Clwity number.. 1049318
Kids In Need
UNAVDRTED ACCOUNTS
FOR THF. YEAR ENDED 31 DECEMBER 2024
Prep%red By:
Gill & Co
Chartered Certified Accountants
9 Raglan Close
How)slow
Middl¢sex
TW4 5EF

Kids In Need
FIYAIYCIAL STATEMENTS
FOR THE YEAR EliDED 31 DECEMBER 2024
TRUSTEES
J Miller Chair of Trnstees
D Poole
M Rogers
P Scamm¢ll (Appointed 17 July 2025)
RECISTERED OFFICE
The Brambles
21 I ledgerow Grove
Dut)mow
CM6 4AS
CHARITY NUMBER
1049318
ACCOUNTANTS
Gill & Co
Chartered Cert&ficd A¢¢ountants
9 Raglan Close
l-lounslow
Middl&sex
TW4 5EF
P8ge I

Kids In lyeed
ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2024
CONTENT6
PaEe
Report of the Trustee5
Srdtement of F￿Cial Activities
Balance Sheet
Notes to the Accounts
6t07
Detailed Statement of Financial Activitics
8109
Page 2

Kids In Need
FOR THE YEAR ENDED 31 DECEMBER 2024
TRUSTEES, REPORT
The trustees preseTYt thcir tq)ort and a￿Ounts for the year ended 31 Dec¢mb¢r 2024.
PRINCIPAL ACTIVITIES
The principal activity of the charity in the year under review was raising fvnds to grant wishes to children aged 3
to 19 years who are ternlinally or seriously ill or have disabilities.
STRUCTURE COVERNANCE Af*D MANAGEMENT
The charity is controlled by its governing documenL a deed of trust and consti￿t¢S an Unlncory￿t￿ charity.
The report prepared in accordance with the provisions of Accounting and Rep)rtin8 by Charities: Ststement
of Recornmended Practic¢ applicable to charities prep￿ill8 their a￿Ounts in accordance with the Financial
Reporting standards applicable in the UK and republic of treland (PKS102)) {effcctive l January 2020).
TRU.STEES
Mrs P M S¢ammell was appointed as a Trustee on the 17 July 2025.
This i'e
ort was approved by th¢ Board of T￿Stee5 on 3 O(￿be[ 2025.
J Miller- Chair of Trustees
Trustee
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Kids In Need
Stalement of F￿AncIal Aetivities
for the year ended 31 December 2024
2024
2023
Funds
funds
Total
Total
Income
Income from geoeraied funds
Donations and legocie5
come Iron] Investsnellis
Income from charitable 8¢tivities
9.800
185
19.902
9.ROO
185
19.902
2.75R
149
26.530
Total Incomt and endowments
29,887
29,887 29,437
Expenses
CD8t8 of generating ￿ndS
Expenditure on Raised funds
Expenditure on Charitsble activities
23.235
4,026
23.235
4.026
26.586
13,502
Total Expenses
27,261
27,261
40.088
Net gaills on investments
N¢t In¢omel(ExpeDdlture)
2,626
2.626 (10,651)
Galnsl(losses) on revaltsallon of fixed Ylssets
Net movement in funds:
et (expendllureylncome for the y￿r
Total funds broughi forward
2.026
26,441
2,ts26 (10.051)
26.441
37.902
Iyet funds ¢*rrled fonvard
29,067
29,lJ67
26,441
This staternent of financial activities includes all gain5 and lo&ses recognised in the year. All income and
expenditure derive from continiiF¥t8 aCtivitie&.
P88e 4

