CACH-ALL Registered Charity No.. 1335276
CACH-ALL
Financial Statement
For the Year Ended 31 December 2024

CACH-ALL Registered Charity No: 1335276
Charit Information Pa
TRUSTEES
Deanna Benedict
Helen Rudolf
Malcolm Dixon
Sarah Laws
Clare Stephens
REGISTERED ADDRESS
12 Yerbury Road
London
N19 4RL
CHARITY NUMBER
1135276
INDEPENDENT ACCOUNTANT
JM Accountants
137 Cherry Crescent
Rossendale
BB4 6DS
BANKERS
Lloyds Bank
25 Gresham Street
London
EC2V 7HN
GOVERNING INSTRUMENT
Trust deed dated 11 May 2017

CACH-ALL Registered Charity No: 1335276
Trustees Re
ort
The Trustees submit their report and unaudited financial statements for the year ended 31
December 2024. The financial statements have been prepared in accordance with the
accounting policies set out in note 1 to the accounts and comply with the Charity's trust
deed, the Gharilies Act 2011 and "Accounting and Reporting by Charities.. Statement of
Recommended Practice" applicable to charities preparing their accounts in accordance with
the Financial Reporting Standards applicable in the UK and the Republic of Ireland {FRS
102).
Legal and administrative information set out on page 2 forms part of this report.
Trustees
The trustees are responsible for the general conlrol and management of CACH-ALL as part
of the Charity's Committee. They are named as follows:
Deanna Benedict
Co-chair
Helen Rudolf
Steven Lane
Sarah Laws
Co-chair
Treasurer
Treasurer
Secretary
Secretary
Membership Secretary
Resigned 13 Jan 2024
Appointed 23 June 2024
Resigned 18 Mar 2024
Appointed 18 March 2024
Imogen Smith
Clare Stephens
Malcolm Dixon
Trustees. Res
onsibilities
The Trustees are responsible for preparing the Trustees Annual Report and the financial
staternents in accordance with applicable law and United Kingdom Accounting Standards
(United Kingdom Generally Accepted Accounting Practice).
The law requires the Trustees to prepare financial statemenls for each financial year which
give a true and fair view of the state of affairs of the charity and of the incoming resources and
application of resources, inclLJding the income and expenditure, of the charity for that year. In
preparing those financial statements, the Trustees are required to:
Select suitable accounting policies and then apply them consistently.
Observe the methods and principles of the Charitable SORP.
Make judgements and estimates Ihat are reasonable and prudent.
State whether applicable accounting standards have been followed, subject to any
material departures disclosed and explained in the financial statements.
Prepare the financial statements on a going concern basis unless it is inappropriate to
presume that the charitable association will continue in business.
The Trustees are responsible lor keeping proper accounting records that disclose with
reasonable accuracy at any time the financial position of Ihe charity.
This report has been prepared in accordance wtth the Slatemenl of Recommended Practice:
Accounting and Reporting by Charities (issued in January 2015) and in accordance with the
special provisions applicable to small companies.

