MP
NY
IMIT
YEAR ENDEO 31 DECEMBER 2020
ny Registrotlcm No: 08a39369
egtslwed Chjrity N￿. I 153393
GIVE Ir FORWARD TODAY
(A Cofflpcxry Urted by Guuartte•)
AND ACCQUNTS
YEAR ENDED 31 DECEM8ER 2020

GlYE.Iltoiiw￿￿_IQ￿A.1
Trustees:
Robbl N Schlff
Mr H Jackson
Mr N Blotr
Mr H Taib
L E Moshol- oppointed 0110112021
Charity iegislrotion number:
1153393
Company regislrotion number:
08439369
Correspondence address:
379 Hendon Woy
Hend(
Lonéon
NW4 3LP
AudIt￿.
Goldwlns Llmlled
75 Maygrove Road
West Hompsleod
London NW6 2EG

Report of the Trustees
4-12
Report of the Independent Auditor
13-16
Statement of Financial Activities
17
Balance Sheet
18
Statement of Cash Flow
19
Notes to the Flnancial Statements
20-27

The Truslees, who afe 0￿0 cjiipLloTs of Ihe chopty lor Ihe purposes ol tne Companies
Ac+ 2CK)6, Pe5en• the>r report wilh 'he linonciol slo emenls ol the charity for Ihe yeor
ended 31 December 2020. Thei Irvslees have odoplea Ihe oiovi5ions ol the Slalemenl
ol Recommen¢Yed Pruclice ISORPI 'Accounling ond Reporling by Charilies, FRS 102.
TRUSTEES
The Tiuslge5 who held office dlrring Ine period were os lollows..
Rabbi N Scrvlf
Mr H Jockson
Mi N 810ir
Mr H Toib
GIFf's MISSION AND VISION
GIFf' s educotlon progrommes an(J sessions ond vdunleer opporlunilies ￿e creolive.
innovolive, educalionol and Powerlbl. T￿eY are deSi￿e￿ lo posillvely eltect o givirvJ
nNnd-5el. A5 0 fe5uII, a wlde fon9e ol ai50dvontaged Individua15 and lomikes in Ihe
Jewish cornmunily ale supp(xted IDfough voiious services.
GIFf 15 a unlque char,ty wilnin I￿.e wide range ol Jewish coniniunoi chaplies. being
Ihe only one ot it5 kina commilled to •ducafing about lh• kncf•d1t￿• trnportanc• and
vqlue of Ilvlrjg a Mf• of glvlrw. GIFT ts the community's answer lo o don9efOUS and
growing level ol opolhy am(Mgst young people as technology widens Ihe gap
between human Inlprach"on. caring for otheis seelng o need and toking POSiiive
aclion lo help 8y clelaull. GIFT. 5 5ucce55 effects rnany Jewish chafilies anci likely some
non-jewish cborilies by ocling os o conduit lo swlching on the mind-set reqvired lo
make a difference lo local comrnunilies ond the wider w￿ld.
Bv exploring Ihe ideas and motivolbns behind giving and by providing volunteering
opportunities lo support peoole in need GIFT is slrenglhening ond deepening ihe
cullufe ol giving in oll areos cl OknT slvdenls ond beneficiarles, live5. building 5ryid ond
sustainoble tourKJolions lor fu14ire generalions ol giveis. engaging Ihousonds ol
young people ,'n eavcotional rAogrammes and volunleering oclivilies.
GIFT'S demogfcphic reocn exlends trom PTlrnory and %econcJory schools to 611.. lorm
and univeisilies. and wilh youth govps. yovng prolessFonals and adulls.
PRINCIPAL ACTIVITIES
G•v8 11 Forward Today IGIFTI 15 a Lr)mpany limited by gijaionlee ond o regislevea
choiity. GIFT is govefneol by the Memoiondum ond Articles incorporoled I l Moreh
2013 as amended by spec cl resolulion regislefed al Comporries House on 19 Jvlv

GIVE IT FORWARD TODAY
NY
Aft
YEAR ENOED 31 DecEM8ER 2020
2013.
GIFf'5 oJrp05e 1S to educale oll pepple, primorlly the y￿th. lo develop iryeir
allilude5 and behavioui lowards grrfing.. incts'.caling o cuIr￿e o19lwing and
volvnleemg orrongsl young people In Ihe commwwty oncl beyoncj.
One ol Ihe PTlmaiy ways io dewel.op a gving mind5el 15 to gel peop',e Involved
+heir comrrdnity GIFT has developed o number of plolform51o enobie people of dl
ages lo became aLllve meniber5 01 S¢Xiety. Volynleering is o very impoflonl cog >n
Ihol wheel on(J GIFT has o riumber ol volunteering opportunllies availoble l(Y
people to engoge in.
COVIO.I? RESPONse
[￿1￿)g Ihe fin￿CIal period Ihe Charily h05 5vccesslully init￿ted o nombw of
compc&gns ond iniliclives that were in response Its Ihe oulbfeak ol Covit$19 aunng
March 2020 wtiilst niaintoining our core oclivities:
Eavcalionol and practical glving initialives partneriry with more thon ICO
communof organ1501ions. schools and groups lo piomole Ihe Sdeals 01
volvnleeTing ond giving.
Working. includlng with olher wellore agences. lo tKovide 5upporl to people
in need ond lo idenlify how they con be a55i5ted.
OViClirTrg ovei I d,500 lood packagei ond olher 055iStance lo those in need.
inclucfjng %olaled ond eklerty IndSviduoIs. single poreDI lorrilies cmd olhe
expenencing Irowno and di51re55.
Providing over l J, IIX cal•r•d m•als lof Ihose in need and vulnerable.
Answerlng of urg•nl r•quests for shopping ond prescrlplions,
Online Tul￿1Thg club lof OV•f %lud•nts V•ho needed exlra help due lo lack
ol sclxxsing. AU yeof 11 + SI￿dents.
Collection ol donated non-p•rfshoble lood hom GIFT Boxes locoled in k¢xlier
lood oullets.
Orgonislng volunleers 10 helo lomilies and individuols in need Ihrovgh Ihe
provision ol piacliccl assislonce through Ihe Helping Hano progrommes.
Foclllol";ng inilialives lof yOLJng volupleers Io SiJPL)¢)rt a wlde range of Ch￿Ille$
ol Iheii choice.

