REGISTERED COMPANY NUMBER: 04327851 (England and Wales)
REGISTERED CHARITY NUMBER: 1089877
Report of the Trustees and
Financial Statements for the Year Ended 30 November 2024
for
Families For Individual Need5 And
Dignity
Rusling & Co, Statutory Auditor
F6 Thc Bloc
Anlaby
East Yorkshir¢
HUIO 6RJ

Families For Individual Needs And
Dignity
Contents of the Financial Statements
for the year ended 30 November 2024
Page
Report of the Truslees
Report of Ihe Independent Auditors
Statement of FinAneial Activltles
Balance Sheet
10
Cash Flow Statement
Iyotes to the Cash Flow Stalement
12
Note5 to the Flnancial St4tement5
13 to 19
Delailed Statement of Financlal Activitles
20 10 21

Families For Individual Need5 And
Dignity
Report of the Trustee5
for the year ended 30 November 2024
The trustees who are also directors of the charity for the purposes of ihe Companies Act 2006, present their repon with
the financial slal¢mcn15 of the charity for thc year ended 30 Novcmber 2024. Th¢ truslces have adopl¢d the provisions
of Accoun(ing and Rcporting by Charilics.. Sialemenl ol. Rccommended Pracli¢c applicable to chariti¢s preparing their
accounts in accordance with the Financial Reporting Siandard applicable in the UK and Republic of Ireland (FRS 102)
(etfective l January 2019}.
OBJECTIVES AND ACTIVITIES
Objectives and aims
FIND exists lo empower individuals with severe learning disabilities and autism by providing services that enable them
to:
Enhance their quality of lifc
Increase independence
D¢v¢lop personal, social, and communication skills
Pursu¢ lifclong learning through personaliscd programm¢s
Participate in stimulating aclivilic5 Ihat build upon tlicir skills
Foster cmolional healih and well-being
Connect wtth and contribute to their local community
The Trustees regularly review the charity's activities lo ensure these objectives are being mel (see achievements and
perfomiance below).
Si2nific4nt activitie$
The objecliN'es ol. Ihc charity are met by offering day services and activities lo the students ihroughoui th¢ year.
FIND Cottingham-.
This service supports adults with profound and multiple learning disabilities and complex health needs. offering
mcaningful aciivities, skills developinent. and opporiunilics for building rclaiionships. Participants ¢njoy a variety of
aclivities including swimming, horse riding, cooking, shopping, group sessions, games and crafts, and s¢nsory
¢xp¢ricnces in our fully equipped vcnue ai 8 New Village Road. Cotlingham.
FIND Hessle..
Based al Miriam House. The Hourne. Hessle, this centre provides lailored suppon for autistic adults and those with
learning disabililies or tnenlal health needs. Our autism-fricndly envil￿nment and high sta￿ing levels cnsure Ihal
individuals can participate safcly in aclivilics such as swimming, walks, pursuing hobbies, life skills development,
s¢nsory experienc¢s and con]munity cngagem¢nt.
Evcryone who comes to FIND is treated with r¢sp¢ct and given the opportunity for 5elf-d¢velopmenl and
self-exprcssion. This enables our sludcnts lo live safe, healthy and happy lives as part of their local community. as well
as dcvclop and mainlain valuable rclaiionships with oihers.

