REGISTERED GHARITY NUMBER.. 1112133
REPORT OF THE TRLSTEES AND
UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 DECEMBER 2025
KICK 4 LIFE
Shaw Gibbs Lirnit8d
FleFniw Court
Leigh Road
EaSt￿Igh
Southampton
Hampshi
S050 gPD

KICK 4 LIFE
CONTENTS OF THE FINANCIALSTATEMENTS
R THE YEAR ENDED 31 DECEMBER 2025
Pagè
Report of the Trustees
Sfatemenl of Tru5t88s' Responslbllltles
Independent Examlnerfs Report
statementof Financlal ActlvltlO8
Balance Sheet
Notes to the Flnanclal Statements
10 to 19
Detslled Statemont of Flnanclal Actlvitles
20 to 21

KI_CK 4.LIFF.
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2025
The trustees present their report with the Iinanaal statements of the charity for the year ended 31 December 2025. The
trustee5 have adopted the provisions of Accounting and Reporting by Charities.. Statement of Recommended Practi(
applicab￿ to charities preparing their accounts In accordanTr with the Finano81 R8POrting Standard applicable in th8
UK and Republic of Irela￿ IFRS 1021 leffeclive 1 January 20191.
OBJECTIVES AND ACTIVITIES
Objectives and aims
Our vision is for the effective and widespread use of foot￿1 as a tool for tackling ptsvety and d15ease, and piomoting
develowienl, in the world's poorest communitie8.
Our mlsslon is lo develop and deliver highly effedive and innovative development through football programs that
address Social disadvantage amono children and youth and piomde opportunitie5 and inspiration foi Ihem to Iransfoim
th8ir lives and achieve their potential.
These efforts are focused in Le50tho in providing opportunities to transform the lives of disadvanlaged young people
through delwering hesllh education. HIV teslirvJ, life-5kills devebpment, mentoring and support towards edueats"on,
employment and sustainable livelihoods for orphans arKI vu6nerab￿ thiklren.
Our prinripal objectives 818..
1. The relief of poverty, hardshlp anLI distress throughout the workj by the provision ol financial 8fKllor malerial
assi51anTr of those In need and by Ihe collection. collation public distribution ol related infoirnalion. And
2. The preservation and protection of good fEalth throughoth the world. in particular in relation to Issues surround'ng
HIVIAIDS, by the provision ol information and advKe to those at ￿sk or who are suffering the effects of HIVIAIDS and, 81
the dis￿etiOn of the Trustees, by the provY8ion of financial assistsnce lo those affectsd.
The Charlty 15 organised so that the trustees me8t regularly to manage its affairs.
Public b8n8fit statement
Kick4Lile supports the good works of K￿4LIfe Trusl in L6SOtho which deliv8rs a pr￿raMMe of health education. HIV
testing, gender eouality, Iife-skills developrnent, mentoring arKI support towards education and employment for orphans
and vulnerable chibJien. Le50tho has th8 world's second highest prevalence of HIV123.2°hl and more than 160.(K)O
chihjren have b*n orph8ned by the disease. This support h8s been in the form of funding, fundtaising support and
organisalional develowent indudino developing stra￿leS and plans, writing fundraisng proposals alld supporting
Monitoring & Evaluation. In doing so K￿k4LIfe ha5 ftjrthered ils charitable objeclives Including the rel￿f of povety,
hardship and di$lres5, and the preservation arKJ protection ol g(iod keallh throughout the worfd.
Th8 tru5lees hav& read the Charty Cornmission's guidance on Publ￿ Benefit ancs consid81 it Mth due regard i
exerci85ng their power duts"es.
Page 1

