CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's
report on the accounts
Section A
Independent Examinews Report
Report to the trusteesl
members of
POLIO CHILDREN
J1
On accounts for the year
ended
31 DECEMBER 2023
Charity no ' 1096394
(if any)
Set out on paga8
1-16
I report to the trustees on my examination of the accounts of the above
charity ("the Trust") for the year ended 3111212023.
Responsibilllies and As the charity trustees of the Trust, you are responsible for the preparation
basls of report of the accounts in accordance with the requirements of the Charities Act
2011 ("the Act").
I report in respect of my examination of the Trust's accounts carried out
under section 145 of the 2011 Act and in carying out my examination, I
have followed the applicable Directions given by the Charity Commission
under section 145(5)(b) of the Act.
I have completed my examination. I confirm that no material matters have
corne to my attention {
") in connection with
the examination which gives me cause to believe that in, any material
respect:
accounting records were not kept in accordance with section 130 of
the Act or
the accounts do not accord wilh the accounting records
I have no concerns and have come across no other matters in connection
with the examination to which attention should be drawn in order to enable a
proper understanding of the accounts to be reached.
Ple8S8 delete the words in the brackets rf they do not apply
Independent
examinor's statement
S5gned: [*.
Date:
16 OCTOBER 2024
Name:
RANJIT SINGH SOKHI
Relevant professional
qualification(s) or body
(Of any):
THE CHARTERED ASSOCIATION OF CERTIFIED ACCOUNTANTS
Address:
86B ALBERT ROAD
ILFORD
IESSEX IG1 1HR
IER
October XA

IHARITY COMMISSION
FOP -hGLANO AND WAiES
POUO & CHILDREN IN NEED CHARITY
Charity No
ifan
Annual accounts for the period
0110112023
To
1096394
P•riod start d•t•
dats
Section A
3111212023
Statement of financial activities
Rocommandod categori88 by
actlvity
R•8trl¢ted
Unre8triet•d Income Endowment
funds
lund*
fund•
Prlor year
lund•
Incoming re8Ource8 (Note 3)
In¢ome ¥nd •ndowm•nts from:
tJon2iws Hnd legacte$
Charllal* ad1￿1
Other tradino aCb*t
Inwstmwts
Total fund•
F01
F02
F03
F04
F05
310.792
310.792
212.732
rt•m d iThxTh
6,159
Other
S05
6.159
5.648
Total
esources expended (Note 6>
xp¢ndSturg on,
8isJng ftN
harrt•bl• 8¢*¥iu•8
S07
316.951
316,951
218,380
15,371
275.199
15.371
275.199
8,019
224,214
Iber
Si0
S11
otal
S12
290.570
290.570
232,233
et incomel(expendilur•) b•for• inv•strn•nt
ain$l{losse81
pl gainfiyllosw51 on ￿¥•11￿￿￿$
S13
26.381
et incomel(exp•nditurn)
xtraordinary item$
ran•fer• between funds
ther recogni8•d gain81(loMM):
3 159
13.853
3.15A
23,222
515
23.222
S16
13.853
S17
Ins WKI Icts••& r•¥•I￿9110n rf Ax•d ovi Si8
er gJiWlkJ6tésl
•t movement In lunds
S19
S20
23.222
13,853
on¢lliatlon of funds..
31 lunds brought foThYa
tal funds Carried forward
156 197
179.419
156.197
179,419
522
170.050
156.197

Section B
Balance sheet
R•stri¢t•d
Incomo
Unr¢strl¢tod
funds
Emlowm•nt Total thh
fund•
y•ar
Total
y•ar
Fixed assets
Intanglbl? assets
Tangibl• a$8ets
Herltsge assets
Inv•stmeni•
F01
F02
F03
(Not• 15)
(Note 14)
INot• 16)
(Note 17)
Total fix•d assets
F04
F05
Current assets
Stocks
Deblor5
(Not• 18)
Investments
(Note 19)
(Note 17.4)
Cash at bank and In hand (Not• 241
Total current •ss•ts 810
07
2.040
100,000
2.040
100.000
19,390
125.000
13.409
157,799
14
Credltorn: amounts falllng du• wlthln
one year
(Note 20)
63.195
63.195
1,602
Net ¢urnt a3seW(Ilats"Iltl•sJ
rotai •ss•ts I•ss ¢urnt Ilablllll•s
12
156.197
168,197
Creditors- amounts falllng du• aft•r
one year
(Not• 20)
Provlslon$ for Ilabillties
BIS
Total net assets orllabilltles
Funds of the Charity
Endowrnent funds (Note 271
Reslrlctsd Income fund• INot• 27)
Unr•Jtrlct•d funds
Revaluatlon r•serv•
Byo
179,419
179.419
156.197
817
819
179.419
179.419
156,197
Total funds 821
,41
,41
156,197
by one c* trustees on behalf of all
trustees
Signature
Print Name
Date of
approval
th*lmm
ATEL
io
CC17a (Excel)
2W912024

Ir4)
V•.

