Company registratlon number 7888187 (England and Walès)
Charity r•glstratlon number 1146622 (England and Wales)
SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 28 FEBRUARY 2026

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
LEGAL AND ADMINISTRATIVE INFORMATION
Trustees
Mrs Laura Askew
Mr Luke Froude
Dr Nicholas Ives
Mr Alan Sowden
Mrs Amy L8mb
Mr Mandeep Tumb8r
Secrètary
Mrs Kerri Knibbs
Charlty number
1146622
Company numbor
7888187
Registered offlee
Level 2
The Women's Centre
John Radcliffe H¢)spital
Oxford
OX3 9DU
Independènt examlner
Gravita Audit Oxford LLP
First Floor, Park Central
4041 Park End Street
Oxford
OX1 1JD
Bankers
CAF Bank Limited
25 Kings Hill Avenue
Kings Hill
West Malling
Kent
ME19 4JQ

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
CONTENTS
Page
Trustees, report
statement of Tru5tee5' ressy)n&bilities
Independent exarnlnevs report
Statement ol financial 8Ctivitieg
BaL8n¢8 sheet
10
Statement of cash fkjws
Notes to the financial statements
12-18

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
TRUSTEES, REPORT (INCLUDING DIRECTORS, REPORT AND STRATEGIC REPORT
FOR THE YEAR ENDED 28 FEBRUAR Y 2026
The Trustees present their annual rep¢)rt and finana81 statements for th8 year ended 28 February 2026.
The financial statements have been prepared in accordan￿ wlth the accounting policies set out in note 1 to the
financial statements and Comply with the Charity's governing docuTnent, the Companies Act 2006 and ACC￿nting
and Reporting by Chanlies.. Statement of Recommended Practi￿ applicable to charitie5 preparing their accounts in
accordance with the Financi81 Reporting Standard applicab18 in the UK and Republic of Ir818nd IFRS 1021 (effective
1 January 20191..
STATUS AND ADMINISTRATION
The Company was incorporated under the Companies Act on th8 20 December 2011 and registered under number
7888187.
On 1 March 2012 all th8 assets, liabilities and on-going activities of SSNAP the unincLYporated ch8rity were
transferred to the Company.
CONSTITUTION
SSNAP was estat￿Ished by Trust Deed on 9 July 1982, and reregislered 88 a company in 2011. Under it5
Memorandum and Articles of Association SSNAP'5 objectives are promoting the re118f of sickness of babies who at
any time after their birth were or are treatgd in the New born Care Unit or the neo-natal nursery ol the John Radcliffe
Hospital., and furthering the education of and the advancement of research by persons who are associated with the
John Radcliffe Hospital engag8d in the medical nursing or other care of babies and infants. In meeting these
objectives SSNAP h8S the power to make grants to the needy par8nts ol bables referred lo above to enable Iheffl to
visit the hospital frequ&ntly or 10 stay near the h05Pltal,' to arrange accommodation for parents who have to stay
near the hospital., to provide logistical and emotiON81 support services to parents and lo provide funding for such
support services., to provide medical @quiprnenl., to award scholarships, exhibitions, bursaries or rnaintenance
alloWan￿S tenable at any hospital. school or university or other educational establishrnent approved by the
Directors to persons eligible to benefit and who are in Treed of financial assistance., and to award such person5
grants or maintenance allowances to enable thern to travel whether in the United Kingdom or abroad in furtherance
of their education, training or research.
Obleetlves and actlvltle8
SSNAP has continued to meet its core objects'ves and Mission over the past year. The mission of the Charity can b
broadly divided into flv8 areas ol focus
Unit Equipment and Research.
Family Support, Little SSNAPlings, Investing in Neonatal Staff, Funding
Aehievements and performance
Family Support
Supporting families whose babies are receiving care in the Neonatal Core Unit al the John Radcliffe Hospital
rein8ins the Charlty'5 1x)re purpose.
Our Family Care Team provides more than 85 hours of practical and emotional support each week to parents and
families. Every baby adtnitted to the unit receives an admission box containing essentsal supplies to help make the
family's neonatal journey a little easier. We also facilitate a w88kly peer support group on the unit, providing parents
currently receiving neonaial car8 with the opportunity to connect with others experiencing similar challenges.
Our Family Care Team also supports bereaved parents and their families through some of the most difficult tlmes
imaginable. During the year, we further slrength8ned this support by commith.ng to fund external bereavement
services where these ar8 not avallable Ihrvugh existing NHS provision.
As in th8 previous reporting period, the Charity was not required to fund family accommodatlon due lo the
availability of an on-site facility provided by 8 third party. However. we have continued lo see significant demand for
nancial assislan(Y with food, travel and other essential expenses for families whose babies require prolonge¢J
slay5 In hospital.