Families For Individual Needs And
Dignity
Report of the Trustees
for the year cnded 30 November 2024
OWECTIVES AIYD ACTIVITIES
Public benefit
In line with our charitabl¢ objeclives, the Trusl¢¢s are confidcnt that FIND continues to delivcr meaningful public
bcncfit by supporting young people and adults with severe and profound disabilities. Whtl¢ our Services primarily
b¢n¢fit the local communiiy, we welcome individuals from all areas wiihoul gcographical restriction.
FIND plays a vital role in fulfilling local needs for day suppon, especially where families have siruggled lo access other
serviccs duc to the complexity of disabilities. Any surplu5 generated is rcinvesled into improving and expanding our
services and facilities, ensuring fulurc 5UStainability whilc maintaining appropriale reserves.
By offering wider choices of aclivilies, FIND has significantly enhanced opportunili¢s for individuals with severe
learning disabilities and autism within our community. The Tnlsiees are salisficd that they havc fulfilled their
responsibilities under Section 17(5) of th¢ Charities Act 2011 lo provide public benefjl, in accordance with Chariiy
Commission guidan¢¢.
STRATEGIC REPORT
Achievement and pcrformanee
Charitable activilies
The charity's income from students has grown this year due to a stcady increase in demand for places.
This year, we are delighted io report a steady growth in demand for our services, rcflccted in increased income from
students. Our strength lies in delivering personalised, high-quality support, and wc ren]ain Commitied to expanding our
capacity to serve new us¢rs and (amilies.
FIND recognises the need lor flexibility and is actively exploring innovalive ways to meet the evolving needs of our
community. Our dcdicat¢d staff are central lo our success. and Trust¢es arc proud of their professionalism, hard work,
and commitment. We Continue to support their ongoing development.
Financial review
Financial performance
Income in the year was £1,361,057 compared to £1,144.089 in 2023, an incr¢ase of 190/0 due to increased numbers or
student days and inflalion.
The Statement of Financial Activities shows net income for the year of £69,778 (2023.. net expenditure £2,068). Therc
is significant wage infiatlon in Ih¢s¢ results as the charity seeks lo recruit and relain excellent siaff in lh¢ facc of the
rising living wage and general inflation in Ihe economy.
Ov¢rall donations and legacies were £39,873 (2023- £54,089).
Sustaining and d¢veloping our services relies on effective fundraising. The Trustees are deeply grateful for the generous
support r¢c¢ived from donors, grant-makers, and th¢ families who use personal budgets toward FIND'S services. This
generosity direcily enriches Ihc lives of those we support.
Thanks lo this ongoing support and prudent managcmeni, FIND'S financial position has strengthened over the past year,
enabling us to maintain and improve our r¢scrve5 for future needs.
Reserves policy
The policy on unrestricted reserves is lo maintain those reserves above £IOO,000. Unrestricted cash reserves at the end
of the financial year stood at £772,399 which the Trustees f¢lt were salisfaclory.

Families For Individual Nceds And
Dignity
Report of the Trustees
for the ve#r ended 30 November 2024
STRATEGIC REPORT
Financial review
Fund raising
In ord¢r to continue its servlces or 10 develop new services. the charity n¢¢ds to continually raise funds.
The Trnsle¢s of FIND are very grateful for all donations, large and small. received during the year. This generosity
makes a huge difference to the people who use our services.
Financially the charity ha5 benefitted both from ongoing payments from many families using Ihcir personal budgets.
and grants for which the Trustees are very grateful. During the period to date the charity has been able lo improve
reserves as a result of the financial performancc this year.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
Families for Individual Needs and Dignity (FIND) is a coinpany limilcd by guarantee which is governed by its
Memorandum and Articles of A550ciation dalcd 2.lrd Novenib¢r 2001. 11 is a charity registered with the Ch8rities
Commission.
Recruitment and appointment of new trustees
As per Ihe Ariiclcs of Association, one third ol. Trustees will automatically retire at Ihe amiual general meeting and can
be reappointed. As requircd new Truslees can be invited 10 join the board durlng Ihe course of the year. This may be to
add skills to the Trusiee board or lo fill vacancies due to resignalion or retirement. The charity secks parents of young,
people wilh disabilities lo become Trustees. however if a particular skill set is required then these may be sought from
people who are not parents of disabled young people. New Trustees will be fonrftally elected at the annual general
mecling.
Organisational structure
Thc Trustee board n)eets at least four times per year lo r¢vicw the on-going performance of the charity. ils financial
position, and how il is meeling its objectives. Siraiegy and futurc developm¢nts arc regularly discussed.
The day-lo-day running of the charity, and Ihc implemenlalion of the Trusl¢es' policies and objectives. is delegated lo
the Dir¢¢lor of Services and the managemcnl team. The key role of ihis team is the effective running of services and il
op¢ralcs under guidclines sel oul by the Trusl¢es.
Induction and training of new trustees
Potential new 'fruslees will be invilcd io a Trustees mceling. and to visit the charity's services An order to undcrstand
how the charity operates. Ir thcy then wish to join they will bc given an induction pack which includes all recent Trusi¢c
meeling minute5 and oth¢r appropriate literature, which includes a rcsume of the rolc and responsibilities of Trusicc5.
Further training is encouragyed for all Truslees on an on-going basis.
Wider nehvork
FIND valu¢s collaboration and has built strong relationships with local organisaiions such as Mires Beck, Matthews
Hub, Special Stars, Downright Special, and CASE. We are especially grateful for the continued support from Ihe John
Good Group and Matthew Good Foundation, Hull City Council, North Lincs and the Easl Riding Council's Adult Social
Care T¢ams and commissioners.
In conclusion, the Trustees would like to thank all slatt, volunleers, families, supporters, and partners for their
commilmcnl and gen¢r051ty. Togeiher. we are making a positivc and lasting diffcrence in the lives of individuals with
severe l¢xrning disabilitics and auiism.
REFERENCE AND ADMINISTRATIVE DETAILS
Registercd CompanTr' number
04327851 (England and WalLS)

