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2023-12-31-accounts

TOP KIDS

YEAR ENDED 31 DECEMBER 2023

TOP KIDS Report and Accounts Year ended 31 December 2023

Page 1

TOP KIDS

YEAR ENDED 31 DECEMBER 2023

Trustees

A Shearn (resigned 18[th] Aug. 2023) G Baker N Duggan S Wesley Charity Secretary G Baker Governing Document Constitution - 7th October 2017 Charity Registration Number 1175282 Registered Office 8 Leys Road Torquay TQ2 6ED Bankers Co-operative Bank

CONTENTS

CONTENTS
Page
Charity Information 2
Trustee Report 3 - 8
Independent Examiner’s Report 9 - 10
Statement of Financial Activity 11
Balance Sheet 12
Cash Flow Statement 13
Notes to the accounts 14 - 16

Page 2

TOP KIDS

YEAR ENDED 31 DECEMBER 2023

Trustee Report

The Trustees have pleasure in submitting the Report and Accounts for the year ending 31° December 2023.

Structure, Governance and Management

Top Kids is a registered charity, charity number 1175282, and a Charitable Incorporated Organisation (CIO). Its constitution is dated 7th October 2017 and it became a registered charity on the 20" October 2017.

many have stayed for a week or two.

Trustees

Belarus who are integral in the delivery of front-line support.

trustees, with no maximum.

Achievements and Performance

invasion of Ukraine and the impact that it has had on UK inflation.

ourselves in we continue to find ways to innovate to do more with less.

Page 3

TOP KIDS

YEAR ENDED 31 DECEMBER 2023

2023 was another difficult year due to the continued impact by the ongoing situation in Ukraine. Due to the severe international restrictions imposed on Belarus we were unable to receive visitors from the UK.

pastorally. We did this by providing:

important to us.

there is no hesitation the next time!

is a good reason to celebrate outside, with competitions, a tasty BBQ and lots of laughter!

them a little time to relax together.

together, with games and challenges and delicious food and of course a present to go home with!

It's one of the simplest things we do and yet it has a major impact.

families with this necessary expense. It's important that the children look their best, just like all their friends.

by preparing a special welcome pack that includes.

Page 4

TOP KIDS

YEAR ENDED 31 DECEMBER 2023

Future Plans

Moving forward we continue to plan for a bigger future including developing the following exciting projects:

keep supporting them through the setting-up of a specific support network;

for when they leave home to go to college.

and facilities within their homes. We will look at ways to raise specific funds and provide grants to improve.

etc. but also provide sustainable food source.

find new and secure ways to keeping our supporters informed when travel is restricted.

Public Benefit

that this satisfies the requirements of Public Benefit.

Page 5

TOP KIDS YEAR ENDED 31 DECEMBER 2023

Financial Review

work of the charity. The Trustees continue to have overall responsibility for governance and accountability. The trustees continue to make strategic decisions based upon the financial position of the charity by reference to the available financial information provided to them.

contributions to cover their in-country accommodation, food and travel costs (although this latter source has, of course, been closed to us since 2019).

As a registered charity we also receive benefit from The Government's Gift Aid Scheme.

The charity's income in 2023 amounted to £36,656, being a 16.3% increase on the £31,524 received in 2022.

Note 2 in the following accounts shows the breakdown between individual donations, organisation donations and gift aid reclaimed. Personal donations reduced by 6.7%, whereas non-personal donations were 33% higher and gift aid reclaimed 74% higher.

Clearly, the restrictions on movements seen over recent years, due to the reasons already alluded to, has meant that it has been impossible to receive visitors to the Dream House. Such visits are an important means through which individuals and organisations begin to support Top Kids’ work.

Despite this, the work has continued and the large donations received in 2021 allowed us to undertake a number of major infrastructure projects at the Dream House site for the benefit of in-country visitors.

As a result, annual expenditure on charitable activities for the year was £23,252 compared to £56,288 in 2022. This did result in an overall year end surplus of £13,444 against the deficit of £28,162 recorded in the previous year.

Networth, as a result, increased to £14,489 from last year’s low point of only £1,045.

Page 6

TOP KIDS

YEAR ENDED 31 DECEMBER 2023

Reserves Policy

The charity's current levels of unrestricted reserves are now well below 50% of normal annual expenditure.

Trustees continue to look at ways of increasing income in order to ensure these returns to acceptable levels.

Going Concern

The trustees, having reviewed all financial and other obligations, they expect the charity to continue to operate as normal for the foreseeable future. It is able to meet its obligations as they fall due, and there are no plans to close the charity or to significantly curtail its operations.

