Chaflly Regislrallon No. 1148956
YOUR KIDS AROUND THE WORLD
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED31 OCTOBER 2026

Your Kids Around The World- for the year ended 31 October 2025
LEGAL AND ADMINISTRATIVE INFORMATION
Trustees
Current
Mrs M L Loveley Ichairl
Mr D R Bu118rs
Mrs S M 8ooker
Mrs C L Dodds
MrsLCNg
Mr C J Paintei
Reslgned In year
Mrs K Dolan121 May 20251
Charlty Number
1148956
Company Number
08112847
Princlpal Addre88
763 Chesterfield Road
Sheffteld
South Yoikshire
S8 OSP
Regl$tered OffS¢e
763 Chesterfield Road
Sheffield
South Yorkshi
S8 OSP
Independent Examlner
LindrickAccountancy S8rvic88 Ltd
205 Oulgang Lane
Dinninglon
S25 3QY
Page20113

Your Kids Around The World- for the year ended 31 October 2025
CONTENTS
Page
Tru$tees' Report
Indep8ndent examirftrfs report
Statement of financial activities
Balan￿ sheet
Notes to the financial slaternents
10-13
Page3of13

Your Kids Around The World- for the year ended 31 October 2025
TRUSTEES. REPORT IINCLUDING DIRECTORS. REPORTI
The trustees piesenl their report and aeoounts for the yearended 31st October 2025
Introductlon
12 YEARS OP
Your Kids Arwnd The Wodd has now completed our 13th year as a charity. sin￿ il
was sel up in 2012. the charily has provided funds to a number of organisalions to
support some ol the world's poorest. and most al risk children. Our remit is simple- lo
raise funds from ovr small base in Sheffield, and to give to Iru51ed partner
organisalions to carry out the work ol fighting for a beller fulure lor ¢hildien in difficult
¢ircumslan¢es. Today. we currently Support 9 Ofganisalions working in The
Philippines, China, Zambia, Kenya, Uganda. Romania. Pakistan and the UK. We are
so grateful for the partnerships we h&ve and the 8UPPOrt that Ihey all skK>W to the
children they care for.
Con5titutlon
The charity is incorporated as a private limited company and is limited by guarantee. The company was incorporated
on 20 June 2012 and adopted its Mernoiandum And Articles (Governing DocuTnentl on the 5arne day.
Trustees
The Trustee Board is made up of 6 people currently. Michelle Loveley remains as Chairperson. Dillon Butlers had
been serwng as Depuly Chair for one year, which finished in June 2025. He omain5 an aolive board member as well
as hèlping wtth Maintenan￿ and being a key holdèr for the shop. Colin Painter joined as Treasurer in the previous
financial year and continues to le8d on the finances. Laura Ng remain8 as medi8 secretsry. 8nd Suzanne BoDker and
Caroline Dodds remain as ordinary board members with 8hop and management experience. We are keen lo bring on
anolher board member with event experience lo help broaden our income slreams.
New trustees are recruit@d by the existing board based on the skills and experience required to fill identified gaps.
Potential candidates a￿ interviewed by the existi￿ Iruslees and if suitable a￿ appointed at a board meeling.
In August 2025, michel￿ M5iled InlemalK)nal China Concern in Changsha,
China. A ￿sidentIal 3 day summer camp was held for children with disabilities
from local families. This 9ave the parents a s￿rt time ol rest and the child￿ n
had a great experien￿ doing lols oldifferent activities throughout the 3 days.
This was staffed by ICC volunteers. stall and other volunteers. We also visited
the other projects ICC run in the city. It was great to see the different projects
and how mu¢h their support is valued by th& familie$ they work with We hav8
regular ¢onlact wlh our charities, through email, video ¢all$ and visit$ wherever
possible and we try lo visit 81 least one project per year. This helps us lo build
on our ielation8hip, and also help8 U5 monitor our input and check 58feguaiding
practice and fund distiibulion.
Public Benefit
The Trustees have complied with their duty to have due regard to the guidance on public benefit published by the
Charity Commission exerclsing their powers and duties. The Trustees ensure that Ihe aims and aclivitSes of Your
Kid5 Around The World ale in line with its purpose to alleviate poverty In variou5 countries around the worfd by
providing granls. items and servi￿$ lo individuals or ¢harities or other organisalions. Dufing trÈ year the charity has
delivered this by making grants to charitable organisalions who alleviate poverty in the UK around the world.
Staff & Volunteers
R￿wan3 Continues lo be our Shop Manager. with Alice and Janine working as Assistant Managers. Rizwan8 works 5
days a week. Alice 4.5 and Janine 2 days perweek. We are so Ihanklul for their very hard work in organising the
bad( areas and getting stock prI￿d and out on the shop floor really Quickly as well as managing our volunteer team
in the shop. They work very we118s a staff team and work very well with our volunteer team too. This yearwe have
had an average of 14 volunteers working with us throughout the yeai. We've had a lew ol our long lertn volunlee15
needing to take lime off due to sickness or family situatlons. bul we are so grateful lorthe time, energy and hard worf(
Page40113