Iv
MP
roinolion ol the Irep Inlakc. oiid dis11 Ibvlion Ll voiiovs good5- ov•r £47.000
dlstrlbuled . over 90'ao'ops XJ bicycles. hvndreds ol bogs o, toys lo needy
lam.,Iie5.
Enatsling thousands of school kids lo wri'e lo caie home residents fesulling In
over 12.400 cards belng willl•n,
A5 011 Ihings eaucolionol moved orvine. GIFT responded Oopfopdolely.
-GIFT deliverett ovw 700 onlln• class•1 _ otlen Qiull':ple n one doy lo oll dilleienl
demogrophics.
-&'gn Soiiguoge CO￿58$. philosophy ol Giving ond rr.ony other COU15es were Iou9hl to
over unlqve partklpant5.
.Young GIFT conlinve(J ond hou already monoged lo h(]ve ap evenl giving paccs 19
the homele55 belore loc<down was ir,51iltsled.
-GIFI In THE CITY divtsion dso continued onlbne wilh lunchtime 5e55ions being well
oltpnded.
COMMUNITY IESPONSE TO GIFT
Tfusiees are dtsli4hled Wilh 11)e level of support and goodwill Ihol GIFT'S educational
progromme5 ond voltsnleeiirbg inilialives generate Ifom Ihp comm(Jnily in lew5 01
hou15. donoleo lood ond Olhei ilems Ihul ore used lo help families ,n nped. vlFT's
w(yk conl nups to goin o high degrpe ol fe-
-ognihon and Irustees ore veTV plea5ea
wilh Ihe nfjrrber ol sch.ools and communal otganisalions Ihcl aclively seek oul Giv
lo work wilh. ALCOfdsngly. 'rusleos orp weiy 50tisl.ed wilh Ihe progress made in Ihe
nanciol yeor.

IT
CE
BER
Whilsl GIFf 5 oredominonl churitoble object 15 lo locus on inspiring giving. GIFT'S
benefiC'.aries ore Placed i.n exlfernely h5gh fegafd ond Ib.e GIFT learp wotk tiielessly lo
ensure Ihol ol all lime5. confidenliolily ond discretion is well mainloined. The leom are
troined to ensure o non-lu¢Jgemenld atlitude where oll individb'ols and recipient5 ore
concerned. Mony recipient5 suffer wilh mental heolth cliolenges. financial problems,
physical disooilifi'es ap.d leaming difficultie5. creating very trying circumstonce5. Gl
holds the benelicitiries ot its service5 in high regar¢J ond lake5 recipien15' leeling5 inlo
senous c￿￿deratIon when Fyoviding witoble plollofms fof GIFf'5 volun+eer5,
The comtsnalion ol educalion an¢J sociol octlon volunleering is uThque lo GIFT. ond
thousonds ol people receive rjwect and otten life-chongK)g help Ihrough Ihe
volunl(yy ossislance Ihot oui grvefs provide. Examples ol GIFT nitiolives InC￿￿e our
He ping Hand project families. includlr,g home b.elp and lutoring support t*
thodvontoged school chi,'dien. befriending the gck. elderly ond soctally i5cAaled ond
collecling. pocking ond dislribuh'ng aver 16.770 lood and support packog•* lo
I)P￿ In need eV￿y y•ar.
GIFT Headllne Flgures 2020
Unlqy• pty1k1p￿t)￿¥ al •duct7knr+
84
2241
17140
Giif •¥w 100 Khoob ￿K1
Nlh
NIA
Totrl n? ol Educ+ykn
r65
37
420
1217
375
8260
u• ¥ohJnl•w•
40
NIA
(o
TOTAL
26￿)
NIA
NIA
261x1
NIA
717C
k•d qnd d••v••d b YO￿nI••I*
14773
NIA
10.773
NIA
13 1
iJ.I
%47£
£47,000
Im•n￿￿•0 c¢xdi ￿ lh•
I Z 4
rA
IA
230

NY
IMIT
RA
FINANCIAL REVI
Tre Charily generoled o profil lor Ihe yec¥ 01 £766.194 12019 delicil £14.2731. Thi5
rellecls Ivcreosed income linciuding Ivrlough giop.ls 01 £70.324 oné 0 significant
reduciion in progromming ond ac1￿¥1￿ costs ond overhecx15 while engogernenl with
clients moved swllly lo di9ld medKJ Soufces ol Increosed levels lI￿n sn previous
ye(x5. A5 at 31 Decemt)ef 2020 the Cliar,ly hod net feser¥e> 01 £878,911 12019:
£112,717).
The Chorily hod Flee Reserves lils cvrenl 05sels less CviTenl Ilobillie51 as ol 31
Oecember 2020 01 £842.53512019: £78.0741.
The Chari1y is 5upporled by o bfood soectrum ol don0￿ from across Ihe communilv,
ronging Irom gfassrools slvdep.l-level progrom participanls and alumni lo o number
ol philonlhiopis15 wtto partner wilh our Charity ond encourage our aclivilie5.
Mosl fundroising is done Ihrol'gh direct rekitionshios wilh our poilners and Ihiough
elleekn've commuThcollon ol the Importance ol our work lo Ihe wldef ovdbence ol our
5upporlefS.
The supporl GIFT receive5 leveioges mony Ilrnes ils volue in volvnleei oct5 ond vital
osstsionce given to Ihose in need. showng young oeopie Ihal Ihey con make a
Iference in crealing a mofe giving and coring soclety.
Income is received Ihfough chorilable clonolions. The Iwslees opply Ihe5e lun<h lor
chonlable purposes. at Iheii discrelion,
All ol Ihe cknnalions wefe ooplied for Ihe direct wp05e ol fvlfllling GIFY's objectives.
Vorious charily odminfjlralive expenses iDclvded poyrc41 c0515, insuTance. rent ond
roles lon the warehouse fenteo Oy the ￿hOri*v to assis1 ils ooeralionsl and cleaning. 11
should tye notea Ihol Ihe empenditure poid to Jewish Fulvres IJFI (who GIFT 15 a
memberl lowcyds srmyed services such as.. office ren1 roles. gfophlc design, l.l..
inlrastruclvie ond mainlenonce. Ouilding sefvices logislics 5UPPOrt hos been
calculated os lowef Ihon Il GIFT were lo pay fot eoch ol these Services In(JividuoUv.
The chority relie5 on the ger￿*￿055ty ol donors tM)Ih of iunds ond gitls in kind Ifood.
loilelrie5 ond olher ilems thal ore used lo Nelp families in neeai. The level ol supp(yl
in Ihese area5 has been extremely grolilying ond nos helped Ihe chor,ly moinlain its
VCMIOUS Support loi oround 370 hovseholds each week bul Ihe tiuslee5 lecogn￿e the
r15k5 inhefenl wilh any lo(m ol tundrolsing ￿ seeklng supporl from Ihe oublrc.