Grant Making Policy

of its charitable objectives, in line with its Grant Making Policy.

Risk Assessment

place to mitigate these. All major insurance risks are subject to normal volunteer insurance.

responsible for the area of activity.

Page 7

TOP KIDS YEAR ENDED 31 DECEMBER 2023 Trustee Responsibilities The Trustees are responslble for prepari￿ the Trustees. Report and the Financial Statements in •c¢ofdante with applicable law and UK Accounling StaThJards. The law applKable to charltles In En8land and Wales require that trustees provide financlal statements for each financlal year which give a true and fair vlew of the stale of affairs of the charlty and of the incomlrv¥ resources and applicailon of resources of the th•rlty for that period. In preparin8 these financial statements. the trustees are required to: select sultable accountln8 polkles and then apply ihem conslstentty- observe the methods arwj prlnclples of th* Charities SORP: m•keJud8ements and estimates t￿t are reasonable and w￿dent. state whether applicable •c¢ount1￿ standards have been followed. subject to any departures disclosed and explained in the financial 5tatements.' and: piepare the ftnandal statements on a 8oln8 concem basls unless It Is Inapproprfate to presum¢ that the charity wlll conllnue In bU￿ness. The trustees are responsible for keepin8 financval records whlch dlsclose with reasonable xcuracy the financlal position of the charlty and enable them to ascertain to en$￿￿ ihat the financlal staiements compty wlth the CharltSes Act and thf provisbns of the trust deed. They a￿ also responsible for safeguardln8 the assets of the chJrity and hence lor takin8 reasonable steps for the prevention and deteclion of fraud and other irre8ularltles. The tnjstees are ￿spOnSible for ihe Maintenance and Inte8rlty of the chartty and financial informaiion irKluded on the chJrlty'S webslte. Approved by the trustees on ihe day of 2024 •nd sl8ned on thelr behalf by: Glen Baker Page 8

TOP KIDS YEAR ENDED 31 DECEMBER 2023 Indèpondent examlnerfs report on th• accounts Seciioii A IndopEndont Exjniiner s Report 1175282 •ny) Pw11to18 ¢hvlty ITh tr* 3111W J)ZJ uTrJ•r s•ckn 145 c4 ￿11 my •x￿n•kn. I Kl•r 1445Xbld Itrcttobw >)24 9￿•1￿￿110￿1) or body Page 9

TOP KIDS YEAR ENDED 31 DECEMBER 2023 Section B Disclosure Onty complete il Ihe examiner needs to hi9hlighl material matters ol concern (see CC32, Independenl examinalion ol chattty accounis. directions and guidan￿ for examiners). Glv• herè brfel dethils of any items that the •xominer wishes 10 disclose NIL Page 10

TOP KIDS

YEAR ENDED 31 DECEMBER 2023

STATEMENT OF FINANCIAL ACTIVITIES INCLUDING INCOME AND EXPENDITURE ACCOUNT

INCOMING RESCOURCES
Donations & Legacies
Charitable Activities
Investments
Trading Activities
Other
Total incoming resources
EXPENDITURE ON
Charitable Activities
Raising Funds
Other Activities
Support
Total resources used
Net Incoming / Outgoing Resources
Fund Transfers In
Fund Transfers Out
Net movement in funds
Reconciliation of funds:
Total Funds Brought Forward
Total Funds Carried Forward
Represented By
General (Unrestricted)
Reserve (Designated)
Unrestricted
Restricted
Total Funds
Total Funds
Funds
Funds
2023
2022
36,600
0
36,600
31,479
0
0
0
0
0
0
0
0
0
0
0
0
95
0
95
45
36,696
0
36,696
31,524
21,510
0
21,510
56,288
0
0
0
0
0
0
0
0
1,742
0
1,742
3,398
23,252
0
23,252
59,686
13,444
0
13,444
-28,162
0
0
0
7,000
0
0
0
7,000
13,444
0
13,444
-28,162
1,045
0
1,045
29,207
14,489
0
14,489
1,045
14,489
0
14,489
1,045
0
0
0
0

Page 11

TOP KIDS

YEAR ENDED 31 DECEMBER 2023

BALANCE SHEET

Current Assets
Cash
Accounts Receivable
Prepayments
Total
Non-Current Assets
Fixed Assets
Investments
Total
Current Liabilities
Accounts Payable
Deferred Income
Total
Non-Current Liabilities
Long Term Loan / Mortgage
Total
Total Net Assets (Assets Minus Liabilities)
Represented By
General (Unrestricted)
Reserve (Designated)
Total
Unrestricted
Restricted
Total Funds
Total Funds
Funds
Funds
2023
2022
15,844
0
15,844
7,216
904
0
904
302
0
0
0
0
16,748
0
16,748
7,518
0
0
0
0
0
0
0
0
0
0
0
0
2,259
0
2,259
6,473
0
0
0
0
2,259
0
2,259
6,473
0
0
0
0
0
0
0
0
14,489
0
14,489
1,045
14,489
0
14,489
1,045
0
0
0
0
14,489
0
14,489
1,045

