Company reBlstratlon number: 06798854
Charlty registratlon number.. 1139077
We Stand with Families Ltd
(forme￿ MOSACI
IA company Ilmlted by guarantee)
Annual Report and Financlal Statement5
lor the Year Ended 33 March 2024
Fleld 5ulllvan Llmlted
9 Hare & Blllet Road
Blackheath
SE3 ORB

We Stand wlth Famllles Ltd
formerly MOSAC
Contents
Reference and Admlnlstratlve Detalls
Tru5teès' Report
2to8
Independent EKaminer's Report
9tolO
statement of Flnancial Actlwties
iito12
Balance Sheet
Notes to the Flnancial St3￿Ments
14to25

We Stand wilh Familles Ltd
formerly MOSAC
Reference and Admlnlstratlve Deta115
Chalr
Madhu Gohll
Trustees
Matthew Bradley
Madhu Gtshll
David Richards
Robert 5arEent
Ayeshi Jade AFves-Hey
Anne-marie Lawrence
5ocretOry
Matthew Bradlev
Charlty Reglstratlon Number
1139077
Company Reg15tratlon Number
06798854
Tht charlty Is incoTporated In England & Wales.
8fv90 Paul Street
London
EC2A 4NE
Reg15tered Offl¢e
Independent Examlner
Fleld Sulllvan Llmlted
9 Hare & Billet Road
81ackheath
SE3 ORB
Soll¢ltoYs',
tatham & Watklns
99 Blshopsgate
London
£C2M 3XF
ankers
UnityTrust Bank
Nlne Brindleyplace
8lrmlngharn
812HB
Page I

We Stand wlth Famllles Ltd
formerly MOSAC
Trustees, Report
The trustees, who are directors for the purpose5 of company lèwi present the annual report together wlth the
flnanclal statements and auditor5, report of the charitable Company for the year ended 31 March 2024. Thlsls
Dlrectorfs Report requlred by $417 of the cownpanles Art 2Ci16. The Flnancial Statements comply wlth the
current statutory requlrements and the requlrements ol the Memorandurn and Articles of A$50¢1atlon.
Truste￿ and oNl￿r9
The tnjstees and offlcer5 servlng durln8 the year and slnce the year end were a5 follows-
Tru5tees'.
Matthew Bradley
Tessa Cole Ireslgned 14 May 20241
Tracey Georglo Ireslgned 14 May 20241
Madhu Gohll
Lauren Mccann Iresl8ned 12 September 20231
David Richards
Robert Sargent
Aye5ha lade Alves-Hey lappolnted 10 September 20241
Anne-marle Lawrence lappointed 6 August 20241
Chalr..
Tessa Cole (resigned 14 May 20241
Madhu Gghll
Secretary..
Matthew Bradley
Summary of the year..
2023- 2024 was the second year of our three-year strate8y* we have seen good progress agalnst our stiategl
Dbleetlve5 thls year.
Our 2022- 2025 Strategy..
Overarchlng stiateglc alm:
Trunsltionfrom u locol orgontsutlon wlth o natlonolhelpllne, to o orgonlsqtlon where 011servlres ore occesslble
forfomllles uu05S the UK
Stroteg1¢ ObJertlve5.'
l. Wlden strvl¢es offer to ensurè more hollstlc support for famlllesltarefs of chlldren who have been
stxualty abused
By 2025, we wlll have designed and launched the following new 5ervlce5:
Parent and Chlld Relatiortral Play
Young People's Counselllng
Page 2

We Stand wlth Famille5 Ltd
formerly MOSAC
Trustees, Report
Famlly Counselllng
Le8al servi¢es department
2. Expand natlonal online servlces to Incre8se the scale and accesslblllty of our seNIcès
By 2025 we will have developed a hybrld model of delivery of 311 our servS¢es that has supported 5000 famllle5
3. Launch face-to.fa¢e setvlces In partner5hlp wlth local partners In two new Feglons In the UK
We will havt dÈ5igned, funded and launched the follo￿ng serv1￿5 Iv the North West Engla￿d and South
Wales..
Parentlcarer CounsellinE
Play Therapy
Paront Training
YouRg People's Counselling
4, Develop a sulte ottralnlhg resources and programs foi piofesslona15 In key servlces
By 2025 we wlll have reached 1500 professlonals through our onlinÈ and face-to-face training program and
resource5
Summary
After 3 challenglng start to the year, following a significant reduction in funding during 2022-2023, The tlreless
effort5 01 dedlc3tpd staff, board, and volunteers ensured we not only maintainÉd the highest qualEty servlces
for our exlstlng cllents but also Sdentlfled 3rTrd responded to emerBing needs. Th$5 year. we focused on
developlng Inntsvative new Se￿4¢e5 to support fimllies Impacted by child sexual abuse, reinforcing our mSsslon
to stand 81ongslde those who need us most.
We would like to take this Opportunity to empress our heèrtfelt gratltude to our pas5ignJte, resS1ient, and
dedicated team. Each staff member, board member, and volunteer brought thelr expertlse and comp3ssion to
every challenge, and their collective Effort5 have been the backbone of our progresg. We also extend our
deepest thanks to our stakeholders, funders, and partners, whose generous contrlbutlons ol time, resources,
and expertise have been instrurnental In helpln8 Us achleve our Eools.
Desplte the difflcultles, 2023 has been a pivotal year In our journey. We made signlficant str5des toward our
2023-2025 strategy, wlth several key mllestones worth celebrating. Among our m05t not2ble achlEvements
wa5 the expanslon of our chlldren and young people's servlces In London. We proudly launched our pro-borno
legal servlce5, offerlng critlcal sUPPOrt to famllles navlgatlng complex legal challenges, Additlonally, our new
SErvlces In Wales marked an lrnportant Step In extendSng our reach, ensurlng that even more cornmunSties
benefit from the resources and care they deserve.
Our SeYvl¢es In 2023. 2024
Child sexual abuse 15 a deeply perva51ve and systÈmlc trauma that profoundly impacts the entire lamlly unlt.
For chlld victlms, the consequences can be devastatlng, wlth an Increased 11kelihood ol experlencing further
abuse and endurlng life-llmitlng challenges, such 85 tnental health 155ues, difficultles Education and
relatlonship5, and diminlshed future opportuniries.
Page 3