Soctioii C
Ploto 2
2.2 INCOAIE
Note5 to ihe account5
Ac¢outhiryi Wicl•¥
Iconti
ThLT has Oeep. ty tr* c*wty•icryrtrJvwff<tsO
Flts SC*P ty FT¢b 192
arE ￿ IS 10 * 5 12 FR$ 102 SCVtPi
Yès
Y•$
Ni•
Yes
Yes
No
Nia
ND
Yes
Nl
O*al Oil ts iaiffj th• of IS (*aig•d 114th
Yrf
Yej
No
Ye3
Yes
ND
P41w
Vdunt••r h*
Nia
Yes

Is ?0to 5 12 FPS 102 SORP)aKt•• *icAtsJ *$ atfr
nuJTh• vi tpw ScfA
Ye5
Yes
2.3 EXPENOITURE AND UABILMES
Li•bility f•CDyniih)Th
Ye5
Yes
Yes
Ye#
Nc
Ye*
Yes
Yes
1C 7 pItS i& SC*tg 11 17 ￿ 11 19
FRS Ioz SORP
Yes
2.4 ASSETS
Yes
Y•A
ND
Yés
Ye6
Nia
y￿
Stecb m
Ye5
Y•¥

Cuff•Trt •M•t
.4
ND
ra
POUCIE3 ADOPTED
ADDITroNAL TO OR
DIFFERENT FROII
THOSE ABOVE

Secui)n C
ro ihe a¢ootJnt5
AnaPs¥is ol iocw•
Gif
?-,?447
310 792
212.n2
To
TowL 6 159
6155
zaZZSRX
G•w ¢f# iwaiblll fiA•J
4ry¥•wp
TOf4L WXIE
16
IWA
cciiaiEJ

SectSon C
Noles to the accounts
Analy¥h of expendltur•
Note 6
lconti
Exp¢ndltur• on
r4l¥in9 fvnots..
Incurred seeking tJonarKffis
Incurred ségking lega
Incurred seekiry 9ianis
0￿ratIng membershp sclwmas 41*1
So￿1 Iottef
Staging fvndTawng •vents
FudratyrKd ty•nts
Operaiing chanty shops
Operatrn9 a Iratting company
Undenak1￿ noTr<h•rrtable trath"
act
Advertlsino, matheting. dirn(X m•il and
15.371
15.371
Stan ￿ cojts in¢urrnd In 9?￿ra￿"n9
l*w sourte ol future ineAyn•
Cxhef trndin9 aaivrt•s
Irwestrnont manag•rrnnt costs.
Pt)rfolio man
ftl costs
C05101 obtatnir4 InwstrTrwnt athrt•
Int•1￿￿UaI kyopety IK•ncJng ¢4xts
Reni coll•¢lwi, prop•rty r•p•irn •Tr1
m•ffiien•no ch•ryes
T•)W •xp•iidllur• on r•l•lng fund•
Grant Fundi
15,371
15,111
E¥p•ndliur• on
arltabl•
Ilvitl•s
019
275. 199
224.214
Total eApgndityJr• on ch•rtt•bl•
ac¢iYitl•s
275.199
Il•m ol •xpen
Totsi
Total oth•r •xp•ndliwt
CC17a{￿l