Glvt 11 FOIIWAIID TODAY
QLMP4NYLIMITE
8Y
ARA
EAR ENDED 31 DECtM8EII 2020
PAY POUCY POR MANAGeMENT AND STAFF
The tru51ees sel the pay and reML￿eratIon ol employees. inclvding key managemenl
personnel in line with o policy Ihal considers Ihe resources ond needs ol Ihe chorily
ond olso prevail￿g morkel rales lor choiilies ol 0 similar size ond nolure. ond the lev
of experience ol Ibe slafl membei.
In oddilion to this. levels ol poy rnay be offecled by the oblity to recruit key
nKJnagemenl personnel and reta￿ them in post. which all crincides wilh the chorily, s
appoinTment and poy policie5. hll omen&nen15 lo key rnanogemenl's pay cmd
remunefalion ore discv55ecJ ond agree(a by Ine Irvs+ees, While Ifuslees cKe
considered key monogemenl peisonnel, no trustee receive5 ony remunerolion Ix '
pold expenses lo( Ihex services os Iruslee.
FUNDRAISING
The ChaFity15 comrnilled lo the highest slarhduds in fundrthing. Al all lime5 we will
ensure lttal we are respectful. oper. nonesl oncl accovnloble lo our stipporters.
Our lundr0i5ing is personol ond lorgeled and is primorily focused on those indi¥lduols
and instilullons who have 8XPfessed Inleiesl in our Wofk. We do nol engage
in fundroising oclivilie5 kke moss moilings fx d¢or-l(>dooi compoigns. bijl tocus on
compaigns Ihal Iofgel Ih05e who nove on inleresl In Ihe work Ihol GIFf doe5.
The Chorfly has o small ILK￿raisIng team composeil of Ihe Execvliye Chaimion,
Manuging Direclof, the Founding Difeclof ond very minimclly Ihe Communrly
Engogemenl omicer. The TfU51ees provide ovèrsighl ol lundraisirrfJ strolegy ond
delivety. Tb,e Fundfaisiro Teom '.eceNe regular Iroining ond guidance and oim lo
¢2dhere lo melho¢J5 01 besl proc1￿ce IncFudlng the Fundraising Regulalor's Code ol
Functs0i5ing Proclice.
The Chorlly does not use Ihird party orgonisolions lo iaise funds, ond Under no
Circumstonce5 does the Charily shale person.al inl¢ymalion ol oui supoorle15 lor Ihe
purposes ol Ihyd-party marketing or processing.
There hove been no comtyoinls ob0￿1 lunc*cyyng oclivities reported in the yeor to 31
Decembef 20X). or subsequently.
The Charlty 15 0 signoloty ol Ihe Fundioi5ing Regulalor's Code ol Fundraising Practice.
This codewos eslobli5hed in 2016 wilh on aim of Selling ond moinloining the
5tondords loi chrjiloble Ivndrts5ing while ensbring Ihal lundroising is respec Ilul. open,
honesl and accounlable lo Ihe oublic AN Ihe Charily's lundfQi5ing octivllie5 now

(8.QQ.MPANJY
cow,ply wilh the Fvnovaising Code and the Cnarily ba5 agreed lo o¢Jhere ID the
Code's feqiJifeniertl on han¢Jing ony bleaches of Ihe Code Of complain15 oboul Ihe
Churily's fundr¢i5ing oclivities.
MAIIKETING
Conslanl elfor15 lye mode lo inlorn the gving public ol GIFT'S acllvllies and needs
through trodilionol ond soclol medio. with compoign5 01 parliLulor limes of the ye(z
lo encourage donoh'ons of lood on¢J Ivnds. GIFt's exlensive oclivihes in schools dso
help lo moinloln ond increose the profile ol the Ofganisolion wilhir. the communily il
serves.
XEY RISKS AND UNCERfAINTIE5
The Iru5tees hove 055e55ed the major n'sks lo which the Chorily 15 exposed, and are
solisliea that 5y51ems are in proce lo miliso.e exposure lo Ihe Ma1￿ risks. A redvclion
in donor bose could cause cash flow issues.. ony deSayed receipl ol pledged
dowlion5 income C¢￿Id also polenlidly cause cash flow i55ues.
The mojor risk5 focing the Chori* or8 reviewed regvlot1y ol monogernent rneellngs.
Regular review5 01 cash flow proieclion5 and budgel lorecasls 0150 vndertaken,
05 well os a conlinwl thive lo manage expendilyie.
IIESIIVES
The Charity needs Iree reserves lo enotAe il lo lulbl its choriloble oblgalions and
commilments tha,. il enler5 inlo. The chC￿lIV 0150 requires reserves lo ensure
ccntinvonce ol Ihese obligotion5 In Ihe eventvolily ol ony vnexpected revenue
shorllall. As 0131 December 2020 free feserve5 were £840,CXXJ the lo a numbei ol
Trus15 ond grants be￿g rnode ov¢ilable lo GIFT thjring the ecwfy months of Ihe
P¢Jndemic.
Putslic 5enlimenl lowords GIFf has incieosed os has Ihe numtsw ol donor5 vthich
reyJlted in GIFT monagng lo ralse £976.W cluilng a 3&hoLY compoign.
The Tnjslees are sotfsfjed Ihal the level ol Free Reserves ts odeauole lo deliver
odlusled progromme5 ona resoufC&S, Tl)e level ol Free Resefve5 has been reviewed
n ol the COVIt>19 crisis ond Ioiind lo be appropriole given the nolure of Ihe
crisis. Ihe Boarcj wdl continue to feview the Chority's reserves and 115 policy onnuolly..
more Irequenlly If circvmslances diclale.