We Stand wlth Famllles Ltd
formerly MOSAC
Trustees, Report
Slmultaneousty, famllles often face overwhelmln£ emotlonal and practlcal challenEe5, le￿ng them
ill-equipped to navlgate the collective trauma. WTrthout tlmely and appropriate support, famllle5 may struggle
to create the stabilityi safety, and care that a chlld victlm urgently needs to beKln the healing process.
The scale of th15 Issue Is staggèrlng. It Is estlmated that one In 20 chlldren In the UK has been sexually abused
INSPCC, 20211, and the reported cases of chlld 5Èxual abuse have rlsen sharply in recent years. Be￿een 2014
and 2019, there was a 57% Intrease in offences reported, and In 2021122 alone, the identlflcatlon of chlld
sexual ab¢Jse by polite and chlldren's 5ervlces Increased by 15%. Referrals to Sexual Assault Refèrral Centres
ISARCSI have also risen slgnillcarntly, reflecting the grow5ng demand for speclallst support. Yet, desplte thls
increased reporting, the criminal justlte system has faltered pr05ecutlons have dropped by nearly half In just
four years IN5PCC, 20221, and cases are taking longer to resolve. TTaglcally. many thlldren Impacted by sexual
abuse remain Invlslble, wlth an estlmated gap between the number of abused chlldren and those identlfied by
sèN1tes ICECSI 20231.
In the face of these challenge5, We Stand occuples a unlque and vltal role. We are the only natlonal charfty
dedlcated to supportlng non-abuslng parents and tarers In thelr mlsslon to protèct and nurture thelr sexually
abused children. Every dèy. we recelve calls from parent5 and tarer5 who are grappling wlth the Immedlate
aftermath of discoverlng thelr chlld hzs been abused. In these moments of trtsls, we provlde a Ilfellne.
Whilé many or8an12atlons focus 501ely on the chlld, our hollstlc Tnodel empowers the entire non-abuslng frdmlly
to heal and move forward together.
We Stsnd serves as a'one-stop, resource, offerSng comprehensSve Informatlon. practrcal guldance, therapeutlc
support, and tallored tralnlng to address the multlfacèted needs of famllles. Our approach acknowled8es the
tssentlal role of non-abu51ng parents and tarers In fosterlng Teslllence, rebu11dln8 trust. and creatln8 a safe
environment where chlldren can beEln to recover. By focuslng on the whole famlly, we alm to break tho rycle
of trauma, ensuring that no tsne faces thls journey alone
Our SeNl¢es;
Helpline
Avallable natSonwide, a safe, non-lsjdgmental space; a Ilstenlng ear and Snvaluable support
for often in tlmes of crlsls.
Creatlve therapy
Chlld vlctlms and thelr slbllngs are supported tts make sense of traumatlc and ￿nfUsIng
experlences In a safe supportlvè envlronment.
Protective parents and carers are supported to rebulld theST confidence, allevlate
15olatlon, and £aln ski115 to safeguafd thelr chlldren golng forward.
Non-abuslnE parents and carers Can attend one-to.one and group sesslons Intl¢Jdlng
'Therapeutlc Parentlns,, and'HaMn8 Difficult Conversatlons,.
Practical help and guidance wlth court proceeding5; advocatlng wlth thlrd partles such as
soclal services,. and support with Issues such as divorce.
A safe spa¢e for professlonals to learn more about the Impact ol chlld sexual abuse on the
Professional Tralninthctim and thelr lamllles. how to work more effertlvely wlth non-abuslng parents and
carers, and how to manage thelT own re5pon5e to these dlfficult sltuatlons
Parent counsellln8
Parent tralnlng
Legal advlce
Page 4

We Stand wlth Familles Ltd
foTrnerly MOSAC
Trustees, Report
Output5 for 2023. 2024..
Sernlce
23-24
Helpline calls
aients in face-to-face counselllng
Cllents In onllne counselllng
797
50
79
Cllents rècelvln8 adv¢xacy support
Children In chlldren and young peoplt's servlces
Number of attendees at tralnlng programs Iparents and professlonalsl 276
Our natlonal helpllne contlnues to be the PTlmary gateway to acce55ing all We Stand 5ervlces. However,
challenges In recrultlfig sklllÈd volunteers thls year have led to a lower-than-expected volvme of calls. To
addres5 th15, we are Introduclng a streamllned Induttlon programme, coverln8 essentlal toplcs such a5 cultural
conslderatlons and the broader Impact o15exual abuse.
Llke many organ153tlons, the pandemSc prompted us to transltion our servlces onllne, ensuiing parents and
carers contlnued to recelve therapeutlc suppgrt without Interruptiorb. This shift provlded an opportunlty to
tèst all aspects of onlSne ¢ounselllng and evaluate It5 Impact befofe decldlng to make It a permanent part of
our seryltes. The move onllne has enabled us to expand our servlces wlth conslstently posltive outcomes. It
has become our faslest.growlnE servlce and15 now central to our m1551on of feaching famllies across the UK.
Our newly establlshed Legal Support servlce has become a valuable addltlon to our broader alfvocacy work.
Thls provldes plrents and carers wlth acces5 to 4uallfied legal advice in family law, offerSng critlc31 support In
complex sltuatSon5, Thls year, our work has Included Itnmedlate rlsk reduction measures, such as obtalnln8
non-mole5tatlon orders, explalnlng famlly law and Its processes, and 8ulding cllents In accesslng justice.
Additlonally, we offer complementary advlce beyond famlly law, such a5 Euldance on èngaging wlth statutory
servlces.
176
27
Our parent tralnlng programme Is now a core part of our servlces. Inlilally focused solely on 5ale8uardin8, It
has evolved Into a structured four-week programme coverlnÉ tOPlCS such as 'the Impoct of tmuma on the
bmln, and 'how to hove dlfflcult conversatlons,. Parents and carer5 who have ccmpleted the trainlnE
cons15tently hlghllght the value of thé peer support elements, whlch provide a safe space to connect and Share
experSence5. In the comlng year, we plan to bulld on thls, creatlng morè opportunltle5 far lamllies to meet and
drive posltlve change together.
Thls year. we suues5fully malntsSned a full timetable of creatlve art5 therapy for chlldren up to the a8e ol 16.
Chlldren have access lo a range of tools. Includlng tOy5, artlstlc activities, and sand trays, whlch they use to
expres5 themselves and work through traurna at thelr own pace. To enhance our delivery, we welcomed a
dedlcated creatlve arts volunteer thls year, addlng valuable expertlse and dlverslfying the servlce'5 Skill set.
Volunteers now meet once a term to d15tuss cases and share Ideas, fosterSn8 collaboratlon and continuous
improvement In prartice.
At the tlme of our last report, we were In the process of launchSng a nèw Ytsung People's Coun5ellln8 servlce
for those a2ed 14 to 21, Some young people had expressed that they felt dSscouraged by the Idea of 'play
therapv and preferred a more mature appr03ch, slmilar to tradllioThal 'two-chairf therapy. Following a perlod
of development, the new serylce Is now actlve, complementing the existlng creative arts therapy for younger
chlldren. It Uses a cornblnatSon of talklng therapy and creatlve tools to help young people process trauma In a
way ihat Is age-appropriate..
Page 5