CACH-ALL Registered Charity No: 1335276
Trustee Recruitment & Trainin
The Trustees may appoint any person who is willing to act as a Trustee. Each Trustee shall
retire with effect from the conclusion of the AGM next after his or her appointment but shall be
eligible for re-election at that AGM. The Trust Deed provides for foLJr Trustees. All Trustees
are skilled to carry out their responsibilities, however. if any further training is identified it will
be provided.
Princi
al Activities and Ob"ects of the Chari
To support and relieve the needs of families who have or are intending to adopt a child
transnationally andlor transracially.
To advance the education of the public in short and long term issues related to transnational
and transracial adoptions.
To advance the education of transnationally andlor transracially adopted children and their
families in the interests of social welfare and for recreation and leisure time occupation with
the object of improving their conditions of life.
Achievements and Performance
The joint Chairs are pleased lo report that CACH-ALL has had good year supporting its
members with face to face meetings and gatherings. CACH-ALL was able to deliver a well-
attended Reunion, a popular CACH-ALL Festival atlended by 96 of our members and approve
4 Cach All Awards to qualifying adoptees {2023 - 5 awards)-
The Committee notes that membership numbers have continued to fall during the year and as
of March 2024 we had 379 member families down from just under 400.
Cach All Awards
The Trustees approved 5 applications ranging from a homeland trip to China to a group trip of
3 adoptees to Venice. The fifth application for a cultural and educational trip to Thailand and
Taiwan has yet to be paid out. Applicants for CACH-ALL Award grants are subject to a lifetime
limit of £500 and applications for approval of an award must take place before the activity is
undertaken (although the claim may be completed after the activity in agreed circumstances).
Applicants must have been CACH-All members for at least two years before submitting an
application.
Income received into the fund is made up as follows:
2024
2023
Gift Aid
Raffle proceeds - reunion
Raffle proceeds - festival
2,260
1,145
223
405
194
Total
599
3.628

CACH-ALL Registered Charity No: 1335276
The balance of the Cach All Award funds at the end of the year stands at £11,272 {2023:
£11,865) and includes all donations that have been made specifically for this fund. The
trustees decided to allocate this year's gift aid to the unrestricted funds.
General Fund and Reserves Polic
The Trustees deem it prudent to maintain a minimum reserve balance of £10,000 in the
general fund and confirm that this goal has been achieved throughout 2024. Activities for the
year have resulted in an unrestricted surplus of £3,817 {2023- deficit £18,891 }. Accordingly,
unrestricted reseNes stood at £40.002 at year end {2023: £36,185).
Income and expenditure are detailed on page 10 onwards, but the surnmary below provides
an overview of how members, subscriptions have been used:
2024
2023
Membership income
Donations & fundraising (inc gift aid)
Interest
13,000
3,067
371
13,780
457
322
Magazine
Reunion net cost
Festival net cost
{1,112)
{23.930)
{5.993)
(200)
(510)
(o)
(1,705)
{18,891)
(5,369)
(4,770)
(235}
(314)
(o)
(1,931)
3,817
Other events
Committee expenses
Other costs
Administration - Accounting. IT, bank charges
Net Income
Reunion
We had 217 attendees (2023: 237) including 47 adoptees (2023: 61) aged under 18 and 40
adoptees (2023: 36) age over 18. It was held at the same venue - Mercure Hotel in Daventry.
The decision was made for the 2024 reunion to not have exclusive use of the hotel. This
decision was made for Iwo main reasons:
a large cost to the 2023 Reunion budget was to cover empty rooms as we do not have
as many members attending
2. the membership demographic of adoptees is now older.
Without exclusive use of the Mercure Hotel in Daventry we still had a range of activities
including workshops for adoptees and parents. We also had a range of speakers including a
Q&A with an adoptees panel. The stalls in the foyer were a highlight including CACH ALL
members, crafts and various fundraising activities for CACH ALL. Our dinner entertainment
included dancing and the ever-popular photo boolh.
Below outlines the comparison of the 2023 and 2024 Reunion budget:

CACH-ALL Registered Charity No: 1335276
Summa
Income
Expenditure
Net Cost
2023
Summa
Income
Expenditure
Nel Cost
2024
3.435
(27,365)
(23,930)
5,996
(11.365)
(5.369)
Thanks to Jen and Denise Huxtable our reunion co-ordinators for doing a lantastic job on
another successful reunion.
Festival
There were 96 attendees at the Umberslade Summer Festival this year. The adults enjoyed
the opportunity to catch up with other families and watch our young people enjoy themselves.
Particular highlights were the cookout, enhanced bushcraft and French ceilidh. Mindful of
both cost and of the older demographic of our members we did not have a bouncy castle this
year, but an excellent time was had by all attendees.
Thanks to Tony and his team for all their hard work resulting in another fantaslic summer
festival.
Bewl Water
4-day gathering. 13 young people.
1 day was a day commissioned, which cost £492, with Education People. a separate company
operating from Bewl Water - that day: team building in the woods. climbing. stand-up paddle
boarding {might have been other activities on that day too).
Across the other 3 days: canoeing, water park {giant inflatables on the lake), laser tag in the
woods, cycling.
Income received was from Black Dragons and the costs subsidised by CACH-ALL and the
parents pf attendees.
Summa
Income
Expenditure
Net Cost
2023
Summa
Income
Expenditure
Net Cost
2024
257
{457)
(200)
233
{468)
1235)
Ado
tee Events
Young adult adoptees met up on several occasions in a number of locations during the course
of 2024 and an account of these will be provided verbally at the AGM.
Ma
azine
The 2024 magazines, published twice yearly in June and December. Although in the last few
years a paper copy of the December magazine was sent out to maintain interest of all
members and promote the forthcoming Reunion, both magazines are now issued digitally,
primarily due to increasing postal costs.
The December magazine highlighted the many wonderful activities and events over the year,
particularly the CACH-ALL Reunion and the Festival. bLJi also the trips undertaken via the
CACH-ALL Award scheme and the many outings organised by adult adoptees and for younger

CACH-ALL Registered Charity No: 1335276
adoptees. The December 2024 magazine also highlighted the mum's October weekend away.
this time to Penrith, Cumbria. This provided lots of fun but also much needed support as we
all navigate the challenging path of parenthood.
Continued thanks to Caroline who has taken on this role with inspiration and enthusiasm. In
addition, regular e-newsletters are distributed to members to keep the, up to dale with hat is
happening in CACH-ALL.
Public Benefit
In planning our activities for the year, we kept in mind Ihe Charity Commission's guidance on
public benefit at our Truslees, meeting and will continue to do this in future meetings. We
continue to offer advice and sign posting to members o* the UK public who may be exploring
the idea of intercountry adoption.
Looking fotward to 2024 we are planning the return ol the Reunion al its usual venue at
Daventry along with the popular Festival in Tamworth-in Arden. We will continue to look for
ways to benefit the children and young adults of the CACH-ALL community and, on an ad hoc
basis, support other charities that work with children adopted from overseas and those
supporting new adoptions.
Financial Review
We saw a decrease {6 /.) in membership subscriptions income this year {2023: 9°/.) which
reflects an ongoing trend of families leaving the organisation as their families grow up. The
year ended on a nei core surplus of £3,817 compared to deficit in 2023: £18,891. As a
consequence, general reserves remained healthy and grew from £36,185 to £40,002.
Other Events and Activities
Regional events can be organised by any member and funding applied for direct to the
committee.
The Young Adult reps continued a series of regional meet ups for adoptees and sometimes
families.
Risk Mana
emenl
The Trustees have assessed the major risks to which the charity is exposed and are satisfied
that systems are in place to mitigate exposure to the risks.
Reviewing the known risk factors these continue to be listed as follows:
Failure to recruit and embed new officers onto the CACH-All Committee.
Failure to adapt the organisation to deliver the programmes and activities to retain
membership.
Insuff icienl numbers attending Ihe reunion and picnic causing income loss and addition
costs.
The Committee continues to bear these risk factors in mind at every committee meeting.

CACH-ALL Registered Charity No- 1335276
Goin
Concern
A charity's ability to continue operations is generally based on the financial stability of an
organisation of which there is no issue with CAGH-ALL.
It should be noted, however, thai with an outflux of trustees and committee members at the
March 2025 AGM, the continuation of the charity will require members stepping forward to
take on at least 3 of the 4 trustee positions.
Deanna Benedict, Co-chair
Helen Rudolf, Co-chair