PLANS FOI THE IUYUAE
Tl)e n￿1n octivi15es Inlended lo be undertaken by the Char:1¥ will continue lo be the
plovi￿Orn of regulor educotionol, ond volunleefing evenls oc1055 Ihe UK ond
Jerusalem. 11 fund5 permit Ihe Iwstees aim lo expap.d progrommes to increc5e lh6
omounl ot opporlvnilies, progrommes ond 8venls *hol we con offer.
There is a pl<M lo creale ar, inclwve GIFT App whch would ollow user5 to engoge
with GIFT in a Fruch more odvonced woy. Bnei Mllzvah courses, oarenling cou
ond YOUNG GIFT progfonirnes ¥MII be inlroducod in the 2-.1 hall 012021,
PUBLIC ieNEFIT STATEMENT
The Ilvslees conliTW, Ihol Ihey hove complied wrth the duly In section 17 of Ihe
Choi;lie; Acl 2011 lo have dve regafo lo Ihe Chorty Commission's general guidonce
on Ch(Thlie5 ond gublic Beneljl.
TIUSTEE5' RESPONSI8ILmES SIAIEMENT
The Iruslees (who are 0150 Ihe dreclors ot GIFT Iof Ihe purposes of compony lawl are
responsible lor prepafing Ine Trustees Annual Reoorl ond the fiDoncial slolemenls In
occordonce wilh opplicoblp law and regulalions.
Compony law requires the Injslees to prepore linanciol slalements tor eocty flnancid
vear. Undei Ihol law the trustees have elecled lo prepore the financial 51aiemenls in
occoidonce wlh Uniled Kingdoni Genefolly Acce91ed Accounting Pfoctice (Uniled
Kingdom Accounting Standards ond applicoble lawl, Under compcrly low the
ruslee5 musl nol ooprove Ihe linanciol slolemenls Lnless they tse soli51ied Ihot They
give o true and loir view ol the slale of altoir5 01 the cnority and Ihe income ond
eXpen(Jit￿re of Ihe charFty tu Ihot period.
In prep￿ing Ihese finoncial 51olemenls. the Prvstees ore required lo:
selec1 suilat)le accounting policiPS ona then apply Ihem consisiently
obsernle Ihe nielhods and principles in Ihe Ch(xil..es SORP
moke iudgernents and occounling esllmates that are reasonable ona prudent
pr8pore the linunciol slalemenls on the going conLein tsosis urdess il Li
in0ppro￿Ole to presume Ihal Ihe ¢l￿ritY wiu cont￿ve in operation.

MPANY LIMIT
DBY
UA
The Ifustees are responsible fcf keeping Ixleqvote occovnlir,g records Ihat ore
sulficienl lo show and explain the chority's Ironsoclions ond disclose wilh reasonable
accurocy al ony lime Ihe linanciol posilion ol Ihe ch¢ylfy ond enoble Ihem to ensvre
Ihol Ihe financ￿1 51olemenls comply v4ilh Ihe Componies Act ￿00. They ore also
responsible lor soleguording the o5sets ol the ch¢yity and hence lor loking
reosonoble steps l(> the syevenlion cjnd delection ol Iraud and olher $￿egul￿111eS.
AUDtroR
Eoch of the per50n5 15 0 Ifuslee ol the (Jale of opkyovol of IP•s reporl c(*)finns
Ihal:
so far ￿ each trvslee 15 aware. Ihefe ￿ no relevonl audil nfomKJIK)n of whlch the
charity's auditor 15 wow¢Je
eoch Iruslee has laken all steps that Ihey ought lo hove laken os o trustee lo
make
them self-awore ol ony
re4evanl oudll IntOTmalion ond lo esloblish thal the chiY5ty'5 (Jjditorls aware ol
Ihot information.
Approved by Ihtr 8oord ot Truslees on
and signed ￿ its tseholl by
Mr Nel Schlff (fwsl••)
51tsNAni%E.
DATE.
io.-. 04.: 2 oil
12

## **INDEPENDENT AUDITORʼS REPORT TO THE MEMBERS OF GIVE IT FORWARD TODAY** 

## **Opinion** 

We have audited the financial statements of Give It Forward Today for the year ended 31 December 2020 which comprise the Statement of Financial Activities, the Balance Sheet, statement of cash flows and notes to the financial statements, including a summary of significant accounting policies. The financial reporting framework that has been applied in their preparation is applicable law and United Kingdom Accounting Standards, including Financial Reporting Standard 102: The Financial Reporting Standard applicable in the UK and Republic of Ireland (United Kingdom Generally Accepted Accounting Practice). 

In our opinion, the financial statements: 

•give a true and fair view of the state of the Charityʼs affairs as at 31 December 2020 and of its income and expenditure for the year then ended; 

•have been properly prepared in accordance with United Kingdom Generally Accepted Accounting Practice; 

•have been prepared in accordance with the requirements of the Companies Act 2006. 

## **Basis for opinion** 

We conducted our audit in accordance with International Standards on Auditing (UK) (ISAs (UK)) and applicable law. Our responsibilities under those standards are further described in the Auditorʼs responsibilities for the audit of the financial statements section of our report. We are independent of the Charity in accordance with the ethical requirements that are relevant to our audit of the financial statements in the UK, including the FRCʼs Ethical Standard and we have fulfilled our other ethical responsibilities in accordance with these requirements. We believe that the audit evidence we have obtained is sufficient and appropriate to provide a basis for our opinion. 

## **Conclusions relating to going concern** 

In auditing the financial statements, we have concluded that the trustees’ use of the going concern basis of accounting in the preparation of the financial statements is appropriate. 

Based on the work we have performed, we have not identified any material uncertainties relating to events or conditions that, individually or collectively, may cast significant doubt on the charity's ability to continue as a going concern for a period of at least twelve months from when the financial statements are authorised for issue. 

Our responsibilities and the responsibilities of the directors with respect to going concern are described in the relevant sections of this report. 

## **Other information** 

The trustees are responsible for the other information. The other information comprises the information included in the annual report other than the financial statements and our auditorʼs report thereon. Our opinion on the financial statements does not cover the other information and, except to the extent otherwise explicitly stated in our report, we do not express any form of assurance conclusion thereon. 