Families For Individual Needs And
Dignity
Report of the Trustees
for the year ended 30 November 2024
Registered Charity number
1089877
Registered offjce
8 New Village Road
Cottingham
East Yorkshire
HU164LT
Trustees
Ms L M Anstess
MrsSPHart
C P Hodgson- Chair
Ms L Nicholson
Mr M Shand
Mr D Siokc5
(resigned 01.09.24)
Compan). Secretary
C P Hodg50n
Auditors
Rusling & Co, Siaiutory Auditor
F6 The Bloc
Anlaby
Easl Yorkshire
HUIO 6RJ
STATEMENT OF TRUSTEES, RESPONSIBILITIES
The Irlisiees (who are also tlie dir¢ciors of FaniiliLS For Individual Needs And Dignity for the purposes of company
law) are responsible for prcparing the Report ol the Truslecs and the financial stalements in accordance with applicablc
law and United Kingdom Accouniing Standards {Unil¢d Kingdom Gcnerally Accepted Accounting Practice).
Company law requires the trustees to prepare financial slatements for each financial year which give a tNe and fair
view of the stste of affairs of the charitable company and of the incoming resources and application of r¢sourc¢s,
including, the income and ¢xpcnditure, ol the charitable company for Ihat period. In preparing those financial
slal¢mcnts, the Irustces are required to
select suitable accounting policies and then apply them consistently,.
observe the methods and princtples in the Charity SORP:
niake judgcmenls and ¢stimales Ihal are reasonable and prudent,.
prepar¢ ihe financial siaiements on the going concern baois unless il is inappropriate to presume that the charilablc
company will continue in business.
The trustee5 are responsible for keeping propcr accounting records which disclose with reasonable accuracy al any tim¢
thc financial p051tion of the charilablc coinpany and lo enable them lo cnsure that the financial statements comply with
the Companies Act 2006. They are also responsible for safeguarding the assets of Ihe charilable company and hence for
taking reasonable steps for the prevention and d¢l¢clion of fraud and other irregularities.
In so far as the trustees arc aware..
there is no relevant audit intormation of which the charitable company's audtlors are unaware,. and
the trustees have taken all sicps thal Ih¢y ought io have laken lo make themselves aware of any relevant audii
inforn)alion and lo establish Ihal thc auditors arc aware of that infomiation.

Families For Individual Needs And
Dignity
Report of the Trustees
for the year ended 30 Iyovember 2024
AUDITORS
Th¢ auditors. Rusling & Co, Statutory Auditor. will be proposed for re-appointment al the forthcoming Annual
Gcneral Meeting.
Report ot th¢ trus
es, incorporating a strategic report. approved by order of the board of trustees, as the company
and signed on the board's bchalf by-.
C P Hodgson - Tru