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
TRUSTEES, REPORT (INCLUDING DIRECTORS, REPORT AND STRATEGIC REPORT)
(CONTINUED)
FOR THE YEAR ENDED 28 FEBRUAR Y 2026
Little SSNAPlin9S
Our Little SSNAPlings group has continued to grow from 3treNgth to strength. pmiding valuable ongoing support to
babies and families follo￿ng iheir neonatal journey.
In response to increasing dernand. we have expanded the programme from monthly to weekly sessions al locations
across the county. Attendance has continued to rise throughout the year, with most session5 now operating waiting
lists, demonstrating both Ihe need for and value of this specialist support.
Little SSNAPlings offers dedicated parent and b8byltoddler sessions tailored to the needs ol farnilie5 who have
exp8rienced neonatal care. Baby massage and baby yoga form the core activities of each sesslon, supporbng
babies, development while creating opportunities for positive parent-child inleraction. Sessions also include
refreshments and informal peer support, enabling parents and carers to connect wth others who understsnd the
unlque challeng85 of life after neonat81 care. For many farnilies, these sessions provide a w81coming altemative to
mainstrearn parent and toddler groups. vthere they m8y otherwise feel isolated or face additional challenges.
Throughout the year, we have continued to support 8 growng number of families across Oxfordshire, helping them
to build confidence, strength8n connections, and access ongoing support beyond their time on the neonatal unit.
Investing In Neonatol Staff
Supporting the professional development of the neonatal tearn remains an important part of SSNAP'S commitment
to improving outcom8s for babies and th8ir f3milies.
Throughoul the ye8T, SSNAP has Continued lo provKle funding for nurses and other tnembers ol the
ultidisciplinary teaTn to attend specialist training courses, conferences and study days that enhance their
kno￿edge and clinical practice. Wè receive a wide range of applications each year, with the majority of Suc￿$s1u1
applicants receiving between 70% and 100% of their requested fvnding.
Thanks to the continued suc¢*ss of our fundraising aetivilies, we have been able to increase the level of finaniaal
support available over the past two years. Thts has enabled u5 to invest in specialist infant feeding training,
equipping staff with advanced skills to support premalure babi8s and those with complex medical needs, helping to
irnprove feeding outcornes and the long-t&rrn health of the babies in their care.
Fundlng Unlt Equlpmènt
During the year. SSNAP committed Significant funding to enhance both the clinical and non4inical f8cilitlès
available within the Neonatal Unit. This investment was made possible in part through a g8nerous legacy received
by the Charity, with the majority of th$ assoaated income recognised in lh8 2024125 financial year.
Major clinical purchases included a twin neonatal transport pod, which enable the safe transfer of iwo babies
requiring transport between neonatal units, and a Cerebral Funclion Monitor, providing cliniryans wlth advanced
technology to assess brain health in newbom babies.
We have also continued to fund the vcreate secure communication plarfomi, enabllng staff to share photographs,
videos and updates with parents who are unable to be al their baby's cot side.
ongside these clinical investments. we were delighted to providè new reclining chairs throughout the Neonatal
Unit. These chairs offer p8rents a cornfortable and supportlV8 environment for 5kin-to-skin Ikangarool care. helping
fatnilie5 spend pr8CiOUS time together while promoting bonding and deliv8ring well-eslablished dev81oprnental
benefits for babies.
Research
In line with our strategic decision in previous years, SSNAP has not committ8d to funding any new bng-lerrn
research projects during the year. However, we remain committed to supporting smaller, high-qualily re58ard)
initiatives that have the potenbal to improve outcomes for babies and familiès receiving n80llatal care.
While our direct financial inve5trn8rit in research has been limited, we have continued to actively 5UPPOrt a number
of important research projects through the contribution ol staff tim8, expertise and collaboration. During the year,
this included supporting the My Baby's Brain study and the Nell and the Neonat81 Unil prqect. helping to facilitate
research that aims to irnprove neonatsl care and the eXperien￿S of babies and their familie5.