CACH-ALL Registered Charity No: 1335276
INDEPENDENT ACCOUNTANT'S REPORT TO THE TRUSTEES OF CACH-ALL
I report to the Trustees on my examination of the accounts of CACH-ALL ("the charity"} for the
year ended 31 December 2024.
Responsibilities and basis of report
As the Trustees of the charity, you are responsible for the preparation of the accounls in
accordance with the requirements of the Charities Acl 2011 {Ihe 2011 Act").
I report in respect of my examination of the charity's accounts carried out under section 145
of the 2011 Act and in carrying out my examination I have followed all the applicable directions
given by the Charity Commission under section 145(5){b) of the 2011 Act.
An independent examination does nol involve gathering all the evidence that would be
required in an audit and consequently does not cover all the matters that an auditor considers
in giving their opinion on the accounts. The planning and conduct of an audit goes beyond the
limited assurances that an independent examination can provide. Consequently, l express no
opinion as to whether the accounts present a 'lrue and fair view" and my report is limited to
those specific matters set out in the independent examiner's statement.
Independent examiner's statement
I have completed my examination. I confirm that no material matters have come to my
attention in connection with the examination giving me reasonable cause to believe that in any
material respect:
accounting records were not kept in respect of the charity as required by section 130
of the 2011 Act- or
2. the accounts do not accord with those records: or
3. the accounts do not comply with the applicable requirements concerning the form and
content of the accounts set out in the Charities (AccoLJnts and Reporting) Regulations
2008 other than any requirement that the accounts give a "true and fair view" which is
not a matter considered as part of an independent examination.
I have no concerns and have come across no other matters in connection with the examination
lo which attention should be drawn in this report in order to enable a proper understanding of
the accounts to be reached.
Josie Malloy Bsc FCA
for and on behalf of JM Accounting
137 Cherry Crescent
Rossendale
Lancs
BB4 6DS

CACH-ALL Registered Charity No: 1335276
Statement of Financial Activities
For the Year to 31st December 2024
Notes Unrestricted Designated
Funds
Funds
Total
2024
Unrestricted Designated
Funds
Funds
Total
2023
Incoming resources
Income & endowments
from:
Donations & Legacies
Charitable activities
3.067
21.326
371
3.067
21,925
371
458
3.628
4,086
19.029
322
599
19,029
322
Investments
Total
24.764
599
25,363
19.809
3.628
23,437
Resources expended
Expenditure on:
Charitable Activities
20.947
1.192
22,139
38,71)0
1,704
40,404
Net Income (expenditure)
3,817
(593)
3,224
(18,8911
1,924 116,967)
Transfers between funds
Net movement in funds
3,817
1593)
3,224
118,891)
1,924 116.9671
Reconciliation of funds
Total funds brought
forward
12
36.185
11,865
48,050
55.076
9,941
65,017
Total funds carried forward
12
40,002
11.272
51,274
36,185
11,865
48.050
The slatement of financial activities has been prepared on the basis thal all operations are continuing
operalions.
10 | Page

CACH-ALL Registered Charity No: 1335276
Balance Sheet
As at 31st December 2024
Notes Unrestricted Designated
Funds
Funds
Tota5
2024
Unrestricted Designated
Funds
Funds
Total
2023
Current A55Èts
Debtors
Cash at bank
2.180
38,918
41.097
2.180
50,189
52,369
952
38,128
39,080
4,500
7,366
11,865
5.452
45,493
50,946
11.272
11,272
Total current assets
Creditors- due in less
than one year
io
1.095
1,095
2,896
2,896
Total Net Assets
37.555
13.720
51,274
36.184
11,865
48,050
Funds of the Charity
Unrestricted f unds
12
40.002
40.002
11.272
36,185
36,185
11.865
Designated funds
12
11.272
11,865
Total Funds
40,002
11,272
51,274
36,185
11,865
48.050
The Trustees declare that they have approved the Trustees, report above.
Signed for and on behalf of the Trustees
Deanna Benedict, Co-chair
Helen Rudolf. Co-chair
11 I Page