KICK 4 LIFE
REPORT OF THE TRUSTEES
R THE YEAR ENDED 31 DECEMBER 2025
ACHIEVEMENTS AND PERFORMANCE
Charitable activities
2025 was the 20-year snnpjersary ol Kick4Life with a seri8s ol events in Lesotho to mark Iwo decades of impact through
sport in th& country. In April. Ki¢k4Life also gained global recognrtK)n in receiving the LaU￿U$ Sport for Good Awaid at
the Laureus World SFX)rt Awards. The charity aim5 to use this tnileslone as a platform to further 8¢8le. amplify and
deepen ils social irnp8cI in Leststho IR years to come.
Kick4Life 5UPPOrts the work of our partneT charity in Lèsotho Ki¢k4Llfe Trust. During 2025 Kick4Lrfe ha5 provided
funding, fundraising a551st3n￿ and oFganisalional developmènt asSlStance lo K￿k4LIfe Trust. This has included
developing strategies and plans. supporting progratnme d8velowent, fundraising and partnership deVelOp￿￿nt. HR,
safeguarding and Monitoring & Evaluation.
In 2025 our support enabled th8 followro actimts'es and aehi8vemenls in Lesotho thr￿gh which Kidt4Life Trusl
8ngaged more than 2.500 vulnèr8ble children and young peop￿.
1. Sport lor Good Programming
- The Lesotho United piogiamme and curriculurn which ernpowers chlldien and yOLbng peopl8 wrth k￿￿edge ol gender
rights and sexual & ieproduclive heallh education. as well as promoting gender equality, cha118nging gender
discrimination and r8duce in￿den￿S and aC￿ptanCe ofgender-based vi0Fen￿.
A Climatè Entetprisg Incubator which supported 10 young female entr8pr8neurs in setting up and 18un¢hing
enterprises wth an environrnental sustainability component 85 WEII as supporting the Iivelih(ths ol young women In
the piogramme.
A project to strengthen the yOL*th voice for dlrn8te action In Le50tho, in partnership with the Commonwaalth
Foundation. This included the prcKJuction and circulabon ora Climate Imp8Ct Resy)rt.
Delivering th8 Equal Play Eff8Ct Afr￿ Project, with Kid(4Life Trust appointed Regional Hub for Southern Africa. The
project involved developing and supporting a nebvork 0110 Sport lor Good oig8nisations from across the region in
strengthening their gender programmes and policies.
LaunchiTrJ the new Safe in Sport proj8Ct ￿nded by tlp Equal Play Fund through which Kick4Life Tnjsl worked with
local consortium pather, Touch Roots Africa. to establish and implement a sale repotbng mech£nistn for childrèn 8nd
young people Involved in sport. The project a150 induded delivèring safeguarding training to 60 sports providers in
Lesotho i￿ludIng sports clubs, sehools and lederAtions.
The Kick4Life Academy which provides intensive and holistic supwrt for vulnerable youth to work toward5 g8ining
student-alh18te scholarships at international universities. Two students fiom Lesolho secured fully-funded scholarships
in the USA irTr 2025.
2. So￿81 Enterprise Oevelopment
Continued develownent ol the social ￿nIe￿rIseS at Ki¢k4Life Centre induding No.7 Restaurant and the Hokahanya
Inn & Conference Centre. As well as generath.ng sustainable income for Kkk4Life Trust, the en18rprises prowde
structured Iiaining and employment for youNJ p&0￿8, providing skilb, experients 8ThY qualificab.ons to pursue c3rEers in
hospitality and lo achieve sustainable livelihoods.
In 2025, Ihere was also (x>nstructB)n of a new Gymnasium at the Kick4LifÈ ceTht￿ whith is SChedu￿d lo oten in
J8nu8ry 2026. As well as g￿eratIr0 5USt8in8ble income for Kick4Life TiusL the 'Bophelo Gymnasium & Health Club.
will be ac￿ssIble for staff ol Kick4Life Trust and for h8rd-to-reach and vulnerable members of the loc21 comtnunily
including children wth disabilits.es and sorially excluded older PEopl8. A5 well a5 58cuiing and msnaging the gratlt for
the gym, support was provided by hosting a busin8ss planning workshop and supporting Iwo youThJ ¥vomen from
Lesotho towards becoming Levd 3 Gym Instructors.
Working closely with K￿k4LIfe Trust to enab￿ Ihe completion of the Stadium of Life in Lesotho. the first stsdiurn in
Africa to b& constructed from 5USt8inably sourced timber. 2025 saw the comp181ion ol Biodiversity Stand - a stand
dedicated to nature, and the Theatre ol Life, which will be used for open air perforrnsnces and eijucation.
3. Pgrtn8rship Development
Continued development and implementation ol the dub Iwinning partnet5hip between Wrexh8m AFC and Kid(4Life to
piornole and facilitat8 cultural exchange, as well as exchange of knowledge expertise between the tr40
organisations. The ￿InnIng builds on 8 longstanding national ￿innIng b8lween Lesotho 8nd wa￿$.
In Februsry this included hDSting a delegation fvorn Wrexham in Le501ho with cothlivery of health education arKI
employability $8ssion5 in local schods.
- A del￿atiOn of 4 young leaders from Lesotho also attended an exchange visit In Wtexham in October.
Page 2

KICK 4 LIFE
REPORT OF T
E TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 202S
- A s¢holatship has also been secur8d In partnership with Wrexham AFC and Wrexham Univet5ity lor young ￿0p18
to study in Wales on a Football & Cornmunity EdU￿bOD course. ￿ ar8 aiming for the f115t student lo beoin their stud￿$
in September 2026.
Fundralslng aetlvltles
During 2025 Kick 4 Life has urKSertaken the following.
Securing granis on b&hall ol Ki¢k4Life Trust foi piogiamme aclivitE5, as well as helF¥ng to manag8 funding
partnerships assist wth reporting This induded.. the Laureus Sport lor Good Foundation, FIFA Foundation,
Common Goal. Adidas, the Inl&in8tlonal Olympic Commiite8 and the Commonwealth FOUndat￿n.
RecruSting fundraisers for the ngxt planned Kick4Life All Stars Tour to Lesotho in February 2028.
Through ￿ck4LIfe Assist we have prOV￿ed training and support to other sport for development oiganisalK)ns Including
curriculum development, coach training and social entetprise devek)pment support. In 2025 this induded working with
Crld(et Builds Hope in Rwantja and Beyond Sport.
Supporting fundraising activities of Ki¢K4Life Inc. in the USA to raise funds for lQck4Life Trust and to supwrt
sludent-athletes toward5 securing scholarships at Intematic￿a5 universities. In 2025 this indud8d supporting the annual
Kick4Life Gala in New York City.
FINANCIAL REVIEW
Introduction
ck4Lile is a Chaiitable Trust registered in the UK in 2005.
- The tiustees are governed by the Tiustee Act 2000 which sets out the general power ol inveslrnenl.
Organlsatlonal objectives
In sine with the fourvtsing objechves around the globd rel￿1 of poverty and the preserVat￿n and protection of good
h8atth, Kick4Life aim5 to support the gocKJ works ol Kick4Life Trust, a ¢haiity registered ill Lesotho, 50Uthern Afric8. In
doing so Kick4Life uses the power ol sport to tian5form the lives ol orph8nS and vulnerable children in Lesotho. Thi5
ndud85 health education and HIV prevention. voluntary HIV testing, gend&r rights education life-skills development.
Mentori￿ & supp¢yl towards educat￿On and employmenl.
This support ol Kick4Life Trust is manifested in direct Iinancial assist8n￿ and support with fundraising, promotion and
rnanagemenl and strategic SUPPDrt including monitori￿ & Evaluation and Human Resources. Kick4Lile's support is
focused on capacity-building Kick4Life Trust for the long-letm Su￿SS of th6 organiqation in achieving ts objective5 and
in ath￿1￿ng growth 8nd financial sustainability.
Investment obl8¢tlves & R858rves strategy
In investing the reserve5, the charity seeks to produ￿ the best financial return within an acceptable level of risk to be
determin8d by truslegs. Thè followry pararnelers will guide inveslment decisions..
85% 01 th& charity's assets should be held in cash. near-cash and low risk inve51m8nts denominated in Sterling. The
majority ol these investments should be acc8ssib1e within a one-month period.
The ￿maIn1r0 15% may be inv88t8d in strategic opportuni118s that support the objectives of tlw charity and th6 work it
supports iri Lesotho. These may be higher risk investments.
The ¢h8ritys cash balances shoukl be deposited ￿1th ins*'tutions with a Minimum rating of A- or inve5tsd in a
diversified rnoney market fund.
Th8 Charity will aitn lo identify new and div818e mean5 of generating incom8 to ensur8 that current 18vels ol charilabie
a¢tiwty can be Maintain￿ in th8 corniry years.
Management. Rèporfng & Monitorlng
- The Iru5tees monilorthe performan(￿ ol all investments on a quarterly basis with updates fr(￿ the Chief Executive.
The investment policy will be reviewed on an annual basis al th8 end-ol-year Board meeling with any required changes
made in time for the Idk)wing year.
P￿e3