Sectlon C
Notes io the actounts
Note 13
Grantmaking
F¥&is• Corn￿ not• rfthe charityn*il• •ny w•nts or dw•tions In w•pt• fonn a
Iconii
13.1 Anal￿18 ol grants (includ•d in cost ol ¢h•rit*bkn a¢tivlUeJ
rants to
rdnls to
Inststiilions
Indlvldu•ls
A￿￿$4¥
Acbyi
Stspport costs
Totsl
106%2
152 154
5.581
Acti
Its962
152.754
5.581
Aco
NIL
Ac)¥1
ar
1.978
11FAI
1978
1.166
112.648
Pl••s• •n¢y "Il•f ifth• ¢h•rfty dots not Id•n*fy #Upp￿ CO*&
13.2 Gr•nl¥ m•d• kn in#titsrtlon¥
Ily chaflty h•$ m•d¢ w•nts ￿ P•frf¢th in8Stukn •rn
the context olitj glanrm•￿Qg. Det•iTls olth• in¥lllutffjn support•d.
purpom of lh• gr•nt ènd th￿p•¢d lo ••ch inslltuth>n is •vallth on the
¢hantys w•b Jit•.
d•tsiis of charity
URL.
Provld• d•l•il¥
N•m•• of In￿ll￿tIon
Purpo
Tothl arn•unt
Buihj TFf .CaftknyJk4
Schcrf)I builditys ancl refu￿¥hm•ftts.
100.962
Kfjezi Oiph•n Ch•nty.Llg•nd•
Coftsiruet￿ft of Ofphanag•
1￿rt￿.rfrt¢b*n.W•1O1 thn*i. Foo*J.
school wnninj eosls
152 1S4
Mreno. Tanz•ni•
BU￿M￿a￿"• School
Sal•am• Sthool for Biirnl, Ll9and•
Sl tslliane Ofphanage.Uganda
Fltsng Tnjsl
Tol•l grants ¢0 insfituVon¥ In reportlng pwlod
School Fees and running costs
Cknthing ulilrtm & suppon costs
Foc#1 8 Braillie pap•r
utilit￿5 ¥nd st•ff
Food & mf•Jicin•s
S,S81
3,307
1,978
1.166
172,648
rorAL GRANTS PAID
275. 199
CC17a IExtx41

Seciion C
Notes to the accounts
Note 19
Debtorn and p￿payMentS
Pleas¢ complet• this rfth• ch•my has any
debtorn orprnp•ym•nt¥.
19.1 Anal￿18 of debtorn
(cont)
Thi• y•ar
L••t year
Trnd• d•btorn
Prepaym•nts and accnJod income
ToLg1
19.3
18,85S
PIM8• complet• 19.2 wh•rn • m•t•rf•l d•btor i• rncov•rnbl• mor• than • y••r aftw th• rnportlng d•t•.
19.2 An•ly•l• of d•btorn rneov•rabl• In mor• th•n 1 y••r (Includ•d In d•btorn abov•)
Thi• y•ar
Last year
Trade debtorn
Prepayrnents and aecrwd inc(yn•
Other d¢btorn
Tot•1
CC17a (Exco11
2￿9r2024

Thbj
725.Li
T*1
10)
L•iwr<
ro
CC*7•

Sociion C
Notos to Ihe accounts
Plo¢• 24
C••h at tr•nk •nd In hnd
L•# Jwr
Ctsh￿B￿
140.574
TIX
CCI7•￿1r¥IJ

Section C
Notes to the accounts
(cont
Note 20
Creditor8 and accruals
Pleaso complete thls note rf the ¢harlty h•s any credltorn or ac¢ruals.
20.1 Analy•is of creditorn
Amounts falllng du•
wlthin one year
This ye•r
L••t year
Amounts falling after
more than one ￿ar
This y•ar
Last year
AccNal• for grnnts payabl•
Bank lo•n• and ov•r(Iraft*
Trnde cr•dltorn
Payments reuived on aG¢ount lor eontracl• or
perfornianc•-r•lat8d grants
Accrual• and d•f•mid inGom•
Taxation and socl•l •ecurlty
Oth•r credltor•
63.195
1,602
Total
20.2 Deferr•d income
Pl•as• complgt• Ihls no¢• M th• ch•rlty h•¥ d•l•rrgd Income.
Pluse explain th• rn•sons why incom• 1$ dof•rr•d.
Movemant in d•l•trod ineom• •¢count
Thli year
Last year
8alance at the stsrt of the reportlng perfod
Amounts add•d in eurront period
Amounts reloa8ed to income from prevlous perlods
Balance at th8 end ol th• reporting period
CC17a IExrell

Section C
Notes to the accounts
Note 29
Additional Disclosures
The following are slgnificant matters which are not covered in other notes and need to be included to
provide a proper understanding of the accounts. If there Is insufficient room here, please add a
separate sheeL
POLIO & CHILDREN in NEED CHARITYS PRINCIPAL ACTIVITY WILL CONTINUE IN THE PROVISION OF
FINANCIAL FACILITIES FOR INFRASTRUCTURE,SUSTENANCE AND EDUCATIONAL PROGRAMMES
FOR POLIO VICTIMS AS WELL AS ORPHANS AND OTHER CHILDREN COMING FROM POOR
ECONOMIC BACKGROUNDS.HENCE PART OF THE FUNDS ARE RETAINED BY THE CHARITY TO
ENSURE TFIAT IT MEETS ITS FINANCIAL OBLIGATIONS UNDER THIS CHARITABLE ACTIVITY IN THE
FUTURE YEARS,
(cont)
CC17a {Excel)
2610912024