We Stand wlth Famllles Ltd
lormerly MOSAC
Trustees, Report
In rèsponse to feedback and requests from parents and CZT2rs, we have introduced Parent-chlld Relational
Play, a programme deslgned as a viable alternative to in-person 5UPPQrt, Thi5 initiative focu5e5 On helping
parents and c3re8ivers repaii and rebulld relational trust through attachment-b85ed play at home. The
programme empoweis particlpants by providlng insight5 Into.. l. ViewSng play as a form of communication, 2.
Understandlng how traurna can Impact Telatlonships, and 3. Recognisin8 how child-led play within a strurtured
environment creates trust.
Our profe55ional tralnlng programme for those working wllh f3milies faced delays due to the pandemlc.
HowÈver, th15 year marked a significant mllestone as we secured our first sizable del*very contract with the
NHS. The progr3mme provides comprehen51Ve 5UPPOrt for social workers, cvmmunity workers, and youth
worker5, wlth workshops Including. Worklng wlth Non-obuslng Parent5 and Cttrers, anrf 'Sibling SexuolAbuse'.
Feedback so far has been overwhelmingly posltlve, hlghlightlng the programme's value in enhancing
Wlth Inltlal support from the Ministry of Justice, we are est&bli5hSn@ our f5r5t in-person services Dutslde
London, beeinnlng in Cardiff and South Wales
area currently lackine specia115t servlces that take a
whole-lam51y approaeh to addressing the consequence5 of Chlld SÈxual Abuse. Starting in April 2024, we wlll
offer adult therapy, parent training, and legal 5UPPOrt. Atce5S to these servlces will continue to be through our
nation31 helpline, whether farnllSes reach out dlrectly or are referred by a local partner Organlsatlon.
5tructuYe, governance and mana8ement
The organisation Is a company limited by guarantee and wa5 incorporated on 22 January 2009. The company
was establlshed under a Memi)randum ol A5soclatlon whlch establlshed the objects and powers of the
company and Is Eoverned by its Artlcle5 of Asso£iation, In the event of It belng wound up, members are
requlred to contrSbute an arnovnt not excoÈdin8 £10.
Board of Trustees
We Stand is governÉd by a Board of Trustee5, Detalls ol those serving on the Board during the year and those
serving currently are shown on page 2. The Board of Trustees meets around elght time5 a year, We Stand
actively encourages applicatSons from people Interested in becomlng trustees throu8h the ch3rltVs web51te
and Charity Job's free on-line advertlslng for volur¢teers. Potentlal eandidates Ire ftrsi Inter¢lewed by the Chalr
and one tkth@r trustee, 11 successful, they are invlted to observe a Boèrd meetlng and meet existing tru5tee5.
Once appointed, all new Trustees recelve induction/ intToductlon to We Stand.
The Board of Trustees delegates responsibllity to the senlor management team, through the Chief Executlve,
to execute the day-to-day operatlons of We Stand attordance with the policles, procedures and lJudget5
approved by the Board of Trustees.
Appolntment rjl DITertor5
The dSrector5 rnay appolnt a person who 15 wllllnR to serve as 3 directar and have been Implementlng
re-elections every three yèars. All dlrectors glve of their tlme voluntarily.
Publ1¢ Beneflt
The Trustees rollfiim that they have referred to the guldènce contalned In the Charity Comrnisslon's general
guldante on public benefit when feviewlng the objectlve5 and activitles and In the plannlng of future actNit5es,
It 15 the judgemeDt of the Trustees that advitles In pursuSt of the above objectives fully meet the public
benefit test, whlch they have kept In mlnd In plannlng programmes for the charity. In delivering sÈrwlces and in
the appolntrnent of staff, volunteers and trustees the charity operates a strlct pollcy of no discrlmlnatlon or
any Brounds.
Page 6