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT AND STRATEGIC REPORT
(CONTINUED)
FOR THE YEAR ENDED 28 FEBRUAR Y 2026
Major Rlsk Factors of SSNAP
The Trustees maintain a register of the prinupal risk5 facing SSNAP, which is re￿eWed regularly at Board rneetings.
Appropriate controls and miligalion m8asures are In place lo manage these risks and are reviewed on an orTrgoing
basis.
Sustalnable Income ma￿ntainIng sufficienl income to meet the growing demand for our services remains
key strategic risk. The Trustees oontinue to balance prudent financial rnanagement with maximising the
impact of funds raised. Following several successful fundraising years. the Charily ha5 continued its
p13nned investment in enhanced farnity support servic85, Staff d6v8lopment, medical 8quipment and
organi5ational infrastructure. During the year. the receipt of a significant legacy further strengthen8d the
Ch8ritys ability to fund rnajor capital equipment and Improvements to the lleonatal unit, with investment
continuing
inio
2026127.
Information Go¥emanee and Data Securlty SSNAP is comTnitted to protecllng the personal information
of the families and supporter5 we work Mrith. Personal data is processed in accordance with applicable data
proiection legislation, with aceess restricted to authorised personnel and robust physical and electronic
security measures in place. During the year, the Charity eompleted the rnigration of its legacy databases
onto 8 single secure plattomi, significantly strengthening d8la security, governance and complian￿.
Staff and Volunteer W•lfare The Charity r8cognises the importance of protecting the wellbeing of its
employees and volunteers. Appropriate insurance is maintained for all staff and volunteers undertaking
SSNAP activities. During the year. the Charity also strengthened it5 organisational resiliellcg through the
review and update of HR policies and procedures and by increasing Ir8ining and professional d8velopment
opportunities
lor
staff.
Financial Management and Int¢mal Controls The Trustees maintain robust rinancial contro15 to
safeguard the Charity's asset5. Financial record5 are securely maintained, with appropriate segregation of
dutie5, dual aulhorisation requirements for payments and regular reconciliation of bank accounts. Financial
performan￿ is monitored throughout the year through regular managernenl reportino to th8 Board,
ensuring effective oversight of the Charity's financial wsition and resources.
Organisatlonal and Decislon.Maklng Structure
The Trustees are responsible for ensurlng that SSNAP is managed in accordance with its Articles of Association,
charitable objectives and all applicable legal and regulatory requirements.
The Board of Trustees. comprising the Trustees and the Charity Lead, meets at least four times each year to
overs8e the governance and strategic direction of the Charity. The Board considers funding applications, reviews
finanoal and operational perforrnan￿, arnd makes declslons relating to the govemance arml rnanagemenl of
SSNAP. All decisions are formally recorded In the minutes tsf Board meeting5. Where uryenl decisions are required
between scheduled meetings, the Chair or Treasurer may consult Trustees. or an appropriate sub-committee,
ectronically to 8nable timely decision-making.
Responsibility for the day-to-day managernenl ol the Charity, the delivery of its strategic objectives, fundraising, and
the iTnplementation ol Board deuslons is delegated to the Charity Lead, who works Close￿ with ihe Chair and
reports ￿gUlarlY to the Board.
In planning the Charity's actwities, the Trustees hav& had due regard to the Charity Cornrnission's guidanc8
public benefit.

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
TRUSTEES. REPORT (INCLUDING DIRECTORS, REPORT AND STRATEGIC REPORT
(CONTINUED)
FOR THE YEAR ENDED 28 FEBRUAR Y 2026
Strategic report
The Board has identified the following 5trateglc priorities for the Charity.. to expand and Strengthen our Famity Care
Team." to invest in b8reavemenl support and facilitie5", to collaborate effectively with partner organisations., to
strengthen engagement with our stakeholders.. to t8ke a more proactive approach to individual and corporate
fundraising., to diversify our incorne strearns,. to improve the way we measure our impact and g3ther feedback," and
to continue developing the ski115 and effectiveness ol our Board.
Thi5 year marked a significant period of transition for the Charity. Following the sudden and deeply sad death of our
much-loved Charity Lead, Martin Realey, Emily Byrne was formally app￿nted to the role. The Trustees a
extremely grateful to Emily for her leadeTship during thi5 challenging period.
The year also saw our long-￿t￿l￿g Chair, Kerri Knibbs, step back from Board dutie5. Kerri ha5 made an
outstandin9 contribution to SSNAP over rnany years, helpillg to shape the Charity and its support for thousands of
babies and families. Although no longer s8wing in an active governance role, she remains a valued 5UPPOrter and
amb8s5ador for the Charity. The Trustees would like lo pla￿ on record their stn08r8 thanks for h8r dedication,
corntnitment and rnany years of exceptional service.
Financial review
SSNAP raised incorn8 of £429,79712025'. £583,864) in the year and spent £413,67312025." £289,546) on charitable
actlvilies ol which £81,500 12025". £84,328) was expended on support costs. Expenditure on raising funds was
£139,392 12025.. £112.4671. 18rgety attributable to fundraising salaiies and costs of entry into fundraising events
such as tho Oxford Half Mar8thon. As at 28 F8bruary SSNAP had net assets of £231,66312025.' £354,931) ￿1C
comprised unreStr￿ted general income funds.
The deficit in the year was planned,and is18rgely a result of spending monles accounted for in the previous financial
y8ar. In 2025 we received notice tOW8rds the end of the year of a very large, unexpected leg8cy being left to
SSNAP of over £120,000 this was recognised in the 2024-25 accounts which resulted in the large SUr￿U$
declared. In the 2025126 year, when we actually recelved the funds, we have been pulling these funds to good use
in bringing sorne much-needed updates to the unil equipment and lacililies as OLJtlined above. We also in the year
received a second, smaller amount, which has facilitated some extra outlay on PTOj8Ct5 such as further unil
equiprnent and improving non-clinical area5 such as the n80natal corridor and the 'homeward bound. rooms, where
parents can spend 50m8 tirne in a bedroorn on the unit with their baby in preparation for discharge home.
Reserves Pollcy
SSNAP operates 8 reserves policy of retaining sufficient funds to cover operating costs and funding commitments
for 6 months. The bal8nce on unrestrlcted reserv8S as at year end totalled £231.663.
Public Benefft
The Dir8Ctor5 conlim that they have cornplied wlh the duty in Section 17151 of the 2011 Charftles Act to have due
regard to the guidance published by the Charity Commission. All our charitable activities focus on the objeclives
de8¢rlbed above and are undertaken to further our charitable purposes lor the public benefit.

