.
Restricted funds can only Ix uscd for particular resrricted purposes within the objects of the charity.
RcstriLlions arise when specified by the donor or when funds arc raised for particular rcstricled pu￿oSeS.
Designatcd funds are funds sct aside by thc trustc¢s out of unrcstricted general ￿ndS for thc specific fu￿re
purposes i)r projec(s.
If. InLomLITurnover
Income represcnts Ch￿l￿ble activitics, donations and Icgacies received during thc year.
Page 6

Kids In h'eed
IYOTES TO THE ACCOUNTS
FOR THE YEAR ENDED JI DECEMBER 2023
EMPLOYEES
2023
2022
Average numbcr of ¢mployccs
Thc charity docs not L'mploy any staff. All tnLStecs frecly providc their seThices.
3. CREDITORS: AMOUNTS FALLINC DUE WITHIN ONE YEAR
2023
2022
Other crcditors
500
I,ooo
500
1,000
4. UNRESTRICTED FUNDS
BrouEhi
Forward
Incoming
resource5
Out%olnR
resourles
Carried
forward
Transfers
General lund
As at 31 D¢c¢mbcr 2023
37.092
29,437
(40.088)
26,441
General fund
As at 31 Deccmber 2022
35.593
31.442
{29,943)
37,092
RESTRICTED Ful￿s. nll
Brought
Fonvard
Incoming
resources
Out%olng
rL¥ources
Carried
forward
Trvdnsfers
Page 7

Kids Ill Need
Incoming Resources
for the year ended 31 December 2023
2023
2022
Tncoming resourees
Tncoming resources from generated funds
Grants
Donation8
2.758
1.3J4
2,758
1.314
2,758
J,314
Investment Ineome
Dep()5il inlLrest
149
53
149
55
149
53
c.haritable Activlty
Fund raising cvenLs
26.30
29.R35
26,330
29.835
Charltable Activitv S
Otlier InLorriin&y RLsources
200
240
200
24Q
26,530
30,075
29.437
31,442
Page 8

Kids In Need
Expenses
lor the year ended 31 December 2023
2023
2022
Expenses
Costs oft" generating funds
undraising Trading Costs
Costs Of Fundrai8ing Events
26,586
24,116
26,586
24,116
Charitable Activities
Charitable payment.s
Siationcry & officc supplies
Card charge.s
Bank Charges
11,648
483
40
60
3,672
320
326
96
12.231
4,414
Governance Costs
Insurance
Sturable Costs
Accounl<U]iy
471
300
500
463
450
5()11
,271
1,413
40,088
29. 943
Page 9