We Stand wlth Famllles Ltd
formerly MOSAC
Trustees, Report
Nnanclal Revlew
This year our in-year income was £517,049, our brought forw3Td funds were £116.831. The expendSture for
the year wa5 £468,896. Our carried forward fundsto 24-25 is £164,984
Following a challen8inE yeai for fundralslnE In 22-23. Th15 wa5 a comblnatlon of some key funds closing whlle
they revlewed thelr strategy, a decrease In fund5 belng glven out following the large amount of fundln8 bein8
released durlng Covid and speclfically for us, we wère unable to secure government fundlng for th2 first tSme
since 2018.
2023 - 2024 wa5 a posltive year for fundralslng. We secured a slgnlflcant f￿ndIng to launch our servlces in
Wales and secured new unrestrirted hJndiTrg to cover core costs. Thls enabled u5 to develop new servlces and
new locations to grow the reach and Impact of ourwork.
Reserve Pollcy
We took the challenglng dedslon In 2022- 2023, to use some of our reserves to maintain our servlces during a
year when we experlenced a drop In our fundlng levels. Alongslde this, we made efflclenw 5avlngs to eTrsure
that we were In the best posltlon golE)E Into 2023 - 2024. At the end of 2023, our reserves posltlon was
£82,679. Thls was below our target of 3 months of all costs but Is ¢)ver 3 month5 gf our unrestrlcted costs
1£61,7471.
stst•ment ol trustees. rtsponslblllttes
The trustees (who are also the dlrector5 of We Stand with Famllbes Ltd for the purposes of company lawl are
responslble for preparlng the trustees. report and the flnanclal Statements In Bccordance with appllcable law
and Unlted Kingdom Accounting Standards Iunlted Kingdom Generally Accepted Accounting Practlcel,
including FRS 102'The Flnancial Reportlng Standard appllcable in the UK and Republic of Ireland"
Company law requires the tiustees to prepare flnanclal statemenls for each financial year. Under tt•Mpany law
the trustees must not approve the financlal statements unless they art satisfied that they gwe a true ènd falr
vSew of the state of affalrs ol the charltable ¢ompany and of the Incomlng resources and appllcatlon of
resources, including Its income and expendlture, of the charltable company for that perlod. ITh preparlng these
flnancial statemeThtS, the trustees are requlred to..
select sultable a¢countlng pollcles and apply them tonslstently,.
observe the methods and prSn£iples In the CharStles SORP:
make judgement5 and estlmates that are re3sonablè and prudent;
state whether appllcable accountlng standards, comprlslng FRS 102 have been followed. subject to any
materlal departures d15closed and explalned In the financlal statements,. and
prepare the financlal staternents on the gDlll8 concern basls unle55 It15 Inappropriate to presume that the
charltable company wlll contlnue In buslnos5.
The trustees are iesponslble for keeping proper accountin£ records that can dSsclose with reasonable accuracy
at any time the financlal p051tlon Df the charitable company and enable them to ensure that the fir¢anclal
statEments comply wlth the CompanSes Act 2006. They are also responsible for safeguardlng the a55ets of the
charltable company and hence for taklng reh50nable step5 for the preventlon and detectlon of fraud and other
The trustees are responslble for the malntenance and Integrlty of the eorporate and flnanclal Informatlon
included on the ¢haritable company's webslte. Legislation governlng the preparatlon and dSssemlnatk)n of
flnaTrcial statemEnts may dlffer from legislatlon In otherjuri5dictions.
Page 7

We Stand wlth Famllles Ltd
formerly MOSAC
Trustees, Report
The annval report was approved bythe trustees of the chaTity on 29 January 2025 ènd slgned on its behalf bv:
u Gohil
Chalr of trustees
Page 8

We Stand wlth Famllles Ltd
formerly MOSAC
Independent Examlnerfs Report to the tfU5tees of We Stand wlth Famllles Ltd {'the
Companv,)
I report to the charity trustees (who are also Diiectors for the purpose of company lawl on my ekaminatlon of
the accounts of the We Stand wlth Familles Ltd I'the charStable companll for the year ended 31 March 2024
whlch cornprise the Statement of Finarbcial Activities, the Balarnce Sheet and related notes 3 to 20.
Thls report Is made solely to the charliis trustees, as a body, Ir* accordance wlth sectlon 145 of the Charities
Art 2011. My work has been undertaken so that I might state to the tharitvs trusteès those matters l am
requlred to state to them In thSs report and for no other purpose. To the fullest extent permltted by law, I do
nol accept or a55ume responsSblllty to anyone other than the chailty and the charit¢s trustees as a body, for
my worl for thls report. or for the oplnlons I have formed.
RespoM$lbilltles and ba$l$ of rnport
As the tharitvs trustees of Wè Stand wlth Famllle5 Ltd you are responslble for the preparatlon of the accounts
accordance wlth the requlrements of the Companles Act 20061'the 2006 ACVI.
Havlng satlsfled myself that the accounts of We Stand with Famllies Ltd are not reqvlred to be audlted under
Part 16 of the 2006 Act and are eliElble for Independent examlnation, I report in respert of my examlnètion of
your charit¢5 accounts a5 carrled out under sectlon 145 of the Charltle5 Ad 20111'the 2011 Act'l. ITh Carrying
out my examlnation I have followed the Directions given by the Charity Commission under 5ectlon 14515llbl of
the 2011 Act.
An Independent ex3mlnatlon doe5 not Involve gathefing all the evidence that would be requlred In an audlt
and consequently does not cover all the matters that an auditor considers in Bivlng their oplnlon on the
flnanElal st3tement5. The plènnlnB and conduct of 3n audlt stses beyond the limited assurance that an
Independent eKamlnatltsn can provlde. CDn5equently l express no oplnlon a5 to whether the financlal
statements present a 'true and falrf vSew and my report Is Ilmlted to those speclfic matters set out In the
Independent examlnerfs statement.
Independent examlnerfs statement
Since We Stand wlth Famllles Ltd 's gross Income exceeded £250,000 your examlner must be a rnember of a
body Ilsted In 5ecilon 145 of the 2011 Act. I conflrm that l am quallfled to undertake the examlnatlon because I
am a member of ICAEW, whlch Is one of the Ilsted bodles.
I have completed my examlnatlon. I ctsnfirrn that no matters have come to my attentlon In connectlon wlth the
examlnatSon giving me cause to belleve..
l. accountlng records were not kept In respect of We Stand with Familie5 Ltd as requlred by section 386 of
the 2006 Act,. or
2. the accounts do not accord wlth those record5,' or
3. the accounts do not comply wlth the accountlng requlrement5 of sectloTh 396 of the 2006 Act other than
any requirernent that the accounts glve a 'true and falr VIe￿ whlth Is not a matter considered as part of
an Independent examlnation,. or
4. the accounts have not been prepared In accordance wSth the methods and prlnclples of the Statemeni of
Recornmended Prartlce for accounting and reportlng by charltles appllcable to charltle5 proparlng thelr
accounts In accordance wlth the Flnanclal RÈportlng standard appllcable In the UK and Republlc of
Ireland IFRS 1021,
Page 9