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
TRUSTEES. REPORT (INCLUDING DIRECTORS, REPORT AND STRATEGIC REPORT)
(CONTINUED)
FOR THE YEAR ENDED 28 FEBRUAR Y 2026
Plans for future perlods
Over the coming year, SSNAP wll continue to build on its strong foundations, ensuring that larnilies of sid( and
premature babies 8t the John Radcliffe receive the highest level of prac¢J'cal and emots'onal support throughout their
neonatal journey.
A key prionty VMII be IL5rther investment in our Family Care Team, enabling us to increase the support available io
families both during their baby's hospital 5t8y and as they prepare lor life after discharge. We will also eontinue to
develop our Liltl8 SSNAPlings community groups. creating rnore opportunities for families to connect with others
who have shared similar experiences and helping ¢0 ￿￿￿ce th8 isolats'on that many parents experience following
neonatal care.
Working closely with Oxford Universlty Hospitals NHS Foundation Trust, we will continue to inv8$t in speaalist
equipment. staff training and projects that enhanee th8 neonatal environment. We remain committed to funding
items that improve dinical care while 81s0 creating welcorning, farnily-￿ntred spaces that support bonding,
wellbeing and recovery.
As a charity that receives no statutory funding, diversifying and Strengthening our income remains essential. We wll
continue to grow our community and corporate fundraising progr8mmes, develop new partnerships, increase
regular gwing and seek grant funding to ensure the long-term sustainability of our services. Alongside this. we wll
strengthen our impact measurement, enabling us to better demonstrate the difference OLJr work rnakes and ensure
that the voices of families continue to shape our future priorities.
Above all. SSNAP remains committed to its mission of supporting sick newborn babies. their pare¥Trts and those who
care for them. With the continued generosity ol our sUPPOrters, volunteers, NHS colleagues and wider cornmunity,
we look forward lo another year of making 8 meaningful difference lo families when they need il most.
structurei governance and manayement
The Trustees. who are also the directors for the purpose ol company 18w, and who served during the year and up to
the dale of signature of the financial statements were".
Mrs Laura Askew
Mrs Kerri Knlbbs
Mrs Nicky Boughton
Mr Drew Brown
Mr Luke Froude
Dr Ni¢holas Ives
Mr Alan Sowden
Mr Paul Vincent
Mrs Amy Lamb
Mr Mandeep Tumber
(Resigned 19 De￿rnber 20251
IR8signed 12 June 20251
(Resigned 12 January 20261
(Resigned 19 December 20251
SSNAP recruits trustees through a transparent and indusive process designed to allract individuals who are
committed to the charity's mission and values. Recruitment is oqrried out primarily through word of mouth, social
medi8 channels, and by contacts'ng our mailing list of existing supporters. This approach ensures that potellts'gl
trustees are familiar wth SSNAP'S work and are drawn from a network ol individuals who share an interest in
8upporting families with 5ic.k npwboms. All prospective trustees are provided with relevant information about the
charity and the responsibilitie5 of Irusleeship prior to appointrnenl.