13 



## **INDEPENDENT AUDITORʼS REPORT TO THE MEMBERS OF GIVE IT FORWARD TODAY** 

In connection with our audit of the financial statements, our responsibility is to read the other information and, in doing so, consider whether the other information is materially inconsistent with the financial statements or our knowledge obtained in the audit or otherwise appears to be materially misstated. If we identify such material inconsistencies or apparent material misstatements, we are required to determine whether there is a material misstatement in the financial statements or a material misstatement of the other information. If, based on the work we have performed, we conclude that there is a material misstatement of this other information, we are required to report that fact. 

We have nothing to report in this regard. 

## **Opinions on other matters prescribed by the Companies Act 2006** 

In our opinion, based on the work undertaken in the course of the audit: 

•the information given in the trusteesʼ report (incorporating the directorsʼ report) for the financial year for which the financial statements are prepared is consistent with the financial statements; and 

•the trusteesʼ report (incorporating the directorsʼ report) have been prepared in accordance with applicable legal requirements. 

## **Matters on which we are required to report by exception** 

In the light of the knowledge and understanding of the Charity and its environment obtained in the course of the audit, we have not identified material misstatements in the Trustees’ Annual Report. 

We have nothing to report in respect of the following matters in relation to which the Companies Act 2006 requires us to report to you if, in our opinion: 

•adequate accounting records have not been kept or returns adequate for our audit have not been received from branches not visited by us; 

•the financial statements are not in agreement with the accounting records and returns; 

•certain disclosures of trusteesʼ remuneration specified by law are not made; or 

•we have not obtained all the information and explanations necessary for the purposes of our audit. 

## **Responsibilities of the trustees** 

As explained more fully in the trusteesʼ responsibilities statement, the trustees are responsible for the preparation of the financial statements and for being satisfied that they give a true and fair view, and for such internal control as they determine is necessary to enable the preparation of financial statements that are free from material misstatement, whether due to fraud or error. 

14 



## **INDEPENDENT AUDITORʼS REPORT TO THE MEMBERS OF GIVE IT FORWARD TODAY** 

In preparing the financial statements, the trustees are responsible for assessing the Charityʼs ability to continue as a going concern, disclosing, as applicable, matters related to going concern and using the going concern basis of accounting unless the trustees either intend to liquidate the Charity or to cease operations, or have no realistic alternative but to do so. 

## **Our responsibilities for the audit of the financial statements** 

Our objectives are to obtain reasonable assurance about whether the financial statements as a whole are free from material misstatement, whether due to fraud or error, and to issue an auditorʼs report thatincludes our opinion. Reasonable assurance is a high level of assurance, but is not a guarantee that an audit conducted in accordance with ISAs (UK) will always detect a material misstatement when it exists. Misstatements can arise from fraud or error and are considered material if, individually or in the aggregate, they could reasonably be expected to influence the economic decisions of users taken on the basis of these financial statements. 

Irregularities, including fraud, are instances of non-compliance with laws and regulations. We design procedures in line with our responsibilities, outlined above, to detect material misstatements in respect of irregularities, including fraud. The extent to which our procedures are capable of detecting irregularities, including fraud are set out below. 

In identifying and assessing risks of material misstatement in respect of irregularities, including fraud and non-compliance with laws and regulations, our procedures included the following: 

- We enquired of management, which included obtaining and reviewing supporting documentation, concerning the charity's policies and procedures relating to: 

   - Detecting, evaluating, and complying with laws and regulations and whether they were aware of any instances of non-compliance; 

   - Detecting of the risks of fraud and responding whether they have knowledge of any actual or suspected fraud; 

   - The internal controls in place to mitigate risks related to fraud or non-compliance with laws and regulations. 

- We obtained an understanding of the legal and regulatory framework that the charity operates in, focusing on those laws and regulations that had a material effect on the financial statements or that had a fundamental effect on the operations of the charity from our professional and sector experience. 

- We performed analytical procedures to detect any unusual or unexpected relationships that may indicate risks of material misstatement due to fraud. 

Because of the inherent limitations of an audit, there is a risk that we will not detect all irregularities, including those leading to a material misstatement in the financial statements or non-compliance with regulation. The risk is also greater regarding irregularities occurring due to fraud rather than error, as fraud involves intentional concealment, forgery, collusion, omission or misrepresentation. 

A further description of our responsibilities for the audit of the financial statements is located on the Financial Reporting Councilʼs website at: [www.frc.org.uk/auditorsresponsibilities]. This description forms part of our auditorʼs report. 

15 



## **INDEPENDENT AUDITORʼS REPORT TO THE MEMBERS OF GIVE IT FORWARD TODAY** 

This report is made solely to the Charityʼs members, as a body, in accordance with Chapter 3 of Part 16 of the Companies Act 2006. Our audit work has been undertaken so that we might state to the Charityʼs members those matters we are required to state to them in an auditorʼs report and for no other purpose. To the fullest extent permitted by law, we do not accept or assume responsibility to anyone other than the Charityʼs members as a body, for our audit work, for this report, or for the opinions we have formed. 


**Anthony Epton (Senior Statutory Auditor) for and on behalf of Goldwins Limited Statutory Auditor Chartered Accountants 75 Maygrove Road West Hampstead London NW6 2EG** 

9 July 2021 

16 



GIVE rr FORWARD TODAY
lincorporaliry an income and expenditure accounl)
Fof th• y••r •nd•d 31 D•c•mb•r 20x1
2019
Totsl
Donats'ons
1.795.193
874,975
Charilablg activttie*
e¢dy fam11￿$
Gifts In Kind- l&r valLhry
73,487
530,462
77,889
296.667
Invtystm*nt incwe
Other incorn•
1••
1.249.562
ng fLnds
177,023
177J2J
161,985
Chpril¥bl¢ oCtNrfies-,
Neèdy familles
Gifts In Kind - falf value
EdLK8ti
580280
69,967
530,462
seo,730
296,667
• 244,453
275 316
782,674
3.520
706,194
(14.2731
Nei galns I I1¢￿e$l on Inv•$lments
7••.1
{14.2731
Tfanglers between hjnds
762,674
3.520
M1
114,2731
Total Itjnds brought IDTward
85.222
11
27.495 ￿717
M7
112.717
l Dlthe abo¥e resutts are dorNed frnm conlinwng alth￿e$.
There were ￿ Olhef rwrJ15ed gains or b)sseg Other th8n Ihose 614ttyi abJb*.
Tha allxhed th lonn pwtofth858 nnarti¥ siaiwrti#s.
17