We Stand with Famllie5 Ltd
lormerly MOSAC
Independent Examlner's Reportto the trustees of We Stand wlth Famllles Ltd I'the
Companv,)
I have no concerns and have come across no other matters sn connectlon with the examlnatloTh to whlch
attentlon should be drawn In thls report In order to eThable a proper understandlng of the accoursts to be
reached.
TIM Sullivan FCA
Fleld Sulllvan Llmlted
ICAEW
9 Nare & Billet Road
Blackheath
SE3 ORB
29 january 2025
Page 10

ro o
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V (
o tTr
rrt
Tr O

We Stand with Familles Ltd
formerly MOSAC
(Registration number: 067988541
Ba5anc2 Sheet as at 31 March 2024
2024
2023
Note
Flxed 85set5
Tangible assets
15
1,561
2,343
Current asséts
Debtors
Cash at bank and in hand
J6
38,967
151,001
10,813
166,396
17
189,968
177,209
CredltOTS: Amount5 lalllng due wlthln one year
18
126,5451
162,7211
Net current asset5
163,423
114,488
Net assels
164.984
116.831
Funds ol the charlty:
Rpstrlcted Income funds
Restricted funds
82,305
72,379
Unrestrl¢tÈd Income funds
Unrestricted funds
82,679
44,452
Total furhds
19
164,984
116,831
For the financial ye&T ending 31 March 2024 the charity was entitled to exemptlon from audit under sectlon
477 01 the Cgmpanies Act 2006 relatin8 to Small companles.
Dlrectors, responslbilltles..
The members have not requlred the charlty to obtaln an audit of Its accounts for the year in qlfestlon In
accordan￿ wlth section 476,. and
The dlrectors aiknowledge thelr respon51bilities for complylng wlth the reouirement5 of the Act with
respect to accounting record5 and the prepgr3tion of accounts.
The financial st3teTnents on paEes 11 to 25 wÈre approved by the trustee5, and author15ed forlssue on 29
January 2025 and siened OD their behalf by..
Madhu Gohll
Chair and trustee
The note5 on pages 14 to 25 form an Intezral part of these flnanclal Statements.
Page 13

We Stand wlth Familles Ltd
formerly MOSAC
Notes to the Flnancial Statements forthe Year Ended 31 March 2024
I Chèrlty statu$
The charlt¥ Is Ilmited by guarantee, Sncorporated in England & Whles, 3nd coniequently does not have share
caplt31. Each of the trustee5 15 Ilable to contrlbute an amount not exteedlng £1 towards the assets ol the
charity In the event of liquldatlon.
The address of Its registered offl£e Is..
86-90 Paul Street
London
EC2A 4NE
These financlal statemènts were authorlsed for Issue by the trustees on 29 January 2025.
Z A¢¢ounlln8 poll¢les
Surnmary trf slgnlll¢ant accountlng po15clEs ahd key accountlng estlmates
The prlTrclpal accguntlng pollcies applied In the preparation of these fin£nclal statements are set out below.
These pollcles have been conslstently applled to all the years presented, unles5 OtheM15e stated,
Stalemeht Lil compllan¢e
The flnandal statements have been prepafed In ac¢ordan¢e wllh Ac£ouTrtlng and Report5nE by Charlties..
Statemènt of Recommended Practlce appllcable to charitles preparlng thelr aicounts Sn accordancE wlth the
Flnanc131 Reporting Standard appllcable In the UK and Republit of Irèland IFRS 1021 leffecrive l January 20191
ICh3rltles SORP IFRS 1021- Second editlon October 20191, the Financial Reportlng sta￿dard èppli¢3ble in the
UK and RÈpublic of Ireland IFRS 1021. They also comply wlth the Companies Act 2006 and Charities Act 2011.
Ba51s ot preparation
We Stand with Famllle5 Ltd meets the definition ol a publSc benellt entity under FR5 102. Asget$ and Ilbbllities
are Initially Tecognlsed at historlc31 cost or trans3Ctlon value unless tsthetwlse stated in the relevant accounting
pollcy r*otes.
Goln£ ¢on¢e¥n
The trustees consider that there are no materSal uncertainties 3bout the charlty's ability to continue as a golllg
concern nor any significant areas of uncerta1nty that affect the carrying value of assets held by the charitv.
Page 14