Report of the Ind¢pendcnt Auditors to thi Mcmbers of
Families For Individual Needs And
Dignil
Opinion
We have audited the financlal slal¢ments of Families For Individual Needs And Dignity (the 'charilable company,) for
the year ended 30 November 21124 which comprise the Siatemcnt of Financial Activities, the Balancc Sheet, the Cash
Flow Sialement and nolcs lo the financial statements, including a summary of significant accounting policies. The
financial reporting framcwork that has b¢¢n applied in th¢ir preparation is applicable law and Uniled Kingdom
Accounting Standards (United Kingdom Gcncrally Accept¢d Accounting Pracllcc).
In our opinion the financial statements:
give a tnie and fair view of th¢ state of the charitable company's atTairs as at 30 Novcmber 2024 and of its tncoming
resourccs and application of resources. including its incomc and expenditure, for the year thcn ended-
hav¢ been properly pr¢pared in accordance with United Kingdom Gen¢rlllly Accepted Accounting Practice,. and
have been prepared in accordance with the requirements of ihe Companie5 Act 2006.
Basis for opinion
We conducted our audit in accordance with Inlemational Standards on Auditing {UK) {ISAs (UK)) and applicable law.
Our responsibilities under those standards are ￿rther described in lh¢ Auditors, responsibilities for the audit of thc
financial statements seciion of our rcpon. W¢ arc independcnl of the charitable company in accordance with the
ethical requir¢mcnts that are r¢lcvant lo our audit of th¢ financial statem¢nts in the UK. including the FRC'S Ethical
Standard, and we have fulfillcd our other cihical responsibilities in accordance with these requir¢mcnt5. W¢ belicvc
that the audit evidence w¢ have obiained is su￿1Clent and appropriate lo provide a basis for our opinion.
Conclusions relating to going coneern
In auditing Ihc financial slalcnicnls. we have concluded that the truslc¢s' use of the going conc¢m basi5 of accounting in
the preparation of the fmancial stalem¢nls is appropriate.
Based on the work we have perfomied, we have not identified any material uncenainties relating to events or conditions
that, individually or collectively, may cast significanl doubt on the charithble company's ability 10 continue as a going
concern for a period ofat least twelve months from when thc financial stalcments are authorised for issue.
Our responsibilities and the responsibilities of the Irust¢¢s with respect lo going concern are described in the relevant
seclions of this report.
Other information
Thc trustees ar¢ responsibl¢ for the other inforn]aiion. The other infomialion comprise5 the infomiation includcd in th¢
Annual Report, other ihan the rtnancial statements and our Report of Ihe Indcpcndenl Auditor5 thereon.
Our opinion on the financial stat¢m¢nts does not cover the other inforniation and. except 10 thc extent otherwise
explicitly stated in our report, we do noi express any forni of assurance conclusion Ihereon.
In connection with our audit of the financial stalements, our responsibilily IS to read the other inlorniation and. in doing
so, consider whcther the oihcr inforniation is materially inconsisicnt with Ihe financial statements or our knowledge
obtained in the audit or othenvis¢ appears to b¢ niaterially mi551ated. If wc identily such malerial inconsistencies or
apparent material misstatcmenls, we arc required io delerniinc whether this give5 rise to a malerlal mi5S1alemenl in the
financial 5tatemenls themselves. 11, based on the work we have perforined, we conclude Ihal there is a material
misslalement of this other information, we are required io r¢port thal fact. We have nothing lo report in this regard.
Opinions on other matters prescribed by the Companies Act 2006
In our opinion, based on the work undcnaken in Ihc course of Ihc audit..
the infonnalion glven in the Report of the TThstces for the financial year for which the financial statements are
prepar¢d 15 consisi¢nl with the financial slal¢mcnls' and
th¢ Rcport of the Trustees has been preparcd in accordance with applicable legal requirements.

Report of the Independenl Auditors to thc Members of
Tramilies For Individual Needs And
Dignitv
Matters on which we are requirL.d tv report bi. i'x¢cption
In the lighi of the knowledge and understanding ot- Il)c char.lable company and its environment obiaincd in the course
of the audit. w¢ have not idenlificd Inalerial missiatcments in IhL Rcpon of the Trustccs.
W¢ have nothing lo rcport in respect of the following maltcrs where the Companies Act 2006 requires us lo report to
you if, in our opinion..
adequate accounting records hav¢ not been kepi or rettlrns ad¢qualc for our audit have not bccn received froni
branches not visited by us- or
the financial statements are not in agrc¢nient with th¢ accounting records and returns; or
certain disclosur¢s of trustees, remuncralion speLificd by law are not made.. or
w¢ have not receiv¢d all the inlomiation and explanaiions we requirc for our audii.
Responsibilitie5 of trustees
As ¢xplained inor¢ fully in the Statement of Trustees, Responsibilities. thc Irusiees {who are also th¢ directors of th¢
charitable coinpany for the purposLs of company lawl are resp()nsible tor thc prcparation of the financial statements and
for being satisfied that they give a true and fair view, and for such internal control as th¢ trustees d¢t¢rmine is necessary
to enable the preparalion of financial slalcmcnls that arc free from malcrial misslal¢ment, whethcr due to fraud or error.
In preparing the financial statements, the t￿sleeS responsible for assessing the charitable company's ability to
conlinue as a going concern. disclosing, as applicable, matters relatcd io going concern and ustng the going concern
basis of accounting unless the trustees either intend to liquidate the charitable company or lo cease operations, or have
no realislic alternative bul lo do so.
Our responsibilitie5 for the audit of the financial statements
Our objectives are lo obiain reasonablc a55urancc about wh¢lhcr the financial statements a5 a wholc are free from
material misstatement, whether due lo fraud or ¢rror, and lo issue a Report of the Indcpcndenl Auditors that include5
our opinion. Reasonablc assurance is a high Icvcl of as.surance, bul is not a guaranice Ihat an audit conducted in
accordance wilh ISAS (UK) will always delecl a material misslalem¢nl when il exists. Misstatemcnls can arisc from
fraud or error and are con5id¢r¢d material if, individually or in the aggregate, they could reasonably be expected lo
influcnce the economic decisions of us¢rs taken on Ihe basis of Ihese financial statements.
The extenl lo which our procedures are capable of delecling irregularities. including fraud is detailed below..
Our audit proccdures were dcsigned to respond to risks of malcrial misslalemcnl in the financial slalemcnts, recognising
thal the risk ol- not dei¢cting a malcrial misslaicmcnt due to fraud is higher than Ihc risk of not deiecting onc resulting
from error. as fraud may involvc deltberal¢ concealm¢nl by, for ¢xample, forgery, misrepresentation or Ihrough
collusion. There are inh¢rcnl limitations in the audit procedurcs performed and furthcr remov¢d non-compliance wilh
laws and rcgulalions is from the events and Iran5aclions reflected in the financial statements, the less likcly we are lo
become aware olit.
A further description of our responsibililics for the audit of th¢ financial statements is located on ihe Financial
Reporting Council's website al www.frc.org.uklaudilorsre5ponsibtlitAes. This description fornis part of our Report of the
Indcpendenl Auditors.