KICK 4 LIFE
REPORT OF fHE TRUSTEES
R THE YÉAR ENDED 31 DECEMBER2025
FINANCIAL REVIEW
Re8ervgs polrcy
The chaiitys policy on reserves 15 compliant with those of th8 Charity Cornmission. Kick4Life's long-term goal is lo
achieve reserves that amount to six months fixed ovetheads in the UK lo consolidate atKI strengthen the organisation
loi ils loThJ-teim sU￿e$S and st8bilily. The charily also airns to hold reSe￿￿S that opresent six months fixed overheads
of ￿.ck4LJle Trust lo slfenglh8n the finan081 position of our partner organisalion and lo provide financial assislano if
r8quired. The trustees set 8nnual targets for increasing reseryes towards targ8t levels and review prog￿$5 against
these largel$ on a regular basis. They also review the reserves policy on an annud basis at the erKI ol year tK)ard
rneetI￿ in Decembei when the builget for the following year is set.
Financial revlew
The Trustee5 are satisfied wth the charivs incoming r&sovrces of £97.420, which includes investment income of
£11,335, and out-goin9 axpendilure of £119.855 and the loss on investments Of £11,265. The investrn8nl loss relate5 to
the dissdution of Third Half in¢, and 15 not irkSi¢ative of 8ny issues related lo other investments held by the charity.
Restr￿l￿d funds Iroffl Denise Coates FoundatK)n were fully ulilised by thè 8nd ol Decemb8r 2025 to further prOg￿$S
the Stsdium ol Lrfe facility in Le501ho. At 31 De￿mber 2025 there were no remaining r8slricted fut￿5 herd by tha
charity.
The ¢harity'5 surplus ol unrestricted lund5 was incfea5ed with gmnts and fundraising activities sècured and undertaken
throughout th8 year, strengthening the charitys po&tion to ¢onlinue athieving its obj8Qtives.
FUTURE DEVELOPMENTS
Kick4Life is aiming to continue its support of Krck4Lile Trust'5 work supporting and empowering vulnerablè children and
youtvJ people In Le801ho, and lo support the long-lerrn 5U5tain8bility and social impact of Kick4Life Trust. This includes
Strengthening and imprtsvirvJ SpDrt for Good programme delivery, the continued development ol the K￿k4Life Cèntre
and helping to strengthen the finanaal the organisational sustainability of Kid(4Lile Trust th￿Qh the effective running
and development ol ils Social enterprises.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
The charity is contro118d by its goveming docum8nl. a deed of trust aTKI conslitsrtes an unincorpordled tharity.
Reerultment and appointment of new t¥u$te
The Trust 06ed provides loi a minimum of 3 Trustees. Wer8 there a requirement for additional Truste8s, these would bg
identified atld appointed by the existing Trustees. New Trustees wlll b8 given a fortnal induction program which inVo￿eS
awareness of a Irusle8s responsibili118S. the governan￿ docurnenl, administrative proceduies. the hlstory and
philosophiral approach of the charity. A new Tru5te8 WOU￿ receive a copy of the wevious Annual Report and
Accounts
Rlsk Management
The trustees have a duty to id8nlify ancl review the risk5 to which the charity is exposed and lo ensure appropnate
controls are in pla￿ to prOv￿e reasonable 8ssurance against fraud and 8rror. The Truslees revEw the risks that th8
charity fa￿5 on an ongoing basis and ensure that efficient ¢ontrols are In pla￿ Its minimis8 these.
REFERENCE AhlD ADMINISTRATNE DETAILS
Reglstered Chalily number
1112133
Principal address
16 Park Avenug
Litue Paxton
CambrKlgeshire
PE19 6PB
rrustees
D M Light
B S Fishlock
A Oswald
N Ward
A W)ittakei-Brown
J C Morgan
Page 4

KICK 4 LIFE
REPORT OFTHE T
USTEES
FOR THE YEAR ENDED 31 DECEMBER 2025
REFERENCE AND ADMINISTRATIVE DETAILS
Indep8ndent Examiner
Shaw Gibbs Limited
Flerning Court
L8igh Road
Easlleigh
Southampton
Hampshire
S0509PD
Approved by order of the board of trusta3s on 27 May 2026 atKI 51gned on i& behalf by..
EF￿1
B S Fk%hlock- Tiusle8
Psge 5