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
TRUSTEES. REPORT {INCLUDING DIRECTORS. REPORT AND STRATEGIC REPORT)
(CONTINUED)
FOR THE YEAR ENDED 28 FEBRUAR Y 2026
The Trustees, report, including the strategic raport, was approved by the Board of Trustees.
AUA S-I¢A
MrAlan Sowden
Trustse
Mr Luke Froude
Trustee
Date.,
7 July 2026

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
STATEMENT OF TRUSTEES, RESPONSIBILITIES
FOR THE YEAR ENDED 28 FEBRUARY 2026
Th8 Trusteès. who are also the direetors ol Support for the Sid( Newbom and their Parents for the purpose of
company law, are responsible for preparing the Truste8s' Report and the financial statements in accordance with
applicable law and United Kingdom Accounting Standards (United Kingdom Generally Accepted Accounting
Pr8dicel.
Cornpany law requires the Tnjslees lo prepare financial statement5 for each finanei81 year which gwe 8 true and fair
view of the state ol alfairs of the Charity and of the incoming resources and application of resources, including thè
incom8 and expenditure. of the tharitable company for Ihal year.
In preparing these financi81 statement5, the Trustees are required to..
Select suilabPe accounting policies and then apply them cons15tently,'
observe the methods and principles in the Charities SORP.,
rnake judgernellts and eslimales that are reasonable and prudent.,
state whether applicable UK Accounting Stan(Jards have been followed, subiecl io any material departures
disclosed and explained in the fin8ncial statements,. and
prepare the financial staternellls on the going concem basis unless it is inappropriate lo p￿Sum& th8t the Charity
will continue in operation.
The Trustees are responsible for keeping adequate awounting r8cords that disclose with re8sonable accuracy al
any time the financial positlon of the Charily and enable them to ensure that th8 financial slat8ments comply with
the Cornpanies Act 2006. They 8r8 also responsible for safeguarding the assets of the Charity and hence for taking
reasonable steps for the prevention and detection of fraud and other irregularities.

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
I report to the Trustees on my examlnBtion of the financial stat9mÈnts of Support for the Sick Newbom and their
Parents Ilhe Gharityl lor the year ènded 28 February 2026.
Responsibilitlès and basls of report
As the Trustees of the Charity land also its directors for the purpose5 of company lawl, you are r85ponsible for the
pr8paration of th8 financial statem8nt5 in accordan￿ with the requirements of the Companies Act 2006.
Having satisfied myself that the financial slalements of the Charity a￿ not required to be audiled under Part 16 of
the Cornpanies Act 2006 and aTe eligible for independent 8xamination. I r8POrt in respecl of my examination of the
Charity5 fflnancial statements carried out under section 145 01 the Charities Act 2011. In carrying out my
examination I have followed the Dire¢tion5 given by the Charity Cornrnission under section 14515llbl ol the Charities
Act2011.
Independent exarninèr's statement
Since the Charity's gross Ineome exceeded £250.000, the independent examiner rnusl be a member of a body
list8d IN section 145 of the Charities Act 2011. 1 confirrn that l am qualified to undertake the examination becaus8 1
arn a member of the Insiitute of Chartered Accountsnts In England 8nd Wales, which is one of th8 listed bodies.
I have cornp18ted my examination. I confirm that no matters have corne to my attention in connedion wilh the
examination giving me cause to believe that in any rnaterial respect..
accounling records were not kept in respect of the Charity as required by section 386 of the Companies Act
2006.
the financial statements do not accord wth those records., or
the finandal statements do not comply wth the accounting requirements of section 3g6 of the Companies Act
2006 other Ihan any requirement that the financial ststements give a true and fair vi8w, which 15 not a matter
considered as part of an independent examination., or
the financial statements have not been PTepared in acwrdance with the method5 and principles of the
Statement of Recommended Practice for accounting alld ￿porting by charities 8pplicable to charits'es
preparing their finan￿8& Statements in accordance with the Financial Reporting Standard applicabk in the UK
and Republic of Ireland IFRS 1021.
I have no concems and have come across no olh8r matlers in connection wth the examinalion to which attention
should be drawn in this report in order to enable a proper understanding of the fin8ncial statement5 tts be reached.
Robert lfj'rt
CA
For and on behaw of
Gravita Audit Oxford LLP
First Floor, P8rk Central
4041 Park End Street
Oxford
OX1 1JD