CACH-ALL Registered Charity No: 1335276
Notes to the Accounts
1 Accounting Policies
Basis of acGountin
The financial statements have been prepared under the historical cost convention with stems recognised
as cost or transaclion value unless otherwise slated in the relevant notes to these accounts.
The financial stalements have been prepared in accordance with Ihe Statemenl of Recommended
Practice,. Accounting and Reporting by Charities preparing Iheir accounls in accordance with the
Financial Reporting Standard applicable in the UK and Republic of Ireland {FRS 1021 effective 1
January 2015 and the Charities Act 2011.
The financial statements are prepared in sterling, which is the functional currency of the trust. Monetary
amounts in these statements are rounded to the nearest £.
The trust constitules a public benefil entity as defined by FRS 102 and has taken advantage of the
provisions of Ihe SORP for Charilies applying FRS 102 Uptake Bulletin 1 nol to prepare a Slatemenl ol
Cash Flows.
Goin
Concern
There are no material events or condilions that cast any doubt on the charity's ability to continue as a
going concern.
Income
Incoming resources are included in the Statemenl of Financial Activities (SOFA) when the charity
becomes entitled lo the resources, the truslees have sufficient cer1ainty that they will receive the
resources and the monetary value can be measured with suflicient reliability.
enditure reGO
nilion
Liabilities are recognised as expendilure as soon as there is a legal or constructive obligation
committing the charity to that expenditure, it is probable Ihal settlement will be required, and the amount
of the obligation can be reliably measured. All expenditure is accounted for on an accruals basis.
Taxation
As a registered charity Ihe Trust is generally exempt from liability to laxalion and no provision for
taxation is therefore required.
Donations
Donations are recognised in the SOFA when the general income definilion criteria are met.
Tax reclaims on donations
Incoming resources from lax reclaims are included in the SOFA within the same financial year as the
donalions to which they relale.
Investment Income
This is included in Ihe SOFA when received.
121 Page

CACH-ALL Reglstered Charity No: 1335276
Notes to the Accounts (Continued)
Fund Accountin
The unrestricted funds comprise those funds that the Truslees are free to use in accordance with the
charitable objectives. The designated tunds relate to the Cach Back Fund (see note 13)-
Financial Instruments
The Trust only has financial assets and financial liabilities ol a kind that qualify as basic financial
instruments. Basic financial instmments are initially recognised al transaction value and subsequently
measured at their settlemenl value.
Critical AcGountin
Estimates and Jud
ements
In the application of the charity's accounting policies the Trustees are required to make judgements,
eslimates and assumptions about the carrying amount of any assets and liabilities that are not readily
apparent Irom other sources. Such estimates and associated assumptions are based on historical
experience and other factors that are considered to be relevant. Actual results may difler from these
estimates.
Eslimates and underlying assumpiions are reviewed on an ongoing basis. Any revisions to accounling
estimates are recognised in the period in which the estimates are revised where the revision on affects
that period, or in the period ol the revision as well as in future periods where Ihe revision affects both
current and luture periods.
No critical accounting estimates and judgements have been made in preparing these financial
stalements.
2. Donations and Legacies
Unrestricted
Funds
Designated
Funds
Total
2024
Total
2023
Donations
619
619
1,826
2,260
Gift Aid
2,448
2.448
3.067
3.067
4,086
131 Page

CACH-ALL Registered Charity No: 1335276
Notes to the Accounts (Continued)
3. Charitable Aclivities- Income
Unrestricted
Designated
Funds
Total
Total
Funds
2024
2023
Membership subscriptions
Runion fees
13.000
5.996
2.097
13,000
5,996
2,097
599
13,780
3,435
1,557
Festiva5 fees
Fundraising
Other event income
599
233
233
257
21,326
599
21,925
19,029
4. Income: Investments
Unrestricted
Designated
Funds
Total
Total
Funds
2024
2023
Bank interest received
371
371
322
5. Expenditure: Charitable Activities
Unrestricted
Funds
Designated
Funds
Total
Total
2023
2024
Reunion costs
11,365
6,867
11.365
6,867
468
27,365
7,550
457
Festival costs
Other event costs
468
Maga2ine/newsletter costs
Committee expenses
Cach All Awards
Bank charges
Websiteldigital services
Accountancy & bookkeeping
services
Governance costs (note 6)
1,112
510
314
314
1.192
1,192
687
1.704
662
28
687
300
300
185
945
945
830
20.713
1.192
21,905
40,404
141 Page