GIVE rr FoifriARD TODAY
alan￿ •h••t
AS at 31 D•c•mb•r 2020
Tang'￿? ass
7,148
7.148
Deb￿$
Cash at bank and Sn hand
11
35.131
110,289
145,420
•4131
C￿d[tOrS.. amounts falling dua vAlhkn ¢)n8 yoar
39.851
105.569
112.717
13
112717
Restricted furtds
Unrestricted lunds:
General funds
T¢Aal unroslricfgd frjnds
27.495
85.222
•47
112717
The fina￿¥al stat8m8nls hav8 boon wepared In 8c¢ordance wlih the ¥b8cl8J provI￿lS lor 5man ccmnpanies under
Part15 01 Ihe Ccthpanlès Act 2006.
Ap￿Ved by Ihe truslees 15 June 2021
an¢J s
ihg
aKby'.
The atta(*od notes form part of the ftn8ndal statafflant&
18

GIVE IT FORWARD TODAY
201•
Nat cash provthj by I lu#•d bnl &eAJYNi•s
723.CQ8
(7.7031
Int8r•sV rnnv dividends from investirwl$
sal￿1￿￿￿•88) of fixèd assols
{3.4501
13.450)
Repayments ol bonuthn9
Cash Infiows from b
elpt ol •ndthwnenl
723.008
{11.153)
C8$h and rash equivakn15 al bwnnlng ofthe year
CharKJe in Ga5h Bnd cg8h gqulvolonls due to oxchar4Jo
rale mo¥￿entS
110.289
121,442
833.297
110.289
19

IVE ￿ FQlibVAIID TODAY
For th• ywr •nd•d 31 D•¢•nb•r 1020
Tne fir4%pLoi Statefflen￿ hav* b¢en pr¢F4red In ￿cOrd￿￿ with AccDurfry *ryJ Ch¥1￿." Stst¥wt of
R¥ornrnend8d Pract*8 8wl*able 10 charities t¥epariry th￿r In a¢￿dance wllh the Finan0¥ Repytng Stsndwd
aWKabl8 In Ihe UK 8fid Repst4ic of Irdand IFRS 102 - •flecJv• l January 20151- IChHrt'qs SORP FRS 1021 aré th
CtrnpanS8s 2006.
The thI￿latIe cL¥ryaty Ihe a wtll¢ beTrefl enuty uThJ•r FRS 1Q2. A888ts aNJ Ikbdbos •ro knltwly
hi8tsyd oxl u￿88S 0th8r*ise stobj in thE rtle*4ni or rth.
b) +)olw toKwn
The ￿￿tte5 c¢ffis&l•r Ilwi th￿ ar• no rnatwol abjut the ¢hwtsii• Crry￿￿￿ Aixlty kn ¢4rthu• *$ a
eorwn. Tr Wu¥ieo9 not ¢ons*er thai there afe 8ny SOL4rces ol •silrnaitil Imcortainty al th8 ra￿rt￿ ctate tt￿t haw a
54Thficant risk of caus4ry a adluthenl kn Ihe G4rryirvJ arno￿rts of 86$8ts and haWilb•S wIlh￿ Iho n6xti0￿r￿09 wlL%l.
¢) *xofft•
Is r8ccg￿Lwl the clwty lu the fuTh#s, any rwforman¢• condltbns allad￿j to
boBn rMI.11 ￿ woboble ihBI thE InLYyr* ba feCeNad and thai the al￿nt cgn be Tel￿tly.
I1￿￿& frorn p4ernmenl ￿ otsr grwts. wheitt* 9rnnt8 or 'Fo￿nu•. rwnisod th• clwty has
eThtitsowt ￿ th• fiJTr85. èny wformonc* enndrtlons av3¢W ID the have rMI. il is probBblè Ih81 Lh• irtorne will be
J and Ihe c¥n be rneaw￿ ieliably 8￿1 ffj ml ¢elerr*J. IrJc¢m6 ret•l¥&J In att￿nce for Iha provB4on ol spe)fiod
seN*e lh• ryllwla for Inc•)Tr) 18Lwnthn are mgL
For legaies, ￿liveMen1 ¥$ •8r1￿ of tho ttale on **ich ￿1￿.. the charky ts *￿e kyobsie
o$tale has finalbad aTrS nolfftakn has tttn rn￿￿e by Ihe eX￿UlDr{sI to ¢th￿ty that a dislNbuibn wll be T￿¢0. c
8 disIn￿tI)n is receryod from Ihe e6¢glB. ft¢￿￿1 d a logacy, In %thol• or ￿ parl Is only COns￿er￿j probatle when the
$mAYJnt caft b& nwa6urthl rdob1y and th8 c￿ has t*6n ol the •x•cutofs inwnrw ¢+ mak• a thsir￿￿1W, Whtre
lagats•g have W notified to the ¢hty. cf Iho charty ts awar8 of lh• granurvj of yobaie. and th& uiierla irthm
Ikjn trove rnl mèt. tr¢n Ihe ltyacy ￿ a tr￿a￿ as 8 con*wJent 8sset aThJ tJbd)5gd rf mBtw*l.
Donolfjd prolesÈ+)r541 donatsd f￿1th are rttogrised as in¢>Jme ¢lwrtty Iw ¢wer Ihè Ii•m ¢Y
rec8Nert th& 8eryKe. arry c£rtiliors B55Dri&l•d wlth Iho thaiityn have m81. the r￿e￿tOf •coromic benefit from the use by
tha chwlly Dr 11am ￿ wJbatrJ• and Ihai ￿0￿rdc benefit c@n be measur&# rdthy. In with th& ChoribBS SORP
IFRS 1021, Yo￿￿te¢r wr¢ ￿ ml r•eognwl 60 rnf•r10 thtr Vustsas. •nnual ropm for more Ir%forwMtton eontllbutpjn
On re￿￿1. I￿￿#1&# glfts ￿ hin#, k￿le￿Ion￿ s¢rv*8s e4)n&t￿ f8dllkn are rwt¥sed the b•50 of t1￿ vÈlue ol gift
tr) ftslly tha afflount Ihe ch¥ity WOLthI Iwie b2en wiMiNd to pay * oL*W or faplites ol equfv91enl
ben8fiton th& o￿n ￿Ike1.. 3 cryf¢¥FQrtlir£ 16 than tecs)gnls*a In •xpeTrJilure w4 tho F4rlod of fewpt.
Irrterest on hJryJ$ hd¢J (M) 6ew$il 1$ Induded wh¥Yt r￿l￿alIÈ and ￿ *mJTrt 14fi b• measur•l retwy ty the ch8My.' Ihls és
yr>)n nD￿fica￿On of th8 rteresl paid or p8yatle ty ts bbDk.
Ufir*51ll¢ied lurQ8 ar(tr avaknble to spoTrl on acltvtbes that sny ol the purws¢8 C+f ¢harity. D¢sb3naW funttg (IrB
rweskn¢W fu￿$ of Ihe tnJ6te85 havo d*ded ai dlstt8iaon io $et a$Kl8 10 use ts 8 speryfic
Restr1¢t￿ luThd5 are c>oroirsns wh￿h the donDr has spécw ¥e to ￿ 901oly for PWl*ul* *è&s of thè ch¥ty's lor
5pour￿ proi8cts Ur￿*&ken by Glwty.