Report of the Independent Auditor5 to the Members of
Familie5 For Individual Needs And
Dignity
Use of our report
This r¢port is niade solely lo th¢ charitable company's members, as a body, in accordanc¢ with Chapter 3 of Part 16 of
the Companies Act 20116. Our audit work has been undertaken so thai we might state to the charitable company's
members those matters we are required to slate lo them in an auditors. report and for no oth¢r purpose. To the fullest
extent permitlcd by law, we do not accept or assiime rcsponsibility to anyonc other than th¢ charitable company and Ihe
cliaritabl¢ ¢ornpany's members as a body. for our audit work, for this rcpon, or for th¢ opinions we hav¢ formed.
Andrew Rusling FCA (Senior Statutory Auditor)
for and on bchalf of Rusling & Co. Statutory Auditor
F6 Th¢ Bloc
Anlaby
Easl Yorkshire
HUIO 6RJ
Date:

Families For Individual Needs And
Dignity
Statement of Financial Activities
for the year cnded 30 November 2024
2024
Total
funds
2023
Total
funds
Unrestricted
tunds
Restricted
funds
Noic5
INCOME AND EIYDOWMENTS FROM
Donaiions and Icglacies
39,87.3
39,873
54.08Y
Charitable actlvlties
Cliarilablc ALlivilics
1,717,44fi
1.317,446
1.076,707
Othcr trading aLlivities
Invc%imenl incon)c
Oilicr incoiiic
1.464
307
1,967
1.464
307
1,967
3,236
4.11
9,626
Total
1,-361,057
,-161,057
1.144,08
EXPENDITURE ON
ChAritable 4ctivltle$
Charitable A¢tivilies
1,291,279
1.291,279
1,146.157
NET INCOMEI{EXPEliDITURE)
69,77X
69,778
(2,06X)
RECONCILIATI()N OF FUNDS
Tolal lunds br()ug,hi lorw'ftrd
7112.621
702.621
704,6119
TOTAL FU.YDS CARRIED F()RWARD
772,399
772,399
702.621
Th¢ notes forni part ol these financial slal¢ments

Familt¢$ For Individual Needs And
Dignitv
Balance Sheet
30 November 2024
2024
Total
funds
2023
Total
funds
Unresiricted
funds
Restricted
funds
Notes
FIXED ASSETS
Tang?ible assets
12
840.577
840,577
851,801
CURRENT ASSETS
Debtors
Cash at bank and in hand
13
161.158
119,821
161,158
119,821
127,997
87,981
280,979
280,979
215,978
CREDITORS
Amounts falling due within one year
14
(63,092)
(63.092)
(69,147)
NET CURRENT ASSETS
217,887
217,887
146,831
TOTAL ASSETS LESS CURRENT
LIABILITIES
1,058.464
1,058,464
998,632
CREDITORS
Amounts falling due after more than one year
15
(286,065)
(286,065)
(296,011 }
NET ASSETS
772,399
772,399
702,6?1
FUNDS
Unrcsiricled funds
17
772,399
702,621
TOTAL FUNDS
772,399
702,6?1
al statements wer¢ approved by Ihe Board of Trustees and authorised for issue on
iQ *>......... and were signed on ils behalf by:
C P Hodgson - T
The nol¢s forni part of these financial statements
10-