KICK 4 LIFE
STATEMENT OF TRUSTEES. RESPONSIBILITIES
FOR THE YEAR ENDED 3q DECE_MBER 2925
The trustees are [￿POnsIble for prepari[￿ the Report of the Truste8s and the finanial statements in accordan￿ with
applicable law and United Ki￿d0￿ Accounting Standards Iunited Kingdom Generally Actspted A￿OUntIng Pra¢ticel.
Charity law r8quires the truslees to pr8pare finan￿al slalements for each financial year. Under that law, the trustees
h8ve elected lo p￿P￿re the financi81 slalements in a¢coidance with United Kingd￿ Generalty AC￿pted Accounting
Practice (United Kingdom Accounting Standards and applicable lawl.
Under charity 18w the Irustees must not approve the financ4al statetn8nls unless they a￿ s3t15fied that they give a tFU8
arKI fair view of Ihe stale of affairs of the chgrily and ol the incoTning resour￿5 and application ol resources. inclurjing
lh& income and expenditui8, ol the charity for that peri(￿. In pieparing th0￿ finanaaS statements, t1￿ trustee5 are
quired to
select Sultable accounting poli￿￿5 2nd then apply them consistenlly.,
ObSep￿ the tnethods and piinciples in the Charities SORP.,
m8ke judgements and estirnales that ale reasonable and prudent.,
prepa￿ the financial slat8m&nts on lh8 con(￿[n basis unless rt is inappropriate to pi&sume that the charity wll
continue in bu5ines5.
The tDJSt8es aro ￿sponsible for keeping proper a¢counting records which disdosè with reason8b18 accuracy al any
tirne the financial position ol the charity and to 8nable them to ensure that the financial statements comply with the
Charities Act 2011 and The Charity (Accounts arKI Reports) Regulations 2008. They are also responsible lor
safeguarding the 8ssets of the charity and hen￿ for taking ￿asOnable steps for the prevention and detection ol fraud
and other ir￿guIar1Iie$.
Page 6

INDEPENDENT EXAMINER'S_.BEPORT TO THE TRLISTEES OF
KICK4 LIFE
Independent exarninees report to the trustees of Klck 4 Llfe
I report to the ¢haiity trustees on tny examination of the accounts of Klck 4 Life (the Trust) for the year ended
31 December 2025.
Responsibilities and basls of report
As the charity trustees of the Tiust you are reswnsible for the preparation of the ac¢ounls in accordan￿ with the
requir8rnenls ol the Charities Act 20111'lhe Acl'l.
I report in respect ol my examination of the Trust's accounts carned out undei Section 145 of the Ad and in carrying out
tny examination I have folk)wed all applicable Directions given by the Chaiily Commission under Section 14515llbl of the
Act.
Independent examlnerfs statement
I hav8 completed my examination I confirm that no rnaleri81 fnatlers have come to my attention in conrEclion with the
examination giving me cause to believe that in any material respect.,
awounting ￿COrdS were not kept ￿ iespect of the Trust as r9quired by See￿"0n 130 of the Act., or
the 8cLounts do not accord wilh those records.. 01
the account5 do not comply with the applicable requirements concemiw the forrn and content of aceounts set
out in the Chaiilies (Accounts and Reports) Regulatlons 2008 other than any iequiiement that the accounts gIV8
a tIU8 and fair view which is not a mattel COn￿der&I as part ofan independent examinatM)n.
I have no COn￿r￿S and have eome acros8 no other rnatters in connection with the examin8tion to which attention shou
be drawn in thi5 r8POrt in order io enable a proper understandiru o1th8 a(tounts to bè ￿aChed.
Mrs LA Parry FCA
Shaw Gibbs Limrted
F18ming Court
Leigh Road
Easlleigh
Soulhampton
Hampshiie
S0509PD
Datè..
2L
Page 7

KICK 4 LIFE
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 DECEMBER 2025
2026
Total
funds
2024
Total
funds
Unrestricted
fund
Restricted
funds
Notes
INCOMEAND ENDOWMENTS FROM
Donation5 and leg8¢ies
q3,734
13,734
35,402
Charitable a¢tivitl85
SDeAal change programs lor vulnerablB yourvJ
people
72,351
72,351
127,216
Investment Income
11,335
11,335
16.047
Total
97,420
97,420
178,665
EXPENDITURE ON
Raising funds
Raising donstions arKJ lega¢ies
23,019
23,019
26,5￿)
23.019
23,019
26,590
Charitable activities
Social change piojrams foi vulnerable young
peop
40,488
56,348
96,836
245.179
Total
63,507
66.348
119,855
271,789
Net gainslllosse51 on investmants
111,265
111.2651
2,445
NET INCOMEIIEXPENDITUREI
22,648
156.3481
133,7001
190,6591
RECONCILIATION OF FUNDS
Total funds brought forward
443.897
SG,348
500,245
590,904
TOTAL FUNDS CARRIED FORWARD
466,545
466,645
500,245
Th8 notes forrn part ollhese financial 5tal8ments
Psge 8

ICK 4 LIFE
BALANCE SHEET
31 DECEMBER 2025
202S
Total
funds
2024
Total
funds
Unreslricled
fund
Restrirt
funds
Notes
FIXED ASSETS
Tangible as5els
667
667
239
CURRENT ASSETS
Deblots
Investments
Cash at bank
12
13
8,269
46,806
417.473
8,269
46.806
417,473
4,565
58,071
444,026
472,548
472.548
506,662
CREDITORS
Amounts f811ing due v￿thin one year
14
16,6701
16,6701
16,6561
NET CURRENT ASSETS
465,878
465,878
5(X).O(
TOTAL ASSETS LESS CURRENT LIABILITIES
486,545
466,545
500,245
NET ASSETS
466,545
466,545
500,245
FUNDS
Unrestricted funds
Restrictsd funds
15
466,545
443,897
56,348
TOTAL FUNDS
466,545
500,245
The financial statements were approved by Board ol Trustee5 and authori5ed for issue on 27 May 2026 and were
signed on ils behalf by..
D M Light- Trustee
B S Fishlock- Trustee
Th8 rioles form part ol these financia1 statements
Page 9