We Stand with Famllles Ltd
formerly MOSAC
Notes to the Financial Statements for the Year Ended 31 March 2024
Judgements and key source5 0125tlmatlon uncertalnty
In the appllcation of the charltvs accounting pollcie5, the trustees are required to make judgements, estlm3tÈs
and 85sumptlons about the carrylng amount of assets and liabllltles that are not reèdily apparent from other
sources. The estlmates and assoclated assurnpt5on5 are based on historic41 experience aTrd other factors that
are ¢onsldered to be relevant. Actual results may dllfer from these estlmate5.
The estlmates and underlylng 85sumptlons are reviewed on an ongoing basis. Revlsions to accountlng
estlmates are recognised in the periods In which the estimate Is revised where revisions affects only that
period, or in the period of the rev151on and future periods wheTe the revision5 affetts both current and future
perlods.
Income and endowment$
All sncome Is recoEnlsed once the charity has entltlement ￿ the income, It IS PTobablB that the income will be
received and the amount of the Income recelvèble can be measured reliably.
Dont7tlons t7ndlegu¢les
Donations are recognised when the £h8rity has been notified in writlng of both the amount and settlEment
date. In the event that a donatSon Is sublect to conditlons that require a level of performance by the charitv
before the charlty is entitled to the funds, the income Is deferred and not recognised until elther those
condltlons are fully met, or the fulfilrnent ol th05e condition5 is wholly wlthin the control of the charity and It Is
probable that these condltlons wS11 be fulfllled In the reportlnE period.
Grunts re¢elvuble
Grants are recogn15ed when the tharity ha5 an entStlement to the funds and any condlllons Ilnked to th? 8raThts
have been met. Where performance conditions ère attached to the grant and are yet to be met, the Sncome Is
reco8nlsed as a Ilability and Included on the balance sheet as deferred Incom2 to be released.
Expendlture
All expendSture Is recognlsed once there is a legal or constructive obllgatlon to that expendlttsre, It Is probable
settlement is rtrquired and the amount can be measured rellably. All costs are allocaied to the appllcable
expenditure headlng that a8greg3te slmllar costs to that category. Where costs rannot be dlrectly 3ttributed to
partlcular headings they hève been allocated on a basis consistent with the use of re50UTces, wSth central staff
costs allocaied on the basi5 of time spent, and depreciation charges alloc3ted on the portion of the assevs use.
Other support Costs are allocated based on the spread of slaff costs.
Rulsing Junds
These are cost5 incurred In attractlne voluntary Income, Ihe management of Investment5 and those Incurred in
tr2dirsg actlvitles that iaise fund5.
Charftoble octlvltles
Charitable expendlture comprlses those Costs incurred by the charity In the delSvery of Its activltles and
servlce5 for It5 beneflclarSes. It includes both costs that can be allocated directly to such activltles and those
costs Df an Indlrect nature nece553ry to 5UPPOrt them.
Pège IS

We Stand wlth Famllles Ltd
forrnerly MOSAC
Notes to the Flnan¢lal Statement5 for the Year Ended 31 March 2024
Grqntexpendltufe
GTant5 payable are payments made to thSrd partles in the furtherance of the charitable objectives. whe￿ thè
charlty give5 a grant wSth conditlons for Its payment beSng a speclflc level of ser￿Ce or output to be provlded,
5Llth grants are only recognlsed In the Statement of Flnanclal Actlvlties once the reciptent of the grant has
provSded the speclfic servlce or ovtput.
GraTrt5 payable without performance conditlons are recognlsed In the accounts when a commitment has been
made and communlcated to the reciplent, and there are no wndltlons to be met relat5ng to the grant whlch
remain in the control of the charlty.
Gruntpmvlslons
Provlslons for Erants are made when the Intention to make a grant h35 been communlcèted to the reclpient
but there Is uncertalnty about elther thÈ timlftg of the grant or the amount of grant payable.
Support costs
Support costs Indude central functlons and have been allocated to activity cost categorie5 on a basls
conslstent with the use of resources, for example, èllocatlng property costs by Iloor areas, or per caplta, staff
costs by the tlme spent and other costs bythelr usage.
Taxatlon
The charfty Is consldered to pass the tests set out In Paragraph I Schedule 6 of the Finance Att 2010 and
therefore it meets the definitlon of a charltable company for UK corporallon tax purposes. Accordln8ly, the
charity Is potentially exempt from taxatlon In respect of Income or capltal galns reiefved wlthin catègorles
covered by Chapter 3 Part 11 of the Corporation Tax Act 2010 or Section 256 of the T3xation of Chargeable
Gains Act 1992, to the extent that such income or gains are applled exclu51vely to charltable purposes.
Yanglble fjmed assets
Indlvidual flxed assets costlng £500.00 or more are Irsltlally recorded at cost.
Depreclatltsn and amortlsatlon
DepreciatSon Is provlded on tanglble fSxed a5set5 so as to wrlte off the tost or valuation, less any estimated
residual value, over their expected useful economlc Ilfe as folh)ws.'
Asset class
Office equipment
Depreclatlon method and rate
25% 5tral8ht Ilne
Page 16

We Stand wlth Famllles Ltd
formerly MOSAC
Notes to the Financial Statements for the Year Ended 31 March 2024
Trzd£ debtDr5
Trade debtors are amounts due from customers for merchandlse sold or servlces perforrned in the ordinary
course of bu5ine5S.
Trade debtor5 are retognised inltially at the transactlon prlce. They are subsequently measured at amortlsed
cost using the effective interest method, le55 provision for impalrment. A provlslon for the Impalrment of trade
debtor5 15 e5tabli5hed when there Is objective evidence that the charlty will not be able to collect all amounts
due accordln8 to the ori8inal terms olthe recelvable5.
Cash and cash equlvalents
Cash and cash equlvalents comprlse cash on hand and call deposit5, and other short-term hlghly liquid
Investments that are readily convertible to a known amount ol cash and are subject to an insignlflcant rlsk of
hange In valuo.
Trade ciedltOTS
Trade creditor5 are obli83tlons to pay for Eoods or servlces that hève been acqulred In the ordinary course of
buslness from suppliers. Account5 psyable are classified as current Ilabillties il the charity does not hève a
un¢ondltlonal rlEht, at the end of the reportlng period, to defeT settlement of the creditor for at least tweEve
month5 3fter the reporting date. 11 there Is an uncondltional rl8ht to défer settlement for 3t least tWe￿e
months after the reporting date, they are presented as non-current liabilities.
Trade credltors are recogn15ed Inltlally at the transactloft prlce and subsequently measured at amortlsed ctsst
uslng the effective interest merhod.
Fund strurture
Unrestricted income funds are Eener31 funds that are available for use at the trustees dls¢retion in furtherance
of the objectlves of the th8rltv.
Restrlcted Income funds are those donated for use In a partlcular area or for speclflc purposes. the use of
which Is restricted ttr thai area or pvrpose.
Pensltsns and other p05t retlrement obllgatlons
The ch3rity operates a dÈflt)ed contrlbution pension scheme which i5 3 penslon plan under which flxed
contrlbutlons are p31d Ihto a penslon fond and the charity ha5 no legal or constructive obllgatlon to pay further
contrlbutlons even If the fund does not hDld sufficient a55ets to pay all employees the benefits relatlng to
employee seivlce In the ¢￿Trent and prior peiicds.
Contributlons to defined contrlbutlon plans are recognlsed In the Statement OF Flnancial A¢tlvlties when they
are due. If contrlbution payments excEed the contrlbution due for service, the excess is recognised a5
prepayment.
Page 17