Families For Individual Needs And
Dignity
Cash Flow Statement
for the year ended 30 Iwovember 2024
2024
2023
Noies
Cash flows from operating activities
Cash generatLd froni operations
Interest paid
74,733
24,749)
27.695
12,009)
Net cash provided by operaling activiii¢s
49,984
15,686
Cash nows from investing activities
Purchas¢ of tangible tixed assets
Inlerust rcceiw'ed
12,985)
307
(257,144)
431
Nel cash used in investing activities
2,678)
256,713}
Cash ftlows from financing activities
New loans in ycar
Loan r¢payments in year
150,000
10.400)
15,466)
Nel cash (used in)/provided by financing activities
15,466)
1.39,600
Change in cash and cash equivalents in
thi riporting pi'riod
Cash and cash equivalents at the
beginning of the reporting period
31,840
(101,427)
87,981
189.408
Cash and cash equivalents at the end of
the reporting pcriod
119.821
87.981
The nol¢s fomi part of these financial slalcmen15

Familie$ For Individual Needs And
Dignity
Note5 to the Cash Flow Statement
for the year ended 30 November 2024
RECONCILIATION OF NET INCOMEI(EXPEIYDITURE) TO IYET CASH FLOW FROM
OPERATING ACTIVITIES
2024
2023
Net incomel{expenditure) for the reporting period (as per the
Stat¢mcnt of Financial Activitie5)
Adjustments for:
Deprccialion charges
Interest r¢¢eived
Interest paid
Increas¢ in debtors
(Decrcase}lincrease in crcditors
69,778
(2,068)
14,208
(307)
24,749
(13.161)
16,699
1431)
12.009
(4.741)
6,227
Net cash provided by operations
74,733
27,695
AIYALYSIS OF CHANGES IN IYET DEBT
At 1112123
Cash flow
AI 30111124
Net cash
Cash at bank and in hand
87,981
31,840
119,821
87.981
31,840
119,821
Debl
Debts falling due within l year
Debts falling, due after l year
(21,371)
296,011)
5,521
9,946
(15,850)
286,065)
317,382)
15.467
301,915)
Total
229,401)
47,307
182,094)
The notes fomi part of these financial slalcments
12-

Families For Individual Needs And
Dignity
Notes to the Finan¢i21 Statements
for the y'ear endcd 30 Noi'ember 2024
ACCOUNTING POLICIES
Basi5 of preparing thi. financial statc'mcntS
The financial 51aicnients of Ihc charitable company, which is a public benefit entity under FRS 102, havc bcen
prepar¢d in accordance with the Charities SORP (FRS 102) 'Accounting and Reporting by Charilics.. Sialement
of R¢¢ommended Practice applicable to charities preparing Iheir accounts in accordance with the Financial
Reporting Standard applicablc in the UK and Rcpublic of Ireland (FRS 102) {effeclive l January 2019),.
Financial Reporting Standard 102 'The Financial Reporting Standard applicable in the UK and Republic of
Ireland, and the Companies Act 2006. The financial statements hav¢ been prepared under the historical cost
convention.
ncome
All income is recognised in the Statement of Financial Actlvllies once the charity has entitlement to the funds. it
is probable that the income will be received and the amount can be measured rcliably.
Expenditure
Liabililies are recognised as expenditure as soon as there is a legal or constructive obligation commilling the
charity to that expenditure, it is probable that a transfer of economic benefits will be required in settlement and
thc amount of the obligalion can be measur¢d reliably. Expcnditure is accounted for on an accruals basis and has
been classifi¢d under headings that aggr¢gFaie all cost rclaied lo th¢ category. Where costs cannot be direcily
altribuled lo particular h¢adingis they have been allocatcd to activitics on a basis conslstenl with the use or
resources.
Tangible fjxcd assets
Deprcciaiion is proi'idcd ai the following annual rates in order to write off each assel over its estimated useful
life.
Improvements to property
Fixiurcs and liltings
Moior vchicles
in accordance with th¢ property
20/0 on cost
25 /0 on reducing balance
Taxation
The charity is exempt from corporation tax on its charitable activities.
Fund accounting
Unreslricled funds can be used in accordance with the charitable objectives al the discrction of the tnlslees.
Restricted funds can only bc used for particular restricted purposes within the objects of the charity.
Restrictions arise when specified by the donor or when funds are raised for particular restricted pury)os¢s.
Further explanation of the nature and purpose of each fund is included in the notes lo the financial statements.
Pension costs and other post-retircment bencfit5
The charithble company operalcs a definLd conlribuiion pension scheme. Contributions payable to the
charitable company's pension scheme arc charged lo Ihc Sialemenl of Financial Activities in the period lo which
Ihey relate.
13-
continued...