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 28 FEBRUAR Y 2026
Unrestricted Restricted
fund5
funds
2026
2026
Totsl Unrestricted
funds
2025
Restricied
funds
2025
Total
2026
2025
Note5
Income from:
Donats'ons and gifts
Other trading activitlès
Investments
422,253
1,052
1,492
5,000
427,253
1,052
1,492
572,786
1,745
333
9,000
581,786
1,745
333
Total Income
424,797
5,000
429,797
574,864
9,000
583,864
Ex
ure on..
Raising funds
en
139.392
139,392
112,467
112.467
Chalilable activities
408,673
5,0(X)
413,673
280,546
9,000
289,546
Total exp•ndlture
548.065
5.000
553,065
393,013
9,000
402,013
Net lexpèndlturelllncome
for the yearl
Net movement in funds
1123,2681
1123,2681
181,851
181,851
Fund balaTh￿S at 1
March 2025
354,931
354.931
173.080
173,080
Fund balances at 28
February 2026
231,663
231,663
354,931
354.931
The statement of financial activities include5 all gains and losses recognised in the year. All income and expenditure
derive from continuing activitie5.
The statement of financial activities also complie5 Wlth the requirements lor an in¢ome and expenditure account
under the CompaniesAct 2006.

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
BALANCE SHEET
AS A T 28 FEBRUARY 2026
2026
Notes
2025
Currnht assets
Debtors
Cash at bank and in hand
11
19,210
235,648
166,426
231,741
Creditors: amounts lallln9 due wlthln
one ￿ar
254,858
398,167
12
123,1951
143,2361
N•t current ass•ts
231,663
354.931
The funds of the Charity
UnTestricted funds
14
231.663
354,931
231,663
354,931
The eorrpany is entitled to the exemption from the audit rèquirement wntained irTr secUon 477 of the Companies Act
2006, for the year ended 28 February 2026.
The directors acknowledge their responsibilities for Com￿y1￿g Mth the requirements of the Companies Act 2006
with respect to accounting records and the preparation of financial 5tat8ments.
The members have not required the company to obtain an audit of its financial 8tatements for the year in question in
8ccordanee with sech'on 476.
These financial staternents have been prepared in accordance with the provisions applicable to companies subject
to the small companies regirne.
The financial statements were approv8d by the Trustees on 7 Juty 2026
MrALgn Sowden
Trustee
Company registratlon number 7888187 (England and Wales)
10-

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 28 FEBRUARY 2026
2026
2025
Notes
Cash flows from operatlng activities
Cash generated from operations
17
2,415
73,706
Investlng activltle¥
Investment income received
1.492
333
Net cash genèrated from In￿$ting activitles
1.492
333
Net ea$h generatod from flnanclng a￿1vIlle$
Net Increase In cash and cash equlvalenls
3,907
74,039
Cash anrt cash equivalents at beginning of year
231,741
157,702
Cash and ¢ash equivalents at end of year
235.648
231,741

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 28 FEBRUAR Y 2026
Accounllng policies
Charlty Infomiation
Support lor the Sick Newb¢)rn and their Parents 15 a private company Ilmlted by guarantee incorporated In
England and Wales. The registered office is L8V812, The Wornen's C8nlre, John Radcliffe Hospital, Oxford,
OX3 9DU.
1.1 Accountlng ¢onventlon
The finanaal statements have been prepar8d In aceordance with the Charitys governing documenL the
Companies Act 2006, FRS 102 The Finan￿al Repo￿.n9 Standard applicable in the UK and Republic of
Ireland" I'FRS 102.1 and the Chariti85 SORP "Accounting and Reporting by Charities.. St8lement of
Recommend8d Practice applicable lo charities preparing their accounts in accordan￿ with the Finaniial
Reporting Standard applicable in the UK and Republic of Iroland IFRS 1021. (effective 1 January 20191. The
Charity is a Publlc Benefit Entity as defined by FRS 102.
The ffinancial statements are prepared in sterling, which is the funcbonal currency of the Charity. Monetary
amounts in Ihes8 financial statements are rounded to the nearest £.
1.2 Golng concern
At the time of approving the financial slalem8nls, the Trustees have a reasonable expectÈtson that the Charity
has adequate resources to continue in operats.onal existenc8 for the fofeseeab18 futu￿. Thus the TThstees
continue to adopl the going concern basis of accountsng in preparing the financial 5t8tements.
1.3 Accumulated Fund
The Charitys accumulated unrestricted fund consists of funds which the Charity rnay use for its purposes al
its discret￿on. Designated funds 8r8 unrestricted fund5 which have been designated for a specific purpose.
Restricted funds are funds which have been re*ricted for a specific txjrpose.
1.4 Income
Voluntary Income-
All donations 8re included in income upon certainty of receipl.
Donabons under gift aid, together with the assouated incom8 tax recovery, ar8 rècognised as income when
the donation is reeeived.
Grant5 are recognised as incorne when they are entitled to the income.
Covenant incorne has been categorised as fvndrBising.
Investment Income..
Credit is tsken lor Interest when tre Interest is due rather than when it is credited by the bank.
Annual Subscrlptlons
Subscriptions are included in income when they are received.
Legacl
Legacies are recognised on receipt or othe￿iSe rf the Charity has been notlfled of an impondlng distribution,
the amount is known. and receipt is expected. If the amount is not known. Ihe legacy is treated as
eontingent asset.
1.5 Exp•ndlture
ExpenditLJre is recognised on an accrual basis as a liability is incuNed. Expenditure include5 8ny value aild8d
tax and is reported as part of th8 expenditure to wh¢ch It relates..
Costs of generating fund5 relat8 to those costs incurred through fundr8i3ing actiwties.
12-