We Stand wlth Famllles Ltd
formerly MOSAC
Note5 to the Flnanclal Statements for the Year Ended 31 March 2024
3 Income from donatlons and legacles
Unrestrl¢ted
funds
General
Restrfrted
funds
Total
2024
Total
2023
Donatlons and legacies,.
Donatltsns from volunteers
15,000
5,000
3,992
29th of May 1961
Donatlons from Indlvlduals
4,331
4,331
Grants, including capital grants;
Clty Bridge Trust
88C Children ln Need
Big Lottery
Slr Halley Stewart Trust
rudor Trust
52,800
20,799
62,500
12,23S
52,800
20,799
62,500
12,235
25,000
40,000
36,380
41,709
87,500
16,321
25,000
40,CM)o
The Henry Sn)ith Charity
Leathersellers Company
Charitable Fund
Garfield Weston Foundation
The Dawd & Ruth Lewls Famlly
Charita&le Trust
Portycus LSK
London Catalyst
Rayne Foundatton
Mlnlstry of Justice
The Legal Educatlon
Aqulla Famlly Charltable Trust
35,000
20,000
30,C(10
2Q,000
30,000
25,000
40,000
38,525
40,000
38,525
4,000
15,000
,000
65,190
29,000
15,000
65,190
29,000
30,000
30,000
149,331
336,049
485,380
284,902
4 Income from £harltèbl* adlvltles
Unrestrlcted
funds
General
Total
2024
Total
2023
Fees and supplles
30,460
30,460
11,718
Page 18

We Stand wlth Famllles Ltd
formerly MOSAC
Notes to the Financlal Statements for the Year Ended 31 March 2024
5 Investment In¢ome
Total
2024
Totil
2023
Interest receivable )nd slmllar Income,.
Interest recelvèble on bank deposlts
1,209
830
6 ExpenditurE on ralslng lunds
al Costs ot geneiatlns donatlons an¢J leEacies
Totol
2024
Yotal
2023
Note
Fundraislng c05t5
23,625
23,750
7 Expendlture on charitab19 artlvltles
Total
2024
Total
ZDZ3
Note
Supervision
Volunteer expenses
Consultan
Staff c05t5
28,121
1,021
19,812
305,367
90,950
28,453
3,560
29,132
390,601
97,995
li
Support costs
445,271
549,741
In addition to the expendlture analysed above, there are alsts support costs of £90,95012023- £97,995) whlch
relate dlrectly to charltable actlvltles. See note 8 for further details.
Pa8e 19

We Stand wlth Famllles Ltd
formerly MOSAC
Note5 to the Flnanclal Statements for the Year Ended 31 March 2024
8 Analysls of 5UPPOrt costs
Support cost5
rotal
2024
Total
2023
Iprofitllloss on dSsposal of tanglble fixed 355ets
staff wellare
1,035
1,064
7,476
37,029
1,908
2,378
5,250
5,508
10,667
4,580
382
2,375
4.503
45,197
16571
154
Trainlng and travelllng
Rent Ènd rates
Insurante
Repairs and maS#tenance
Equlpment and materlals
Telephone aTrd fax
Computer software and malntenance
Printing, postage and 5tatlonery
Trade subscrlptlons
Other expensÈ5
Recrultment
2.295
5,200
9.013
2,756
874
5,136
2,755
3,3¢XI
6,762
200
2,584
3,580
3.204
9,017
Independent examlnation
Legal and professloThal
Bad debt5 written off
Bank tharEes
other Snterest payable
Deprec18tlon
2CX)
241
106
781
2,092
90,950
97,995
9 Net Incomlneloutgolng resources
Net Incomlnglloutgolngl resources for the yeaT Indude..
2024
2023
DepreclatSon of flxed assets
781
2,092
Pase 20

We Stand wlth Famllles Ltd
formerly MOSAC
Notes to the Financlal Statements for the Year Ended 31 March 2024
10 TTUStees remuneratlon and expenses
No twstees, nor any peison5 conne¢¢ed with them, have retelved any remunetstlon from the charlty duflng
the year.
No trustees have recelved any relmbur5ed expenses or any other benefits from the charlty durlngthe year.
11 Staff cost5
The a88regate pa￿011 costs were as follow5:
2024
2023
stsff cosls durfng the year wer?:
Wages and salarles
So¢lal secuflty costs
Penslon costs
275,977
20,261
9,129
352,138
27,095
11,368
305,367
390,601
The monthly average number of person5 Ilncludlng sÈntor management / leadeishlp team) empbyed by the
charlty durln£ the year expressed as full tlme equivalent5 was as follows..
2024
No
2023
Charltable actSvitles
li
12
No employee recelved emoluments of more thèn £60,000 durln8 the year.
12 Taxatlon
The charlty Is a registered charlty and Is therefofft exempt from taxatlon.
13 Penslon and other stheme5
Deflned ¢ontrlbutlon pens5on scheme
The charlty operates a defined contribution pension scheme. The penslorn cost charge for the year represents
contrSbutions payable by the charity to the scheme and amounted to £9,12912023- £11,368).
14 Related party transacllonj
There wère no related party tran5actlons in the year.
Page 21