Families For Individual Need5 And
Dignity
Notes to the Financial Statements - continued
for the year ended 30 November 2024
DONATIONS AND LEGACIES
2024
2023
Donations from Organisations
Donations from Individuals
3,756
36,117
4,886
49,203
39,873
54.089
OTHER TRADING ACTIVITIES
2024
2023
Fundraising events
1,464
3,236
INVESTMENT INCOME
2024
2023
Deposil accouni interest
307
431
INCOME FROM CHARITABLE ACTIVITIES
2024
2023
Service5 Provided
719,128
596,597
719.128
596,597
14-
continued...

Families For Individual Needs And
Dignitv
Lyotes to the Financial Statements - eontinued
for the year ended 30 November 2024
CHARITABLE ACTIVITIES COSTS
Support
costs (see
not¢ 7)
Direct
Costs
Totals
Charitable Activities
1,141,392
149,887
1.291,279
SUPPORT COSTS
Managcment
Finance
Oih¢r 2
Totals
Charitablc Activities
131.663
60
I￿,164
149.8117
NET INCOMEI(EXPLNDITURL)
Nel income/{expenditure) is slated aftcr charging/lcrediling):
2024
Dcprccialion - owned asscls
14,209
16,6r4y
TRUSTEES, REMUNERATION AIYD BENEFITS
There w¢re no trustees, remuneration or oihcr benefils for Ihe year ended 30 Novembcr 2024 nor for the year
cndcd 111 NovcmbL'r 2Q2.3.
Trustees, i'xpcn5es
There were no truslces, expenscs paid for the year endcd .10 November 2024 nor for ihc year cndcd
30 Novcmbcr 2023.
io.
STAFF COSTS
21124
202.3
Wages and salaries
Othcr pension cosls
1.077,332
15.974
941,61
13,824
1093 306
955,442
The average monthly numbcr of employccs during Ihe ycar was a5 follows..
2024
50
2023
43
FiND2&3
Adniinistration
53
45
No employees received emolumen15 in exccss 01 £60,000.
continued...

Families For Individual Needs And
Dignity
Notes to the Financial Statements- continued
for the year endcd 30 November 2024
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
funds
Reslricicd
funds
Total
funds
INCOME AND ENDOWME,NTS FROM
Donattons and legacies
54,089
54,089
Charitable 2ctiyilies
Charitable Activities
1,076,707
1.076,707
Other trading activities
Invesini¢nl income
Other income
3.236
411
9,626
3,236
4.31
9,626
Total
1.144,089
1,144.089
EXPENDITURE ON
Charitable actii'ities
Charilablc Activities
1.146.157
1,146,157
NET INCOMEI(EXPE￿DITuRE)
(2,068)
(2.068)
RECONCILIATION OF FUNDS
Total funds brought forward
704,689
704,689
TOTAL FU.YDS CARRIED FORWARD
702,621
702.621
12.
TALYGIBLE FIXED ASSETS
Imp.-ovemenis
to
Fixtures
and
riltings
Freehold
property
Motor
vehicl¢s
propcrty
Totals
COST
At l December 2023
Additions
8.12,626
141,084
192,308
2,9¥5
34,665
1,200,68.3
2,985
At 30 November 2024
832.626
141,084
195,293
34,665
1.203,6614
DEPRECIATION
Ai l Decembcr 2023
Charge for year
141,084
173,133
14,209
34,665
348,882
14,209
At 30 November 2024
141,U84
187,342
34,665
363,091
NET BOOK VALUE
AI 30 Novembcr 2024
832,626
7.951
840,577
At 30 November 2023
832.626
19,175
851,801
16-
continued...

Families For Individual Needs And
Dignity
iyotes to the Financi21 Stalements - continued
for the year ended 30 November 2024
13.
DEBTORS: AMOUNTS FALLING DUE WITHIIY ONE YEAR
2024
2023
Trade debtors
Other d¢biors
Prepayments and accrued income
147.349
486
13.323
107.430
27
20,540
161,158
127,997
14.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Bank loans and overdrafts (see note 16)
Trade Creditors
Social security and other taxes
Otlier creditors
Accruals and deferred income
15,850
7,649
11,607
13,556
14,430
21,371
7,-326
12,219
13,255
14,976
63.092
69,147
15.
CREDITORS: AMOUNTS FALLING DUE AFTER MORE THAN ONE YEAR
2024
2023
Bank loans (sce note 16)
286.065
296,011
16.
LOANS
An analysis of the maturity of loans is given bclow=
2024
2023
Amounts falling due within onc year on demand-
Bank loans
15,850
21,371
Amounts falling bclween one and iwo years..
Bank loans - 1-2 years
15,850
21,-371
Amounts falling du¢ belween two and five years..
Bank loans - 2-5 years
47,550
64.113
Amounts falling du¢ in more than five years:
Repayable by instalments:
Bank loans more 5 yr by instal
222,665
210,527
17-
continued...