KICM 4 LIFE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025
ACCOUNTING POLICIES
Basis of preparlng the Ilnancial statement¥
The financi81 slalemenls of Ihe charity. which is a public benefit entity under FRS 102, have been prepared in
accordanc8 with the Charities SORP IFRS 1021 'A¢counling and Reporting by Charitie8'. Statemenl ol
Recommended Praclice applicable to charitses preparing their accounts in ￿cOrdanCe with the Financial
Reporting Standard applicable in Ihe UK and Republic of Ireland IFRS 1021 (effective 1 January 20191,. Financial
Reporting Standard 102 'The Financial Reporting Standard applicable in the UK and Republic of Iieland, and the
Ch8rities Act 2011. The financial statements have been prepared under the historical cost cmvenlion.
The trustee5 consideF there a￿ no rnalerial unc@rtainlies about the Chantys ability to continue as a going
concem. The most significant are of 8Stimalion and judgement is that of securing grant funding and donalior)s
and Ihe trustees hove no con￿M8 that this flow of inwme will nol wntinue.
The finanaal statements 2re prepared in Sterling, which is the functK)nal ojrrency of the charty Monetary
amounts in these financial 5tat8ments ar6 munded to the nearest £.
Flnan¢lal reporting standard 102. reduced disc105ure exemptlons
The chaiity has taken advanlage of the following disclosure 8x8rnplion In preparing these financial statements.
as perrnitted by FRS 102'The Finanaal Reporting Standard applicable in the UK and Republic of Ireland,:
the requirements ol Section 7 Staternenl ol Cash Flows.
Incorne
All incorne 15 recognlsed in the Slat8rnent ol Financial ActivrtEs once the charity has enliuefflenl to the funds. it
is prob3blg that income will be [￿1Ved and the amount can b8 measure(S r81i8bly.
Cash donats.ons are r8cognised on recdpt. Olher donations are recognis8d once the charity has been notified ol
donation, un188s perfOr[nan￿ conditions require def81ral ol the amount. In¢ome tax recoverable in relation to
donations roc8ived urKler GiftAKI or deeds of wvenanl is recognised at the time olthe donation.
Legaue5 8r8 re¢ognised on recelpt or otherwise if th8 charity ha5 been notified of an impending dislrtr)ulion, the
amount is known, arKI rec6ipt is expected. If the 8mount is not known, the legacy iq Ireat8d 83 a conh"ngenl
asset.
Grants are ￿COgnised when th9 charty ha5 been notlfied in writing of both the amount and settlement date. In
the event that lh8 grant is S￿bleCt lo conditions that ￿quIre a level ol performance before the charity is enlided to
the funds, the income is deferred and not recognised until th0$6 conditions are fully mel, or the fulfilment of
those conditions will be fulfilled the reporting penod.
Consultancy income is the value of seN￿S prowded. Income ps recognlsed on a per￿ntage degre8 of
Impletion basis calculated by referen￿ to the lime expended compared to the anticipated limè.
Interest on fund5 hdd on deposit is included when re￿Ivable and the amount Can LE rneasU￿d reliably by the
charity.. this Is normally upon notification olthe interest PZKJ or paya￿e.
Expondlture
Li8bililie5 are recognised 85 expendituie as soon as there is a legal or corEtructNe obligation committing th8
charity to that expenditure. il is probable that a tfftnsfer of e¢onDmiC benefits will be required in 58tt1ement and
the amount ol the obligation can be rneasured ieliably. Expenditur8 is accounted for on an accruals basi5 and
has i￿8n classified under headings that 8ggreg8te all cost relatsd to the categofy. Where costs ￿Tr[K)I be
directly attrrfoulecj to particular hesdings they have been allocated to activities On g basis con5i5tsnt with the use
ol ￿Sour￿$.
Tanglble fixed asset5
Depr8ciation 15 piovided at the following annu81 rates in order lo write off 8ach asset OV8r its estimated useftjl
I￿&.
Pbnt and machinery
Computer equipment
20QA 5tr&ight line
33Vo 5traighl line
All Irxed assets a￿ Initislly recorded at cost.
Taxatfjon
Th& charity is exernpt from tax on its charitable actiiities.
P4e 10
tx)nlinued...

4 LIFE
NOTES TO THE FINANCIAL STATEMENTS- contlnued
FOR THEYEAR ENDED 31 DECEMBER 2026
ACCOUNTING POLICIES - contlnued
Fund accounting
un￿strICted funds can be us8d In ￿cordan￿ with the charit8ble obieclpjes at the discretion of the truste85.
Restricted lunds only be u58d for particular re51ricted pur[￿e$ within th8 objtscts of th8 charity. Restrictio￿S
arise when specified by the donor or when funds ai8 raised for particular restricled purposes.
Further explanation olth8 nature and purpose ol each fulld 15 included in the notes to the financial st8tem&nls.
Foreign currencles
Assets and liabilities in foreign ￿rrenCieS 8r8 translated into sterfing al the iales of excharye ruling at the
balance sheet dale. Tiansa¢lDns in foreign curren￿e5 are translated Into steding al the r818 ol exchange rulityj
at the date ol transaction. Exchange d1fte￿nCeS are iaken into acwunl ￿ arriving at the operating resutt.
Hlre purchase and leasing Commltments
R8ntals P8KS utKler operating ￿aSe$ are charged to the Stslement ol Financial Activiti8s on a slraighl line basis
over the perH)d of the le8se.
Pension ¢osts and other post-retlyement beneflts
The charity operates a defined contribution pension scheme. Contiibulh)ns payable to th8 charity's p&nsion
scheme are chsrged to the Slatemenl of Flnanaal Activities in Ihe p2rK)d to which they ￿late.
Impalrmenl of fixed assets
At each ￿por11rng dale, the charity wews th8 carrying amounts ol its tangible asse15 to detemiine vth8ther
there is any indication that those assets have suffered an impaitmènl loss. If any such indicaknon exists. the
cover8bl@ amount orth8 assel is estimated in order to determine the extent ol the itnpairmenl loss lif any).
Cash and cash equlvalents
Cash and cash eqvivalenls inch￿Ie cash in hand, deposits held at call with banks. other short-leTm liquid
investments with original malurÈtie5 01 three months or less. and bank ovetdmfts. Bank overdrafts are shown
within borrowings in current liabili1￿5.
Flnancial Instruments
Thè charity ha5 elected lo apply the provisions ol Section 11 'B3sic Financial Instrum8nts' and Section 12 '01her
Financial Instruments Issues, of FRS102 to all of its financial instruments.
Fin8rtial instruments are ￿co￿lse￿ in the charity's balance sheet when the charity becomes party to the
contractual prowsion5 ofthe instrunwnl.
Financ4al assets and liabilitES are offset, wlh the net atnounts presented in the finanual ststwnenls, when there
is a ￿9allY enforceable right to set off the recognised amounts and Iheie is an int8ntion to settle on a net basis
or to realise th8 a5sel and $8tt1e the liability simultaneously.
Baslc flnanclal assets
Basic financial assets. which indude debtors and cA5h and bank balan￿. initially measured at transaction pil
Including Iiansaclion cosls and subsequently ¢arried at amortised c05t usiro the effective interest tnethod unles5
the arr8ngement constitutes a financing transaction, where the tran￿CtIOn is rneasU￿d at the piesenl value ol
the luture ieceipts discounted al a market rate ol inteie5t Financi81 assets ¢1assified as ￿CeIvable wthin one
year c( not amOr￿sed.
Basi¢ financlal Ilabllitles
Basic finan¢i81 liabilities, including creditors and bank bans are initially reccgnised at transaction price unless
the atrangemenl conslilutes a financing tr8nsaclion, where the debt instrument is measured at the present value
of the futu￿ payments discounted at a mark8t rate ol inier85t. Financial liabilikn'es classified as payable wthin
one year are not arnortiSBd.
Debt instrumellts are subsequenly ¢arrfed at amortised cost, using tho affectiv8 int81est rate method.
Trade creditors are obligations to pay for goods most setvicès that have been acquired in the ordinary course of
operations from suppliers Atnounts payable are d8ssified as current liabilities il paytnent is due within one year
or less. If not, Ihey are presented as non-CLiltent liabilities. Tiade Creditors are rewni5ed Inrt1311y at transaction
pri¢x And subsequently masured at amortised cost using the 8ffeGtive interest rate.
Pag8 11
continued...