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUAR Y 2026
Aceounting pollcles
Icontlnuod)
Charitable expenditure comprises those costs inourred by the Charity in the delivery of its activities and
services for it5 beneficiaries. It includes both costs that can be allocated directly to such acts"vities and those
cosis ol an indirect nature necessary to support them.
Govern8nce costs include those costs associated with rneeling the constitutional and statutory requirements
of the chaTIty and include the audit fees and costs Ilnked to the strategic management of the Charity,
Support costs have been apportioned be￿en charrtable activities on the folJovAng basis, in accordance with
time Spent..
Farnily Support- 55%
Little SSNAPliNgs- 20°
Neonaial and non-rnedical equlpmènl- 25%
Equipment purchased for the Newborn Care unit
Equiptnenl purchases are recorded at the time the Board of SSNAP authorise5 the purchase and this is
communieated to the Unit.
1.6 Flnancial instrument5
The charitable eompany only has linanaal assets and financial liabilitie5 01 a kind that qualify 85 basic
fillancial instrument5.
Basic financial instruments are initially recognised gt transaction value and subsequently measured at ihelr
settlement value.
1.7 Debtors
other debtor5 are recognised at their transacti￿ value and prepayments are valued at the amount prepaid.
1.8 Creditors
C￿dItorS are recognised where the Charily has a present obligation resulting frorn a past event thal wll
probably result in the Iransler of funds to a third party and the arnount due to settle the obligats'on Can
measured or estimaied ￿lIablY.
Creditors and provisions are nomially recognised at their s8tUemenl amount after allowing for any trade
discounts due.
Crltlcal accountlng estlmat•s and Judgements
In the applicab'on of the Charity's accounting policies, the Truslees are required to make judgements,
estimates and assumptions about th8 Carrying amount of assets and liabilities that are ntst readily apparent
from olher sou[￿s. The estimates and a550ciated assurnptions are based on historical experience and other
factors that arp mn*ld8red lo be relevant. Actual results may differ from these e5tifflates.
The estimates and undedwng assurnptions are reviewed on an ongoing basis. Revisions to accounting
e5tirnates are recogmised in the period in which the estirnale is revised where the revision affects only that
period, or in the perlod of the revision ènd futur8 periods where the revision affects both current and futur8
periods.
The eslimale with the greatest impact on the accounts ￿S the rate of depreciation. There are no other
significantjudgements or estimates.
13

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUAR Y 2026
Income from donatlons and legacies
Unre5tr1cted R•strlcted
funds
funds
2026
2026
Total Unrestricted Restricted
funds
funds
2025
2025
Total
2026
2025
Donations and gifts
Legacies
397.253
25.000
5,000
402.253
25,000
444,930
127,856
9,000
453.930
127,856
422,253
5,000
427,253
572,786
9,000
581,786
Income from other tradlng actlvlil•s
Unrestrlcted Unr¢strlcted
fund5
funds
2026
2025
Other income
1,052
1,745
Raislng funds
UnrestTlcted Unr&stTlcted
funds
lunds
2026
2025
Other fundraising costs
Fundraising 581ariès
89,272
50.120
75,341
37,126
Total
139,392
112,467
14-

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUAR Y 2026
Charltable 4¢tivitles
Direct Costs Dlrect Costs
2026
2025
Neonatal Equipment
Famlly Support
Nurse Training
Little SSNAPliros
135,449
146,578
9,861
40,285
51,761
112,385
6,388
34,686
332,173
205,220
Share of Support cost8 Isee noie 71
Share ol governance costs (see note 71
67,948
13,552
78.563
5,763
413,673
289,546
Analysis by fund
Unrestricted funds
Restrfet8d funds
408,673
5,000
280,546
9,000
413,673
289,546
Support costs allocated to activities
2026
2025
Neonatal equiprnent
Family Support
Little SSNAPlings
Governance costs
16,987
37,372
13,589
13,552
19,641
43,209
15,713
5,763
81,500
84.326
Analysed between:
Ch8ritable actlvth'e8
81,500
84,326
2026
2025
Governance costs comprisg:
AGM Costs & Annual Review
Indepelldent examiner fee
Legal and professional
330
4,450
8,772
671
4,230
13,552
5,763
15