We Stand with Famllles Ltd
formerly MOSAC
Note5 to the Flnantlal Statements for the Year Ended 31 March 2024
15 Tan£lble flxed assets
Furniture and
equlpment
Total
C05t
At l April 2023
8,021
8.021
At 31 March 2024
8,021
8,021
Depre¢iatlon
At l Apiil 2023
Charge for the year
5,679
781
9,679
781
At 31 March 2024
6,46D
6,460
Net book value
At 31 March 2024
1,561
1,561
At 31 March 2023
2,342
2,342
16 Debtors
2024
2023
Prepzyments
Other debtors
8.857
30,110
10,123
690
38,967
10,813
17 Cosh and cash equlvalenls
2024
2023
Cash on hand
Cash at bank
25
150,976
25
166,371
151,001
166,396
Page 22

We Stand with Families Ltd
lormerly MOSAC
Notes to the Financial Statements for the Year Ended 31 March 2024
18 Credltors: amounts lalllng due wlthin one YèBr
2024
2023
Trade tredito
Other taxailon and 50cSal securlty
Other creditors
Accruals
6,059
6,389
1,19?
12,900
12,315
8,4D4
1.778
40,224
26,545
62,721
19 Fund5
Balance at
31 March
2024
Balance at i
April 2023
Incomlng
resources
Resouices
expended
Transfer5
Unrestrlcted funds
General
General Funds
44,452
181.000
1246,9881
104,215
82,679
Restrlrted funds
BBC Children in Need
Blg Lottery
RASASF
28,983
7,222
20,799
62,500
65,19D
52,80D
29,000
12,235
134.2741
142.1601
123,1621
125,3021
115,7141
112,0781
115,5081
112,8761
16,3431
125,4221
112,1231
11,0331
14.686
35.685
10,746
1,163
aty Bridge Trust
Legal Educatlon
Sir Halley Stewart Trv5t
The David & Ruth L2wis
Famlly Charltable Trust
The Dulverttsn Trust
8,670
876
40,000
133,0531
11,7931
134,3721
16,9471
16351
18,3281
Iis.0001
2,428
24,200
Portlcus UK
38,525
15,000
20,025
Rayne Foundatlon
72,379
336,049
1221.9081
1104,2151
82,305
Total funds
116,831
517,049
1468,8961
164,984
Transfers from all the restrI￿ed funds to unrestricted fund is the agreÈd contribution to core costs.
Page 23

We Sland wlth Famllles Ltd
formerly MOSAC
Notes to the Flnanclal Statements for thè Year Ended 31 March 2024
Balancè at
31 March
2023
Balance at I
ApTII 2022
In¢omlnB
resources
Re50urce5
expend•d
Tr3n5feTS
Unre5trlcted funds
Generul
General Funds
190,562
IW,820
1321,0451
74,115
44,452
Restrlrted funds
88C Chlldren In Need
818 Lottery
Clty 8rldEe Trust
The Survlvors Trust
Slr Halley Stewart Trust
Postcode Socltty
The Davld & Ruth Lewis
Famlly Chafltable Trust
The Dulverton Trust
30,641
44,371
17,825
4,800
17351
20,000
41.709
87,500
32,IlX)
133,2811
1115,7671
124,8281
110,0861
18,8821
116,4271
14,8001
28,983
7,222
8,670
16,321
114,7101
18,5811
876
111,4191
19,420
27,363
38,525
100
124,3251
115.6551
114,3251
4,905
19,2801
2,428
24,2(K>
Portltus UK
Other Trusts
London Catalyst
Rayne Foundatlon
iiool
14,0001
114,0261
4,000
15,000
19741
1252,4461
202,310
196,630
174,1151
72,379
Total fund5
392,872
297,450
1573,4911
116,831
Page 24

We Stand wlth Families Ltd
formerly MOSAC
Notes to the Financlal Statements for the Year Ended 31 March 2024
The specillc purposes for which the funds are to be applied 3re 35 follows..
City Brldge Trust- the grant covers our ditect work with parents/ carers In London. includlng contribution to
salarles of London Therapy Manager and Helpline Manager
88C Chlldren In Need- the grant covers the CDSts of the Play therapy servlte5 includlng the salary of the Plav
therapist.
Big Lottery- the 8r3nt supports the salarles of Helpline ManaEe¥, Therapy Managei- London as well as rent,
running costs and associated costs of the seThfjces.
Sir Halley Stewart Trust- the grant contrlbutes to our onllne ¢ounselling seryi¥e
Tudor Trust- the Brant contrSbutes to core costs In the provisiDn of all services
The Henry Smith Charity- the grant contrlbutes to core cost5 in the prov15ion of 811 serwces
Leathersellers Company Charitable Fund- the grant contributes to core costs In the provlslon ol all serylces
Garflold Weston Foundation- the grant tDntributes to core costs in the provlslon of all servlces
The David&Ruth Lewis Family Charitable Trust- the grant contributes to core costs In the provtslon of 811
services
London Cat31yst- the grant contrlbute5 to our onllne tounsellinE servlce
Rsyne Foundarion- the grant contributes to our parent tralning and support service
Mlnlstry of Justlco- the grant funds our development of services In South East Wales
The Legal Edu¢atlon Trust- the grant contrlbutes to our Advocacy and Legal Advice Service, Includlng
contributlnE the the Service Manager's Salary
Aquilla Farnily Charltable Trust- tho grant contributes tD core costs In the provlslon of all servlce5
20 Analysls of net 855ets between funds
Unre5trlcted
funds
General
Total lunds at
31 March
2024
Restrlcted
funds
Tangible fixed a55ets
Current 8sset5
1.561
81,943
11,1991
1,561
189,968
126,5451
108,025
125,346
Total net assets
82,679
82.305
164,984
Unrestrlcted
funds
General
Tot?1 lund5 at
31 March
2023
Restrirted
fuhds
Tanelble fixed as5etS
Current assets
2,343
107.056
137,0201
2,343
177,209
162,7211
70.153
12S,7011
Total net assets
44.452
72,379
116,831
P3ge 25