ICK 4 LIFE
NOTES TO THE FINANCIAL STATEMENTS- co
.J)IlnuÈd
FOR.T.NE YEAR ENDED31 DECEMBER 2025
ACCOUNTING POLICIES. continued
Employee b8n8flts
The cost of any unused hOl￿aY 8ntll￿rnent 15 recognised in the period in which the employee's services are
r8c8ived.
Teiminalion t￿nefitS are recognised immediately as an expense when the Cha￿tY is d8monslrably committed to
terminate the employment of8n employee or to provid8 t81mination benefits.
DONATIONS AND LEGACIES
2025
Total
funds
2024
Total
ftjnds
Unrgslrided
funds
Reslricled
funds
Donations
13,734
13,n4
35,402
INVESTMENT INCOME
2025
Total
funds
2024
Tot81
funds
un￿triCted
funiJ5
Restricted
fthils
Deposrt account inleresl
11,335
11,335
16.047
INCOME FROM CHARITABLE ACTIVITIES
2026
2024
Activity
Social change piograms forvulnerable
young people
Social chang8 programs for vulnerable
young people
Soaal change progiams for vulneiabl&
youn9 P80ple
Consultancy
8.79$
5.(M)O
T￿jr$
13,556
Grants
so,000
122,216
72,361
127,216
Grants r￿1V￿￿, included in the above, are as follows..
2025
2024
Marr-munning Trust
Unrestricted funds
50,0(X)
72,216
50,000
50,000
122,216
RAISING DONATIONS AND LEGACIES
2025
Total
funds
2024
Total
funds
Unrestricted
funds
Restricted
lunds
Staff costs
Trustees. expenses
S8eking donations. grants and legacies
Staging fundraising events
Travel and subsist8n
Advertising
Other fundraising costs
15,448
15,448
14,860
418
562
507
9.319
47
637
446
817
4,25S
93
1.387
446
817
4.255
93
1,387
Carried fO￿ard
22,446
22,446
26,350
Page 12
ontinued...

KIC
4 LIFE
NOTES TO THE FINANCIAL STAT_EMENTS- contlnued
FOR THE YEAR ENDED 31 DECEMBER 2025
RAISING DONATIONS ANO LEGA¢IES- contlnued
2025
Total
funds
2024
Total
ftjnds
Unreslri¢led
funds
Reslrided
funds
Brought forward
Dep￿￿2￿.0￿
22,446
573
22,446
573
26.350
240
23,019
23,019
26,59)
GHARITABLE ACTIVITIES COSTS
Support
costs1se6
note 71
Direct
Costs
Totals
Soual change programs forvuknerab
young peopl8
69,735
27,101
96,836
SUPPORT COSTS
Governan(
costs
Managemenl
Tota
Soci81 change pr￿[am$ lor vulnerable
young people
17,417
9,684
27,101
2025
2024
Independ8nt examinerts fees
Payroll fees
other lees
2,600
590
2,63D
2.520
570
2,580
6,820
5,670
Support cosis, included in the abov6, are as follows..
Management
2025
Social
change
programs
lor
vuln8rabie
young
people
2024
Tota
W8g8s
Social security
Pensions
other office costs
Travel and subsistence
Insurance
Tel8communic81ions and webslte
P05t2ge and st8tionery
Bank ch3rges
Medical costs
7,109
51
569
776
4,209
1.430
1,484
1,379
75
336
9,436
81
755
561
1,134
1,392
6,060
220
257
205
17,417
20.101
Pagè 13
continued...