Your Kids Around The Wodd- for the year ended 31 October 2025
everybody puts into their shifts at the shop. We do need to rewit more volunteers as our long servSng volunteers are
getting older and are wanting to do less understandably. We have had a little success wth advertising lor volunteers
but a lol reply lo the advert but never make il into the shop. We wntinue to do placements for Duke ol Edinburgh and
work experience students. vthich gives u8 short term help.
We had a volunteer thank you meal in September where we gathered for a delicious ltslian meal at one of our lo&ql
stauiants. We appreciate our 51aff and volunle8rs 80 much and this is ju818 8m811 way for us to say thank you. It
al50 gives Ihern all a chance to meet each other as everybody woths different days 80 doesn't always get the chanr
for a chal during Ihe week. It's a wond8rful group ofpeople who 811 share in our common goal of caring and striving
for a betlerfulure for children young people. We have a nurnbei of volunte8rs that do home based ioks, like
paGking baby Glothe5, and olhers that help with oui sales and Co1￿ctionS and we are so thankful to everybL¥Jy who
helps us throughout Ihe year.
Income
The maiodty ol our Income continues to cune trom the shop ilseif. We have done a car bool sale. as wdl a5 3 other
elolheg Sales throughout year. These have been well atiended and have helped us move old stock kvhilsl making
some money as well. The price of rags is terribly low $0 we have tried to sell old
$lock Cheaply as we still get more for the items than we woukd in the rag bags. This
also helps local families who may be struggling for good qualily clothes for adults
and children as well.
Vve have conlinued to Sell items on Vinled and have increased our Ebay presence
this year with good results. We plan to continue the88 r8venue streams and train
volunteers to hdp with the rnanagement of our presence on these platfornis so
they becotne a Sustainable source of incom8 for the charity.
The start ol this financial yearwas very hard and taking5 were down on the
p￿ViouS year. This has had an impact on what we have been able to give to our
partners this year ¥vhiGh you wll see in the fin3ncrd15 following thi5 report but, we
did recover during the year and ended the year closer to our previous years
takings. With small price increases and maiketing items using So￿al media.
income has increased through the year Sadly, our overhead$ keep on rising. with
incx8ase8 ￿ the minimum wage and energy bills having an effect on what funding
we have available to alloc81e.
stock
We ale so grateful foi our geneiou5 donots who keep on givin9 their unwanted goods for us to $811. We hav8 found
the quality of donations continues to be a problem at tKne5 as people sell foi themselve5 on the online platforrns but
we have had some lovely quality iterns which w8 have be8n able to Sell for a good price.
The out of season stod( is ¥Aell organised upstairs, and the stock which is stored ready loi sales gets 50rted every
couple ol months. The upstairs storage is invaluable and we don't really know how we managed wilhoul itl We are
grateful to be able to lake electrical rtems which gel PAT tested and checked by one of our trained volunteer5 before
going out lor Sa￿ il they a￿ suitable. We also Continue lo have our ￿lled40n driver who goes out once a month to
CO1￿¢( from people's houses. We are very grateful lor his time and effort. This has been going lor a couple of years
now and it is a great service lo be able to offer and brings in a significant wnount ofdonatKJn$ on collection days. We
plan to continue this lor as long a$ our driver is willing to do il for us.
We still send cartons of lo The Philippines 3 limes a ye8r. Usually 9-12 boxes ofchiklren's toys, clothes. books,
sho85 and baby supplies g8t packed up. collected and sent. They go by boat 80 they take a few months to get there.
but they really help the charities replenish old or outgrown clothes and provide new
toys Ifoolballs and dolls are always appreciatedll. Other it8rns get sent to Albania or
Ukiaine through our partnei Albaniaid.
We have a good relationship wilh our lag servits, they now come wth an empty
van 50 any Stock Ihal we can't sell, or old stock that hasn't 501d, induding bric-a-brac
and books. gets whisked offto be ￿CYcled and we get a srnall amount of tnoney per
Donatlons & Glving
Apart from the items that we send out directly to partners. our main goal is to provide
funds for the partners lo rarry out their missions safely and lo proV￿e well for the
children they support. It is important lo us that st8ff are trained and paid well enough
ror th8 org8ni88tion to have a good ietention rate for staff, as well as making sure
children are fed and clothed p￿perfy. Il's always nice to see a project compleled,
like a building, bul the fact remains that without the correct people in place.
children's welfaie may be compromised and this is of high value to Us 88 8
organi8alion. So, many times there are no great markeling opportunities for us with
photos ol completed pioieG15, as we fund the basics lor these organisalions to give the children the stability that they
need as they grow.
Please see the followin9 report for our financials for this year.
Page 5 of 13