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY 2026
Trustèes
A totBI ol ENil was reimbursèd to trustee5 during the year12025.. £Nill.
A total of £170 was donated in the year by 2 Trustees12025.. £600 by 4 TTustee51.
Employees
Th8 8v8rage monthly number of employees during the year was..
2026
Numb•r
2025
Numbgr
Management and adrninistration support
Family care and other direct charitable acts'vitles
Fundraising
Total
Employment co$t$
2026
2025
Wages and 5818ries
S￿131 security
Pension costs
186,889
10,343
3,231
186,480
13,243
2,B04
2(X),463
202,527
An8lysed as follows..
Fundraising salaries
Family care sal8ri6S
Community group
M8n8gement and administration support
50,120
94,767
26.604
28,972
37,126
73,643
25.596
66,162
200,463
202,527
No directors received any remuneration OT reimbursement for any expenses.
The total receiv8d by key managernent personnel comprising total employ8e benefits induding employer'8
Nl was £77.63412025'. £66,6871.
16-

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY 2026
Employe•s
(Contlnued)
There We￿ no emtAoyees ￿0$9 8nnval remuner8bon was £60,000 or more.
10 Taxatlon
The charity is exempt from tax on incorne and gains falling within section 505 of th& Taxes Act 1988 or $8¢lion
252 of the Taxation of Chargeable G8insAcl 1992 Lo the extent that these are applied io its cl)aritable ot48Ct5.
11
Debtors
2028
2025
Amounts falllng due wlthln one year.
Other d8btors
Pr8payments and accrued income
127,856
38,570
19,210
19,210
166,426
12 Creditors.. amounts falling due wlthin one year
2026
2025
Trade creditors
Other creditors
Accruals and deferred incom
12,899
5,846
4,450
12,112
11,198
19,926
23.195
43,236
Al the balance Sheet date, pension contributions were owing totalling £1,26512025.. £1,270)
13 Re5tri¢ted funds
The restricted funds of the charity compri58 the unexpended balances of donations and grant5 heky on trust
subject to speryfic conditions by donors as to how they may be used.
At 1 March
2025
Incomlng
resources
Rèsources
At28
•XP8nded February 2026
Noll-medical
5,000
15,0001
Prèvlous year:
At 1 March
2024
Incoming
resources
Rosources
At28
exptrndedFebruary 2025
Litue SSNAPlings
9.000
19,0001
17

SUPPORT FOR THE SICK NEWBORN AND THEIR PARENTS
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUAR Y 2026
13 Restrld8d funds
Icontlnuedl
Little SSNAPlings are parent and b8byltoddler group8 for familles who hav8 spent tirne in th8 Neonatal unit.
These groups a￿ a place for farnilies who have eXperien￿d a difficutt start with their newborn, where they
can meet others who understand and have been there themselves.
14 UnYestTiCted fvnds
The unrgstrict8d funds ol the charity cornprise the unexpended balances of donattons and grants vthich are
not subject to specrfic conditions by dollofs and grantors as to how ihey may b8 used. These include
designated funds which have be8n set aside out of unrestricted funds by the trustees for specific purposes.
At 1 March
2025
Incoming
resources
Resource5
At28
expendedFebruary 2026
Gèneral funds
354,931
d24.797
1548,0651
231,663
Previou¥ y•ar'.
At l March
2024
Incoming
resources
Resources
At28
expgnded February 2025
General funds
173,080
574.864
1393,0131
354,931
15 Related party transactlons
There were no disclos8ble related party transactions during the year12025- none).
16 Members liability
The company is lirnit8d by guarantee and does not have sh8r8 cap￿81, the members undertake to contribute a
sum. not exceeding £1, to the assets of th& mmpany in th8 8vent ol the company being wound up.
17 Cash generated from operatlons
2026
2025
IDeficitysurplus for the year
1123,2681
181,851
Adjustments for-
Investmenl income reo)gni58d in statement of finan(#al activities
11,4921
13331
Movements In worklng capltal:
Decfeasellin(yeasel in debtors
IDecrea5eyincre8s8 in crediiors
147,216
120,0411
1138.6751
30,863
Cash generated from operatlons
2,415
73.706
18