K4LIFE
NOTES TO THE FINANCIAL STATEMENTS - ¢oJ)tlnued
FOR THE YEAR ENDED 31 DECEMBER 2025
SUPPORT COSTS - Contlnued
Goveman¢e costs
2025
Social
¢hange
progratns
lor
vulnerable
young
people
2024
Total
activities
Wages
Sttial security
Pensions
Independent eXarnine￿S fee & ac￿UntancY
SUPPOrt
3.55S
25
284
3,370
29
270
5,820
5,670
9,684
9.339
TRUSTEES, REMUNERATION AND BENEFITS
Tlkre were no Iruslee5' remuneration or other benefits for the year ended 31 De￿Mb￿r 2025 nor foi the year
ended 31 December 2024.
Tiust888' expenses
202S
2024
Trustees, expen588
418
Travel wsls and disbursements atnounb'ry lo £NIL12024- £4181 were reimbursed to O Irust8e12024- 11
STAFF COSTS
2025
2024
Wages and salaries
Sociql Security ¢osts
Other pènsion costs
71,092
507
9,542
67.402
576
9,247
81,141
77,225
The avergge monthly number of empbye8s during thè yearvas as follows..
2025
Fundraising, management and support
2024
Th9 number of employees wPK>¥e em￿0yeS benefits lexduding employer penslon costs) exceeded £60,￿0
W8S'.
2025
£60.(KM)- £70,000
£70,000- £80,(X
2024
Pension costs are allocat8d bettveen r8i5ing lund5. chsritable expenses Irestricled and Un￿stricted) and support
costs based on the proportion of tth8 spent on those activities.
Page 14
contlnued...

4 LIFE
NOTES TO THE FINANCIAL STA_TEMENTS. continued
FOR THE YEAR ENDED 31 DEGEMBER 2025
10.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Uniestricted
fund
Resiricted
funds
Total
ftjnds
INCOME AND ENDOWMENTS FROM
Donations and legacies
35,402
35.402
Charitable actlvitlOS
So¢ial change programs for VUl￿rable young
F￿0￿e
77,216
50,QKK)
127,216
Inv851tnenl income
16,047
16,047
Total
128,665
50.000
178,665
EXPENDITURE ON
Ralslng funds
Raising donations and lega¢i8S
26,590
26,5
26,590
26,590
Charitable a¢tlv5tles
Social change programs forvuknerable youThJ
people
59,708
185.471
245,179
Total
86.298
185.471
271,769
Net gains on invèstments
2.445
2,445
NET INCOMEIIEXPENDITUREI
44,812
1135.4711
190,6591
RECONCILIATION OF FUNDS
Total funds brought forward
399,085
191.819
s￿.904
TOTAL FUNDS CARRIED FORWARD
443.897
56,348
500,245
11.
TANGIBLE FIXED ASSETS
Plant and
machinery
Computer
eouiprnont
Totals
COST
At 1 January 2025
Additions
1,111
1,098
1,000
2,209
1.000
At 31 Oecember 2025
1,111
2,098
3,209
DEPRECIATION
At 1 January 2025
Charge lor year
1.111
859
572
1,970
572
At 31 D0￿mber 2025
1,111
1,431
2,542
NET BOOK VALUE
At 31 Delxmber 2025
667
667
At 31 De￿Mb￿r 2024
239
239
Pag615
continued...

KICK4L
NOTES TO THE
INANCIAL STATEMENfs_- conJlD.ued
FOR THE YEAR ENDED 31 DECEMBER 2025
DEBTORS- AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Other debtors
p￿PayMents
4,328
3,941
753
3,812
8,289
4.565
13.
CURRENT ASSET INVESTMENTS
2025
2024
Charity investm8nt fund
46.8OG
58,071
14.
CREDITORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Taxation and sooal ￿CUritY
Other creditor5
8SO
5,820
1,038
5.618
6,670
6,656
15.
Ib70VEMENT IN FUNDS
Net
movement
in funds
At
31.12.25
At 1.1.25
Unre5trTCted funds
General fund
443,897
22,64B
466,545
Restrfcted funds
Deni8e Coales Foundats"on
56,348
156,3481
TOTAL FUNDS
500.245
133,7001
466.545
Nel movèment in funds, itlcluded in the above are as follows..
Incoming
re￿urceS
Resources
expended
Gains and
losses
Movement
in fund5
Unrestrlct8d funds
Gene181 fur
97,420
163,5071
111,2651
22,648
Restrictgd fund¥
Denise Coates Foundation
156,3481
156,3481
TOTAL FUNDS
97,420
1119,8551
111,2651
133.7001
Page 16
continued...

NCK 4 LIFE
NOTES TO THE FINANCIAL STATEMENTS . continued
FOR THE YEAR ENDED 31 DECEMBER 2025
15.
MOVEMENT IN FUNDS- contlnued
Comparatives for movement In fund$
Net
movement
In funds
At
31.12.24
At1.1.24
Unre8tricted funds
General fund
399,085
44.812
443,897
Restricted funds
Denise Coate5 Foundati
Forest St8wgidship Council
128,930
62,869
172,5821
162,8891
56.348
191,819
1135,4711
56,348
TOTALFUNDS
590,904
I￿,659)
5LM).245
Comparativ8 net movement in fut¥J5, included in the above are as fo11ows'.
Incoming
R850ur¢es
resoUr￿S
expended
Gains and
10586S
Movement
in funds
Unr8Strl¢tsd funds
General fund
126,665
186,2981
2,445
44.612
Restricted funds
Denise Coates Foundatlon
Forest stewardship Counul
Marr-MunnI￿ Trust
172.5821
162,8891
150,0001
172,5821
162,8891
50.000
50,000
1185,4711
1135.4711
TOTAL FUNDS
176,665
1271,7891
2,445
190,6591
A ￿rr8nt yesr 12 months and prior year 12 months combined position is as follows:
Net
rnovemenl
in furK15
At
31.12.25
At1.1.24
Unrestrlcted fund8
General futKI
399,085
67,460
466,545
Restrlct8d funds
Denise Coates Foundation
Forest Stewardship Council
128,930
62,889
1128,9301
162,8891
191.819
1191.81gi
TOTAL FUNDS
590,904
1124,3591
466.545
P8ga 17
continued...