Your Kids Around The World- for the year ended 31 October 2025
Reserve Fund
The reserve fund iemained intact this yearwilh 3 monlhs of costs pul aside as required. £250 a month went into the
reserves due lo increased costs to build the fund slowly without affecting our operations. At 31 October 2025 il was
calculated that a reserve fund ol ￿3,000 was required to cover 3 Months of costs and that the ¢harily had suffic4ent
reserves in place.
Challenges and Future Plans
The shop continues lo do well, despite the rising cost ol operat￿n$. Theo 15 a challenge lo keep our giwng al the
cuirent levels whilst e081s are rising.
Vve are looking to other avenues of selling stock ar￿ fundraising to rneel these in¢￿ased costs bul it 15 ffustrating
that the extra work this invofves only really cover8 the extra ¢osls rather than providing extra funds for ourwork.
We do not have anyone in pla￿ that can organise large fundraising events and we would really like to get someone
on board who can do this
We have looked into 8 Second shop for a number ol years, bul as costs increase and volunteets ￿e￿aSe thi$
becomes a MO￿ challenging 18sk.
We will continue lo try to recruit new volunteers10¢8lly lo help at the shop.
We will continue lo build on our relationships with Ihe organisations we support. and do in person vbits where
possible lo rnonitor use of funds. safeguarding and how the oryanisat￿n works. These vi$ils are also very useful in
gaining stories of meaningful change and some of the beneficiaries of the funds we send thich we ¢8n relay back to
our supporters.
Thank you lo everyone who continues lo support us. whetherthat is through volunteering, raising funds, donating
items orshopping with us.
Basls of preparatlon
The accounts have been prepared in accordance with Ihe accounting policies sel out in note 1 to the accounts and
cornply with the charity's Memorandum and Artseles ofAsso¢ialion and'A¢counling and Reportiro by Charities..
Statement ol Re¢ornmended Pradice applicable to charities preparing their accounts in accordan￿ with the
Fin8nryal Reporting Standard applicable in the UK and Republic ol lrtland IFRS 1021 leffeclive 1 January 20151..
The Tiustees reportwas approved by the B08rd of Trustees on .
and signed on their behalf by..
Chair olTrustees
Page60113