CACH-ALL Registered Charity No: 1335276
Notes to the Accounts (Continued)
6. Expenditure: Governance
Unrestricted
Designated
Funds
Total
Total
Funds
2024
2023
Independent Accountant's fees
700
700
700
Governance support
245
245
130
Tolal
945
945
830
7. Slaff Costs
No staff were employed by the Trust during the year {2023.. £Nil)
8. Truslees
No trustees received any remuneralion during the year (2023= £Nil)
1 trustee received expenses for travel costs on behalf of the charity totalling £49 (2023= 3 trustees
£313}
9. Debtors
Prepayments
Total
2024
Total
2023
Prepaid cost: 2025 Reunion
Prepaid cost: 2025 Festival
Accrued income- Gift Aid
Accrued income:2024 Bewl Water
1.663
252
500
195
4.500
257
265
2.180
5,452
10. Credilors due within one year
Accruals & Deferred income
Total
Total
2023
2024
Independent Accountant's fees
Reunion 2025 receipts
Members. reunion savings
Accountancy & bookkeeping fees
Magazine printing
700
1.200
316
395
470
315
595
1,095
2.896

CACH-ALL Registered Charity No: 1335276
Notes to the Accounts (Continued)
11. Financial Instruments
Carrying amount of financial liabilities
Total
Total
2024
2023
Debt instruments measured at amortised cost
1.095
2,968
12. Funds of the Charity
Balance brought
forward
Balance carried
forward
Income Expenditure Transfers
Unrestricted funds
36,185
4,764
599
{20.9461
11.192)
122.138)
40.002
11,272
Designated funds
11.865
48.050
25.363
51,274
13. Funds ol the Charily (Previous Year)
Balance brought
forward
Income Expenditure
Transfers
Balance carried
forward
Unrestricted funds
55.076
9.941
19.809
3.628
138,700)
11.704)
140,404)
36,184
11,865
Designated funds
65,017
23.437
48.050
161 Page

CACH-ALL Registered Charity No". 1335276
Notes to the Accounts (Continued)
14. Analysis ot Net Assets Between Funds
Unrestricted Designated
Funds
Funds
Total
2024
Fund balances as at 31 December 2024
As represented by:
Bank
Debtors
Creditors: amounts falling due within one year
Total Net assets
38,918
2.180
11,095)
40.002
11,272
50.189
2,180
11,0951
51,274
11.272
15. Analysis of Net Assets Between Funds
Unrestricted Designated
Funds
Funds
Total
2023
Fund balance5 as at 31 December 2023
As represented by:
Bank
Debtors
Creditors: amounts falling due within one year
Total Net assets
38.128
952
12,8961
36,184
7.365
4.500
45,493
5,452
12,896)
48,050
11,865
16. Designated Funds
2024
2023
Cach-All Award fund
11,272
11,865
Pur
ose of the Cach All Awards Funds:
Cach All Awards is Ihe name given to the CACH-ALL Charity Award Scheme which has been sel up to
provide grants and bursaries lo individuals or organisations who wish lo undertake activities or projects
which are in line with the aims and objeclives of CACH-ALL. Applicants should normally be resident in
the UK, will be aged belween 16 and 24 and be either a member of CACH-ALL (Family or Young Adull
membership) or an associated organisation to CACH-ALL.
Eligible activities for support could be cultural educalion, programmes involving cullural heritage,
parenting, family welfare. the development of children adopted from overseas. overseas work programs,
language Iraining or other projects such as advancing awareness of, introducing, and running
educational or medical programmes overseas.
17 | Page