KICK 4 LIFE
OTES TO THE FINANCIAL STATEMENTS . eontlnued
F.OR THE YEAR ENDED 31 DECEMBER 2025
16.
MOVEMENT IN FUNOS- conlinued
A current year 12 months and wor year 12 months ¢ombined n8l rnovemènt in ftjnds, included in Ihe above 8
as follows.
Inc(Nring
resources
Resour￿$
expended
Gains and
losses
Movement
in funds
Llnre5tricted funds
General fijnd
226,085
1149,8051
18,8201
67,460
Restrlcted funds
Denise Coales Foundation
Fore51 Stewardship Council
Mgrr-munning Trust
1128.9301
162,8891
150.0001
1128,9301
162,8891
50,OU)
50.000
1241,8191
1191,8191
TOTAL FUNDS
276,085
1391,6241
18,8201
1124,3591
16.
RELATED PARTY DISCLOSURES
uriry the year the charity enter8d into the following transac￿On5 wth related paFties.'
Kick 4 Life Trust
Thts charity has a close working relstionship with 4 Life Trust which is 8 charity ba58d in Lesotho. Under an
sgreemenl with the Iwo enlilies Kick 4 Life is obliged to provide support lo ￿'¢k 4 Life Trust in the development ol
strategie$, projècts, taigets budgets. lo Mise funds and raise the International profile of Kick 4 Life Trust and
the awareness of the HIVIAIDS crisis in Lesotho. to as51St with monitoring and evaluats"on, to provide
technical support. Under the agr8ernent Kick 4 Life Trust is oNiged lo work dosely with Kick 4 Life on strategies,
projects, targets and budget5. to assist with fundraising applications, lo use funds raised by Kick 4 Life as
agreed. and to proMrJe financial and opeialion81 reports.
In 2025 grant funding of £4.706 was tr8nsferred lo Kick 4 Lif8 Trust12024". £125,235)
Kick 4 Life USA
During the year the ¢hsrity has worked ck)sely with Kid( 4 Life USA a sister charity registered in USA which apso
supports the woik ol Kick 4 Lif8 Tiusl in Lesotho.
Mr P Flemin
Mr P Fleming is the joint CEO ol the charity.
charity pald p8llsK>n contributlon5 of £3.855 for Mr P FI￿ing(2024.. £3,855).
Mr S Flemin
Mr S Fleming is the joint CEO of the charity and a Trustee ol Kick 4 Life Trust.
Durfng the year the charity paid a salary of £71,092, pen5ion5 £5,687 and rn8di(xl costs of £335 to Mr S F18ming
12024.. Salary £67,402. pension £5,392, tnedical wsts £2051.
During the year the Charty paid £Nil12024.'£NILI for Ihe purchase of th9 book Radical Football written by Mr S
Flemiry lor both onward sale snd free of charge promotional dislribuh"on.
During the year the charity ieimbursed Mr S Fleming £23.797 for 8xpendItU￿ Incurred on behalf of the ¢hanty
12024.. £45.2371 The balance owing by Mr S Fleming 8t year end was £3.70112024. £2 owing lo S F￿MIng).
Donations
Llonalions re￿1Ve￿ fram Iruslees and related p8rties without conditions amounted lo £5W.
Page 18
(x>nlinued..

KICK 4 LIFE
NOTES TO THE FINANCIAL STATEMENTS. conlinued
FOR THE YEAR ENtiÉD 31 DECEMBER 2025
17.
RESTRICTED FUNDS
Denise Coates Foundation
Restricted giant fundirig received to bp Expensed on developing the Stadium of Life projeel In Le50tho wilh
built-in health facilities, inlegialed nalure, a cuttural hub and dedKaled spaces for Sport foi Development
Marr-munnin
Trust
Funds expended on and restncied lo supporting the work of lthck 4 Life Trust in Lesotho.
Forest Stew8rdshi
Council
Funds expended on the sponsorship of the stadium of Life for the purposes ol ￿nstructIon and d&v81opm&nt ol
the stadium.
Page 19

KICK4L
DETAILED STA TEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 DECEMBER 2025
2025
2024
INCOME AND ENDOWMENTS
Donallons and legacies
Donations
13,734
35,402
Investment Income
Deposit account inlerest
11.336
18,047
Charftsble actlvltles
Consultancy
Tours
Grants
8,795
13,556
50,000
5,0
122.216
72.351
127,216
Total Incomlng resotsrces
97,420
178,665
EXPENDITURE
Raising donatlons and legacies
Trusteès, expenses
Wages
Social seeurity
Pensions
Seeking donations, grants and legaaes
Staging ￿ndraising events
Travel arKI subsisten
Advertising
Other fundraising costs
Dep￿￿ation of tangible fixed assets
418
10,110
86
10.664
76
4,708
562
507
9.319
47
637
240
817
4,255
93
1,387
573
23,019
26,590
Charitable actlvltles
Wages
Social security
Pensions
Travel 5ubsist8n
Other chaiilable costs
Funding to Kid( 4 Life Trust
Fees for ¢haritable &clivits"6s
49,764
365
3,981
9,255
21)9
4,706
1,465
44,485
380
3,559
29,714
786
125,235
11.580
69,735
215,739
Support cost$
Management
Wages
Social s8curity
Pensions
Olhgr Offi￿ costs
Travel and sub5i51ell
Insuran
Tel8communlcalions website
Carried lOn￿ard
7,109
51
569
776
4,209
1,430
1,484
16,628
9,436
81
755
561
1.134
1,392
6,060
19,419
This page does not fottn psrt of the statutory financlal statements
P2ge 20

KICK 4 LIFE
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENtiED 31 DECEMBER 2025
2025
2024
Management
Bioughl fonvard
Postage ar￿ stationery
Bank charges
Medical costs
15.628
1.379
75
335
19,419
220
257
205
17,417
20,101
Governance Costs
Wages
Soaal security
Pènsions
Independent examiwrfs fee & accountancy
SUPPOrt
3,555
25
2B4
3,370
29
270
5,820
5,670
9,684
9,339
Total re50urtr5 expended
119,855
271.769
Net eypenditure before gain$ and losses
122,4351
193,1041
Realised recognlsed galns and losses
Realised g31nslllosse51 on fixed asset
investments
111.2651
2,445
Net expenditure
133,7001
190,6591
Thi5 Page do85 not form part of the statutory financi81 statements
Page 21