Your Kids Around The World - for the year ended 31 October 2025
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF YOUR KIDS AROUND THE WORLD
I report to ihe trustees on my examination of Ihe financial statements of Your Kids Around The World (the charilyl for
the year ended 31 October 2025 which are set out on pages 8 to 12.
Rosponslblllths and basls of mport
As the Irustees of the charity land also its directors for the purposes of company lawl you are responsible for the
preparation of financial statements in accordance with the requirements of the Companies Act 2008 {the 2006 Acil.
Having satisfied mysellthat Ihe finanaal statements of the charily are not required to be audlted under Part 16 of the
2006 Act and are eligible for independent examination. I report in respect of my examination of the charity's financial
slalemenl ¢aTried OLJt undei section 145 of Ihe Charities Act of 2011 (the 2011 Acll. In carrying out my examinatitsn I
havtr followèd all the applicable directions given by thè CharSty Commlsslon under section 14515}Ibl of the 2011 Act.
Ind•pondont èxamlnarfs statement
I have comp16ted my examination. I conffirm that no matters have come to my attention in connection with the
examination giving me cause to believe that in any material respect..
accounting records were not kept in respect of the charily as reqLSiTed by section 386 of the 2006 Act,. or
th& financial Statement do not accord with those records,. or
the financi8181alernents do not ¢omply with tho accounting roquiremenls of se¢lion 396 of the 2006 Acl other
Ihan any requirem8nt that th8 accounts give a true and fair vitsw which is not a matter considèred as part of an
independfjnl examination.. or
the fin8nci81 slaltrm8nls have not been prepared in accofdance with methods and principals of the Sialement
of Recornmended Practice for aecounling and reportiThJ by eharities applicable to charities preparing their
accounls in a¢cord8n¢e wtlh the Flnanclal Reporting Standard 8ppllcable in the UK and Republic of IrelaThJ {FRS
1021.
I have no concems and have come across no other mattèrs in eonnectlon wlth thè axamination to which attention
should be drawn in this report in ordei to en8ble a proper understanding of the fin8naal statements tts be reached.
John Waining FCA
Lindrick Accountancy Services Ltd
205 Outgang Lane
Dinnington
S25 3QY
Page 7of13

Your Kids Around The INortd- for the year ended 31 October 2025
STATEMENT OF FINANCIAL ACTIVITIES
Unrestrltted De51gnated Restricted
funds
fund5
funds
2025
Total
2024
Tol81
Income
Donation5 and legacie5
Other trading aclivilies
Other income
Total In¢ome and endowments
12.861
157,879
577
171 117
680
13,341
157.879
577
171.797
22, 754
158,5Q3
536
181.793
680
Expenses
Costs of generating funds
Charitable donations
Olhei charitable expenditure
Total Expenditure
1,247
68.231
90.520
157 998
1,247
66,771
90,520
158538
1,341
88,955
87,336
1/6832
540
540
Nel Income before transfers
Gross transfers between funds
13,119
127.0841
113.9651
140
13,259
4,*1
27,084
27,084
Nel d&fiutlincome for the year
140
13.269
Fur￿ balan￿ al 1 Novembei
2024
Fund balances at 31 October
2026
43.533
43,553
38,592
29.568
27,084
160
66,812
43,553
This statement of financial actiwt￿s includes all galns and k)sses recognised in the year. All income and expenditure
derwe from conts'nuing activrties.
P8g&8of13