Kids In Need
BALANCE SHEET AT 31 DECEMBER 2024
2024
2023
Notss
CURRE￿[ ASSETS
Debtors (amounts falling due within one year)
Cash at bank and ID hand
29,123
26.941
29,567
26,941
CREDITORS: Amounts falling
due within one year
51
500
NET CURRENT ASSETS
29,067
26,441
TOTAL ASSETS LESS CURRENT LIABILITIES
29,067
26.441
CAPITAL AND RESERVES
Unre8trl¢ted fvnd$
G¢n¢ral fulld
29,067
26,441
29.067
26.441
These accounts have been prepared in accordance with the provisions applicable to Charities Act 2011.
Approved by the board of ttUStees on 3 October 2025 aud Sign￿ on their behalf by:
J Miller- cha￿ uf Tn￿t￿
Trustee
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V(ids In Need
NOTES TO THE ACCOU￿'Ts
FOR THE YEAR ENDED 31 DECEMBER 2024
,ICCOUNTIYG POLICIES
l& Basis of Accounting
Tli¢ accowits have been prepared undei the bistoEical cosi conventio
The financial statements of the charity. which is a publTC benefit entity under FRSI 02 have been prepared in
aecordxnce with Ckwities SORP (FRS102) - 'Accounting aDd Reporting by Charities.. Ststement of
RecomTnended Practice applicable to chaTitieq PTeparing their accounts- in accordance with the Financial
Reportin8 Standard appli¢abl¢ in the UK and Republic of Ir¢land (FRS102) (effcctive l Jattuary 2020).
Financial Reporting Standard 102 'The Financial Reporting Stsndard applicable Tn the UK and Republic of
Ireland and the Clwities Act 2011, Accounting and Reporting by Charities.
Ib. lll¢oming Resourees
All incoming resources tsre ivtcludcd on the Ststement of Financial Acttvitics when the ch&rity is legally
entitled to the income and the amount can be quantified with T¢wnabl¢ accurw.
Ic. Resourees Expended
Expenditure is accounted for on an accruals basis and bas been classified under headings that aggregate all
cost related to the ￿tegOry. Where costs cannot be directly attributed to p￿I¢ll1ar headings they have been
allocated to activities on a basis consistent with the ￿Se of resources.
14L Allv¥Hti(b4 Apporliullment of
All costs relate to ihe sirgle activity of the charitsble company and aTe recogntsed accordingly.
le. Fund A¢￿￿nting
Unrestricted funds be used in accordance with the chatitabl¢ obj¢ciives ar the discretion of the t￿￿￿es.
Restricted funds can only be used f()r particular restricted purpos￿ within the objects of the charity.
Restrictions arise when specified by the donor or when funds are raised for particular restrICt￿ putpos¢s.
Designated fvttds are funds" s¢t aside by the trustees out of uDrestricted general funds for the spe¢ifj¢ ￿ture
putyoses or PToJects.
If. Incomerfllrnover
Income represents charitable activities, donations 2nd legdcies received during the vear.
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Kids In Need
NOTES TO THE ACCOIINTS
FOR THE YEAR ENDED 31 DECEMBER 2024
2. EMPLOYEES
2024
2023
Average number of employe
The charity does not employ any staff. All tnts'tees fttely provide their serviceb.
DEBTORS
2024
2023
Amounts falliTh8 due within one year".
Other debtors
4. cRED￿ORS. AMOUNTS FALLINC DUE WITlllN ONE YEAR
2024
2023
Other ¢r¢ditors
500
500
500
J. UNRESTRicfED FUNDS
Brought Ineomlng
Outgolng
Forw*rd rtsour¢e8 re￿￿ree8
C4rrled
forw&rd
Tr*nsfen
General fund
As at 31 December 2024
26.441
29,887
(27.261)
29.067
General fund
As at 31 December 2023
37.092
29,437
{40.088)
26.441
RESTRICTED FUNDS: nll
Brought IDeoming
Forward
resources
Ovtgoing
resource8
Carrled
forward
Transfers
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Kids In Need
Incomillg Resources
for the vear ended .11 December 2024
2024
2023
Ineoming resourtes
Iueoming resources from 2eD¢rxted funds
Grants
Donations
9.8(Xl
2,758
9.800
2,758
9.800
2,758
Investment Income
Deposit interest
185
149
185
149
185
149
ChArltable Activlty
Fund raising events
19.682
26,330
19.682
26.330
Charitable Activity 5
OLher Li)comiiig Re¥our¢es
220
200
220
200
19,902
26,530
29,887
29,437
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Kids In Need
Expenses
for the year ended 31 DeeenRber 2024
2024
2023
Expense8
Costs of gener4ting funds
Fundraising Trading Costs
Costs Of Fulldrni8in8 Eiv¢nts
23235
26.586
23235
26.586
Charitable Activities
Charitable payments
Station¢ry & office supplies
Card ChdrgLS
Bank Charges
2.316
11,648
483
40
60
182
2,755
12,23 I
Gov¢rn&ne¢ Costi
Insurance
Storage Costs
Accountancy
471
3IXI
5(K)
471
300
500
1271
1.271
27,261
40,088
Page 9