QIVE IT FORWAIID TODAY
Farth• y••r •nd•d 31 O•Mm* 2020
Expérrflittst@ is rttognLs8d o IW or ¢or•truth• oWgo1h￿ to m*e B pFli￿en1 b) a thtrd paty, 11 IB wt*atla th
$8th8meni wll be r4U1￿ w¥1 th# affX)uN of thb 0tAvJa￿Tr can b8 m¥asur¥J roliow. Expwpj1￿Th o dtssthd wKIBr Ihe
actlvlty Wlrw$.'
Co¥ts ol rjlslng lund$ comp¥ise of costs ar￿ Ihe costs Intjwrgj eh•riiaU8 coryany thrd partkns
rnake contrknutK>ns to it. as well •s the ¢o$tc4 Ory ￿th a hJThlra18iry purl￿0.
EXper￿lture on 8¢tiviliÈ$ Indudes the costs of gwkes Othor •xtvlY06 uNlwlakon kn frYth8r
purky)s•s of lh¢ >laiity ond Ihoir asSOC4ateO co¥1¥
Oilw *Xr￿di￿r0 repra￿t9 I￿Se items Tr)¢ l•Mn4 mlo any olher fveadk￿.
TKO¥W8tJe VAT IB chwgal Os a ¢c*t a9**1 ts a¢tlvty forwhK* th8 expe￿l￿tr wo$ InoJ¥•J.
Suppmi costs are Ihose fu￿￿on8 ttlal asd¥i tho ol ￿ Charity t¥Jt do lar￿18k? chartttlo athiril88. Surr￿l
eosts Ind￿10 back office cosE5. finbDce. personnel, p¥yroll fx*ts ￿1th support Ihe Ghanty's a¢d¥kl*S. Th•se
0)8ts have be80 allDcated cos1 ¢1 funds expe[￿l￿re on activths. Thtt ￿$69 on suFwt
Costs ha%* bom ANorAi&l ar• 8•t c4Jt In note 6.
Rerrtal thargas ¥6 fkno•d on • 8tsabJht Its baw ovor twm ol the1￿88.
Iws of equloffleTrt are capth11s￿l whe¥e IhEt PLYd)w fv èxce￿￿ £1,000. Der1e¢W￿ Is * r8ts8 cabJat•a **
wriie the cost of èath •sw esbm*thd ra￿d￿￿ value D¥¥ ts expwted I￿. The flew￿￿￿)n r8109 In u56 We
a6 follo￿8.
FixtyJro8 fill*qs
Motyy ¥ehkYes
25% R8
25% RB
Tr* 4nd olher dobm we rewnis•J al th• setu6￿￿￿1 &ryvJrrt due after ony trdd• offw&Y, we val￿$
al th¥ amwni wepaid Mt of any tfadtrdlKounts thJe.
C••h at •nd kn knd
Cash al bank cash In It)th*3e& ￿$kn shcffl ¢em) ￿NY Uquhl In￿StM8n1s ¥%1th o fiwtwlty of trn• rwih• cf
sfrorn its dDte ol J¢quortbn vr Open￿ of l￿depO$rt L¥ sknil¥ aco￿Al
Credrtcls and PfCVlSivn$ are 1¢cc4rAs￿ whwe Ihe chwlty h•$ 8 presenl Te8uithw fr￿n 8 past ￿nI thB¢ VAI woi*tyy
Sull In trartÈf8r of a Ihr¢ party the aft￿Y#l du• b s*tle tho oLIvJa￿n con be measurgj nr esdmat*J relbatty.
Croditw a￿￿ prov￿￿ arg Tr¥m•Try r¢winisthJ ai ththr thmefflertamount aft* Ilowin9 fcy any trade dl￿.
21

For*•
A•str￿a0
T¢i*i
874.975
874.975
77.OBg
296.667
Gts In Klnd- folTy&4
.167
Rwr¥ ILW
181.985
Chwtsole 4thtyB•
N••d¥
Gffts In Kfv*-
EthJtAtknn
464.1
.570 W.
.e67
2U453
111.273Tr
N•1 I Iityss•sl Gfi
178MB11
114213}
T￿￿￿or5 b•￿Tr lurfs
11l2rJi
Toi*.'unos
46 1?8
495
128.
.717
>J19
1.724 869
70,324
874.975
G￿t.:
71J
874 975
Total
T*1
Gffts In Kln
867
2MA17
2019
T¢411

awe ff FOThARD TOlk4Y
Ccs1 olr4iTir4
lunds
N•oOy
f]*Mrnl Edueal•n
¢3ftb In lfjr
113DT•l41 2ftr19Toi#i
S1*ff costs
OINW fyr*rai1¥¥u￿ts Lyr•
Cirwct
113.&lS
2fl93&
2.
aa,476
759.
1.146
•1,14•
Gth In lQr¢l
530
s.e17
staff cos15
4V￿rt￿nI
F*oF•ssiry4 1•
PllrthrwJ & St•LW•ry
IT &4y•b
TTJWJI
R•r.l & R•
11.N6
13.128
10.5
101.50
12,101
ILk).$97
7.993
3th2
1700
6.774
Z274
1091
23.995
18.889
'.0.1
31.949
i•J
14D.72J
204.a64 4n.&34 SJJ.462
216.
1.623.Od8
1.263A35
177,613
127$.U51
TotEt *19
iyhts*•Ys•rOlW•. £I.QUI819 UIQ,59B) •￿1 E8Tr).4Th w*• rfj#n¢W f293.2371
Co$1 ¢4¥*￿Ir
>)nTdal X)18To
STArt
t35.tS4
141.93
lQ2.82f
1D&•M
J5,103
277.8
344.0
Noedy t•ml
.067
StaHcoEts
T,218
9.171
J4.1
10S.4JJ
16.1(
GDf4u¥tra*cytsei
Pmbny & $18ts(1*ry
IT &web o•wg
rrn¥O1
& R•t•s
1.It7
17•J
•.114
3.48T
5.678
6,n4
1,317
930
21.319
.6
2134* ￿ 217 77¢
140.724
19).W 346263 2KeiT
320.228 1363,835 1.290.809
12.201
214rf7
132Q.2281
T0Waxpw￿2Q18
171,711
•￿￿￿•. ¢S70.S•9 120?8 mO,97$) £3￿.137 rvlrthO12019 £529.624b
23