Your Kids Around The World- for the year ended 31 October 2025
BALANCE SHEET AT 31110125
Notes
2025
2024
FIXED ASSETS
Tangible Assels
278
598
CURRENT ASSETS
Debtois (amounts falling due within one yearl
Cash at bank and in hand
5,998
5.818
S7,￿4
44. 130
Credltors.. amounts falling due within one year
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT LIABILITIES
1.￿0
56 534
42,955
Represented By
Income Fund$
Unreslricted funds
Designated funds
Restricted funds
29,568
27,084
160
56.812
43,533
2Q
For the year ending 3111012025 th8 company Vfds entitled to exernption under Section 477 olthe Companles Act 20C6
relating to small cornpanies.
The members have not ￿quired the (x)mp8ny to oblsin an audit in arwrdarKe with section 476 of the CoMpan￿S Act
2006.
The ttustees acknowledge their ￿SPonsibl11t1es for ensuring the tharity keep8 ac¢ounting records hvhich comply wlh
Section 386 of the Act and for pieparing financial 51atemenls which give 8 true and fair view of the slate ol affairs ol
the company as at th8 end of the financial y88r and of 118 incoming resources and application ol resour￿$, including
its income and expendilure, for the fin8ncial year in accord8nce with the requirerrenls of sections 394 and 395 and
which otherwise comply Nwith the requirements of the Companies Act 2006 relating to financial slalemenls, so far as
applicable to the company.
These finan¢lal statements have been prepared in accordancè with the provisions 8pplicable to companies subject to
the small ¢ompanies regime.
Approved by the board of trustees on .
and sioned on their b8h8lf by..
N. L. LcvL."Lel
Trustee
Page 90113

Your Kids Around The World - for the year ended 31 O¢lober 2025
NOTES TO THE ACCOUNTS
1. ACCOUNTING POLICIES
la. Ba818 Of A¢¢ountlng
The accounts have been prepared under the historical ¢ost convention.
The 8ccounl8 have been prepaffd in a¢cordan¢e wlh FRS102 - The Finan￿￿ Reporting Standard applicable in the
UK and Republic of Ireland 8nd Ihe Companies Act 2006 and Ihe requirements of the Statement of Recommended
Practice, Accounting 8nd Reporting by Charities.
1b. Incoming Resources
All incoming resources are included on the Statement ol Financial A¢lNlties when the charily is legally entitled to the
incorne and the amount can b8 quantified wth reasonable a¢¢uracy.
1¢. Resource5 Expended
Expenditure is accounted for on an acciuals basis and hss been c188slf￿d under headings that aggregate all cost
related to the Category. Whert costs cannot be directly attributed to particular headings Ihey have been allocated to
activities on a basis ¢onsislenlwilh the use of resour￿￿.
1d. Allocatlon And Apportlonment Of Costs
All cosls rdate lo Ihe single activity olthe charitable 0)mp￿Y and are recogntsed aceor(Singly.
le. Fund Accountlng
Unre8lricted funds can be u8ed in ac¢ordan¢e with the Charitable obitrob"ve5 at the discretion of the trustees.
Restricted funds can (Mly be used for particular re51rictsd purposes within Ihe obje¢ts ol Ihe Charity. Restrictions
arise when specified by the donor orwhen funds are raised for particular restrieled purposes.
Designated lunds are lunds sel aside by the trustees out of unrestricted general funds for Ihe specffic future
purposes or proie¢ts.
1f. Dep￿Clat40￿
Depreciation has been provided al the following rates in order to write off the assets over their e5tima18d useful lives.
Fixtures and Fittings
Computer equipment
5 years
3 years
lg. Turnover
Tuinover reP￿sents the rec8ipied value of goods SO￿ by the Company, net olvalue added lax.
Page 10of13

Your Kids Around The Wofld - for the year ended 31 October 2025
2. TANGIBLE FIXED ASSETS
Computer
equiprnent
Fixtures
and
Fittings
Total
Co¥t
At01111124
Addition8
Disposals
Al 31110r25
6,751
6.751
417
417
417
7,168
Dapreclatlon
Al 01111124
Disposals
For the year
At 31110125
6,153
6,153
139
139
598
6,751
737
Net Book Amounts
At 31110125
AI 31/10124
278
278
598
598
3. DE8TORS
2025
2024
Arnounts falling due w6thin ong year..
VAT
Prepayments and a¢cwed Income
317
5,681
5,998
269
5.549
4. CASH AT BANK AND IN HANO
2025
2024
Cash in hand
Current account
Savings aceount
59
23.820
yoo
74, 128
51.536
38,312
5. CREDITORS
2025
2024
Amounts falling due wiihin one year..
Tradè Creditors
Accruals
409
766
1,0(K)
I,(X)O
6. DESIGNATED AND RESTRICTED FUNOS
D8slgnthtsd
fund
Restrkted
fund I
Restrl¢t
fund 2
2025
2024
Opening baLgn¢
20
Grants received
540
880
6.253
Grants paid
15401
15401
16.2331
Transfer from unre81rict8d funds
27.064
27,084
Closing b8lane8
27.064
20
140
27,244
Designated lund relates lo reserves agreed by Members 81 the Annual General Meeting lo be set 8side in line with
the Resetves Policy. The restricted funds relates to money received fe81ricted lo be passed on lo specific
Individuals or inslilulions.
Page11 of13