Families For Individual Iyeeds And
Dignitv
Not¢$ to the Financial Statements- continued
for the year ended 30 Iyovember 2024
17.
MOVEMENT 111 FUNDS
N¢t
movcmcnt
in funds
At
IIE2123
30111124
Unrestri¢ted funds
General fund
702,621
69.778
772,399
TOTAL FU.NDS
702,621
fi9,778
772,399
Net movement in funds. included in the above are as follows:
Incoming
resources
Resourccs
exp¢ndcd
Movement
in funds
Unrestricted funds
G¢n¢ral fund
1,361.057
(1,291,279)
69.778
TOTAL FUNDS
1,361,057
1.291,279)
69,778
Comparatives for movement in funds
Net
movement
in funds
Al
1112122
At
30111123
Unrestricted funds
General fund
704,689
(2,0611}
702,621
TOTAL FUNDS
704,689
2,068)
702,621
Comparative net mov¢ment in funds, included in the above are as follows..
Incoming
resources
Resources
expended
Movement
in funds
UDrestri¢ted funds
General fund
1,144,089
(1,146,157)
(2,068)
TOTAL FUNDS
1,144,089
18-
continued...

Families For Individual Needs And
Dignity
Notes to the Financial Statcments- continucd
for the year ended JO November 2024
17.
MOVEMENT IN FUIYDS - continued
A currcnt year 12 months and prior year 12 months combined p051tion is as follows..
Nel
movcment
in funds
At
1112122
30111124
Unrestrl¢ted funds
G¢n¢ral fund
704.689
67,710
772,399
TOTAL FUNDS
704,689
67,710
772,399
A currcnt year 12 months and prior year 12 months Combined net movement in funds. included in the above are
as follows..
Incoming
r¢sources
Rcsourccs
expcndcd
Movcmcnl
in funds
Unrestrlcted funds
Gencral fund
2,505,146
(2,4.17.4.36)
67,71
TOTAL FUYDS
2,505,146
2.4.17,4.16)
67,710
18.
RELATED PARTY DISCLOSURES
Ther¢ were no relatcd party Iransaclions lor Ihc ycar ended 30 November 2024.
19.
COMPANY LIMITED BY GUARAIYTEE
The company is limilcd by guarantcc. The liability of Ihc members to contribute in the eveni il. (he company
being wound up is limited lo £1 pcr mcmber. The trustcc group comprise the members and arc aulomatically
elccicd lo mcmbership upon appoinlmcnt as a truslcc. Upon resignation or retiremenl thcy are dccmed lo hav¢
rcsigncd as a nicinbcr.
19-

Families For Individual Needs And
Dignity
Detailed Statement of Finan¢i&l Activities
for the year ended 30 Novembcr 2024
2024
INCOME AND ENDOWMENTS
Donations and legacies
Donations
39.873
54,089
Other trading activities
Fundraising ev¢nts
1,464
3.236
Investment income
Dcposil account inicrest
307
431
Charitable activities
Client Fees
1,317.446
,076,707
Other income
No description
1,967
9,626
Total incoming resources
1,361,057
1,144,089
EXPENDITURE
Charitable activities
Wages
Pensions
Activity costs & equipment
Travel & Transport Costs
Sundries
Bank loan inleresl
1,077.332
15,974
4,667
14,676
3,994
24,749
941,618
13,824
4,028
14,178
7,941
12,009
1,141.392
993,598
Support costs
Management
Managemenl
Premises expenses
Personnel
Depreciation of tangible and heritage assets
42,041
54,198
21,216
14,208
34,171
59.265
18,460
16,699
131.663
128.595
Finance
Bank charg¢s
60
1.781
Other 2
Accountancy
ca￿led forward
14,264
14,264
13,963
13,963
This page does not fom] part of the statutory financial stal¢ments
-20-

Families For Individual Iyeeds And
Dignity
Detailed Statement of Financial Activities
for the year ended 30 November 2024
2024
Other 2
Brought forward
Legal expenses
14,264
3,900
13,963
8.220
18,1(A
22,183
Total resources expended
1,291,279
1.146.157
Net ineomel{expenditure)
69,778
This pag¢ does not fonn part of the stalulory financial slatements
-21-