Thij ¥st#tsd Ilc¥tthng1.'
2019
C*erdiry IEwe
Prryety
D¢prociaiK
Auttitorfs ￿Mu￿￿tiOn:.
Authl l*$
Sthff co*a as fDkn45.'
201
S•L*iiè¥ •rnl w¥g¢s
¢G8ts
318257
31.830
Emp*?r8
386 910
) •rylo>*¢$ m¢rn fft•n ÉKs.thIO thY•lw• benefts18xdLKlirvJ qmphw penwnl durini IM yw.
Th• t•n8ris o1th8 p•r￿ne1 wpr• £183.35812019 £123.3131.
The charty trus18￿wer￿n0lpaId w recd¥wJ any athgr benoftts Irorn •mp&)yrntsit wltr i*e Ccffjpfflny in Ihe yew12019..
¥ll. N6Ither ￿thb￿se￿ ew8es thrfry ytar12019'. NWI. No tnJste• fr￿4*1 paym￿1 for
prrA•vknd w Qthw SWbiCaB WJFpli>J to tha th￿ty(201￿,. NII.
The a¥ertye Iha•J c￿￿h11 baled rm TrLMthrofitall ompbyedl ￿j￿n0 th• yeww85
2019
No_
13
13
lj
lj
The dlaritatA•compwry Is from ¢4)rpy•tyor* lax as all IIB in¢>￿0 & thartth iswN•J kr ¢h￿l•bI$
24

FIX￿r¢S and
fillrys Ilotor¥•hkl81
Atthaswiolthey
1¢lbfy*S in year
In year
At Ih¢ of lh¢ ye
13.211
11.88d
Al IhÈ Start of the y•w
Charge lor they
Elkninated dws
At the ol ihe yo
8.863
17*17
7C6
9965
3246
Atth• si*% ol lh• y•¥
4a28
7.148
All d lh••bO￿ assotsare Lmod bTth8DtsLle wrpth*6.
X$19
Trots debtss
18,gJ7
16.224
35.131
2019
Tiad•endtors
Oth•r ty•Jiiors
37.r26
2.125
39.851
25

Twglt4e fix￿ 8sseiy
Nel cwrwt assets
Il•t ••••l• at*••nd ofth•y••r
5,3fj1
842,535
Tangitrfe fixett asse
Net ojireni 8&8ets
7,148
7.1
27.495
Atlhe stsrt of & reswrces &
tho yegr
Atth••￿￿e
rrnnslws
Needy famil￿*
Gilts In
27.490
73,487
530.402
169,967)
$30,462
31.01S
GeTherhl f￿d8
222 1,795293 11.032,6191
GIFT I￿1. tho prol•cls of GIFT th Iw•BI.
LottwfyaTrtr. Purthawry and M￿1th9 GIFT Ftyyt CAAltttsoft BOx￿ br a Fwd c￿1￿￿0￿ In1￿b¥
(Xher re5trFcted ￿$.. Funds and its wps vAth m￿1¢￿1 wd w&Far• nwdsdu
iIIw8. inTm)ity 01 impwshrnwt.
Nè•dy Spouk lh￿1$ & dlrg neo(I br4S•*wc4 and GIFT m*•$ d•Cl#￿ on and
pOym￿t$ ￿ forfhctynkna to atrwd tr) IW nwJ8 al￿n0￿81￿•0.
Ir%comkng
C￿0￿9
At th• siadof r0￿11¢￿ 8 res￿reeS 8
Iho year
AtthI￿d￿r
tray•v
FT 1¥48d
Lottwy &anl
Ne** f8rnU*4
skn In Kipks
Other
2.1C*)
12.1CKII
12031
77.B89
296.887
198.5701
1298.8871
34.293
J74.558
393237
G&n8r* luThYs
875.Lb26
870,598
80.814
26

Forth•
201
Il•t IftEonh•l forlh• mportlTrJ pwl)d
114.2731
Ihicreaa8y d8uo?se In debtry¥
Intyeasal IcSEcm8*1 In u•11•)r¥
IU.70JI
1.932
A131
1 JaThLWY
2QQ Cath flr￿ts thar
at bank ¥nd kn h
110289
733,008
110
723.006
833.297
Totsl hjtsre ￿￿1￿M thse pa￿￿1¥ undprnon4w¢d•t4e arn 88 kIr￿.
2019
Lesl than l y•w
25,000
Tho t*thiy ￿ a ct*rpany Iimiiod by gw8nlee ènd h85 rrt) share c•*ial. Th¥ j•￿ F￿r•sTn￿81.JT
¢ontrt)ute a sum not exc8edin¥ £1 e¥enl el lh& Ch•r* b•4n9 up.
In 2019 one oltho IDost••s donthj £25.OW lo IM tharty
GIFT ks a JFT. Frc*h 1 SÈpwftbw2018 JFT bo￿ne ble of¥th1￿ b•ck olk•
DcVon$ Ihai Buppcrfted Ilsell w¢J ts wp indudkng rwming heatt offic6 preryn885, finance. prclvstion
publK*y aTrJ lundtètsry. JFf has rttharyd GIFr £93.189 ITh yur1£105.108 In 20191. Jrr al￿ hos ￿ar9¢4 GIFT
f22.580 for con•uiiaThty 12019 £39.7￿1.
R8tts N Sttdll. a trus*e, 1$ CEO 8ThJ ￿nder olJFT.
27