YOUT Kids Around The VVoTld- for the year ended 31 October 2025
7. GRANTS PAYABLE
The total grants paid during the yearwas as follow8..
2025
2024
iv8 Ministrie$
C8ring in Crisis Afrra
Helping Hands, Healing Hearts
International China Con￿rn
Justice and Care
Links Inlemalion81 (Student support for university lees)
Little Vol￿S Elementary School
One by One
Philippine Outreach Centre Ministries
Safe Families
3,525
9,000
10,500
8,500
5,000
3,587
3,800
8,000
11.859
3.000
66,771
6,000
13,500
14,425
9,5QO
6,8CIO
3,575
8,410
I,ooo
14,920
8. LIMITED BY GUARANTEE
The directors have each guaranteed to pay £10 each in the event of the wmpany being wound up.
9. TRUSTEES, REMUNERATION AND BENEFITS
There were no trustees, remuneration or other benefits for the year ended 31 Ootobei 2025 nor foi the year ended
31 October 2024.
Trust8es' expenses
There were no trustees, expenses paKJ for the year ended 31 October 2025 nor for the year ended 31 O¢lober 2024.
10. STAFF COSTS
The average number of employees during the yearwas a5 folbws..
2026
2024
Shop managers
No employees ￿￿￿ed emoluments in ex￿&$ of£60,000.
Gross Wages
Pensions
51,803
622
48,419
554
11. NET INCOMEIIEXPENDITUREI
2025
2024
Depreciation
Independent examiners fees
Property lease costs
Charitable donations
738
600
19,340
66,771
689
1,310
t8,538
12. OPERATING LEASE COMMITMENTS
2025
2024
Annual obligations underoperaling leases
ending..
Belween two and five y88r8
Page 12of13

Your Kids Around The World - for the year ended 31 October 2025
INCOMING RESOURCES
Incomlng resour¢e$
2026
2024
Monelary Donations
Restricted Donations
Gift Aid
Shop Inc£KMe
Online Sales
Bank CashbaL4t
Bank Interest Received
3,126
680
3.625
6.253
9,535
155.￿1
1,918
72,876
758, 106
395
573
537
167.991
171 915
171 797
EXPENSES
2025
2024
Charltsble Actlvltles
Depreciation of fKKed assels
Direct Expenses
Advertising
Gifts to Volunteers
Entertaintnent
Rale5 and Water
Insuran
Heal and Lighl
Rent
Repairs and Renewals
Health and Safely Costs
Wages
Pensions
Telephone
Sub8criplions
Bank Chaig88
Sundry Expenses
Grants to In8tilulions
738
1.247
167
562
540
1,169
4.009
2,955
19,340
888
215
S1,8￿3
622
491
1,777
1,fj94
1,374
66,771
689
1,341
320
474
421
958
2,740
2.705
18,538
653
527
48,419
554
463
861
1,431
1,013
88,155
Governance C05t5
stationery & Offi(E Supplie5
Accountancy Fee5
Professional Fees
1,515
800
60
2,348
1,370
2,914
2.175
6,570
Total Expendlture
158538
176,832
Analysls of expenditure by lund
Unrestricted funds
Restricted funds
157,998
540
158538
170,599
6,233
176 832
This page d￿$ not form part ofthe statutory finan(ial statements
Page 130113