Page 12

TOP KIDS

YEAR ENDED 31 DECEMBER 2023

CASH FLOW STATEMENT

Cash flows from operating activities:
Net cash provided by/(used in) operating activities
Cash flows from investing activities:
Dividends, interest and rents from investments
Purchase of investments
Net cash provided by/(used in) investing activities
Change in cash and equivalents in the reporting period
Cash and equivalents at the beginning of the year
Cash and cash equivalents at the end of the year
2023
2022
£
£
8,627
(23,434)
-
-
-
-
-
-
8,627
(23,434)
7,216
30,651
15,844
7,216
The charity has no borrowings and an 'Analysis of changes in net debt' has not been presented The charity has no borrowings and an 'Analysis of changes in net debt' has not been presented The charity has no borrowings and an 'Analysis of changes in net debt' has not been presented
Note a: Reconciliation of net income/(expenditure) to net cash flow from operating
activities
2023 2022
£ £
Net income/(expenditure) for the reporting period 13,444 (28,162)
(as per the statement of financial activities)
Adjustments for:
Depreciation charges and provisions for impairment - -
(Gains)/losses on investments - -
Dividends, interest and rents from investments - -
Loss/(profit) on the sale of fixed assets -
(Increase)/decrease in stocks -
(Increase)/decrease in debtors 602 320
Increase/(decrease) in creditors (4,214) (4,407)
Net cash provided by (used in) operating activities 9,832 (32,248)
Note b: Analysis of cash and cash equivalents
2023 2022
£ £
Cash at bank with immediate access 13,596 7,216
Petty cash 2,247 -
Total cash and cash equivalents 15,844 7,216

Page 13

TOP KIDS

YEAR ENDED 31 DECEMBER 2023

1. Accounting Policies

The accounts have been prepared under the historic cost convention, in accordance with applicable accounting standards and follow the FRS 102 Statement of Recommended Practice: Accounting for Charities 2015. The following are the accounting policies which have been applied in dealing with material items: -

The accounts have been prepared on the going concern basis, as there are no material uncertainties about the charity’s ability to continue. Based on the adequacy of the charity’s reserves as at the balance sheet date, along with their knowledge of the charity’s ability to meet bills, payments and other liabilities as they fall due, the trustees have a reasonable expectation that the charity has sufficient resources to continue in operational existence for the foreseeable future.

a) Donated and grant income:

Donated income and grants receivable are taken into account when received by the charity. Income received in circumstances where a claim for repayment of tax has been or will be made to HM Revenues and Customs is grossed up for the tax recoverable. Any amount of tax reclaimed from HM Revenues and Customs but not yet received is shown within the charity’s debtors.

b) Other income and expenditure

Investment income is taken into account when receivable and expenditure, including irrecoverable VAT, when incurred by the charity, regardless on when payment is made. Grants payable are taken into account at the earlier of when they are paid or become constructive obligations.

c) Funds:

Unrestricted funds are donations and other income received or generated for the objects of the charity without specific purpose and are available for purposes directed by the trustees. Restricted funds are amounts received where the donor has specified the purpose for which they are used.

d). Fixed assets and depreciation:

Fixed assets acquired for use by the charity are capitalized and depreciated over their estimated useful life unless they cost less than £2,500 when they are written off on purchase.

Depreciation periods are as follows:

Freehold land Not depreciated
Freehold buildings Not depreciated
Equipment Between 3 and 7 years

e). Taxation:

A registered charity which is exempt from taxation under the Income & Corporation Taxes Acts.

Page 14

TOP KIDS

YEAR ENDED 31 DECEMBER 2023

2. Voluntary income

Donations - Individuals
Donations - organisations
Gift Aid Reclaim
TOTAL
General
Designated
Total
Prior Year
Fund
Funds
Funds
Total Funds
13,682
0
13,682
14,666
20,550
0
20,550
15,457
2,368
0
2,368
1,356
36,600
0
36,600
31,479

3. Debtors & Prepayments

Gift Aid Reclaim
Other debtors
TOTAL
2023
2022
404
302
500
0
904
302

4. Creditors: liabilities falling due within one year

Credit Cards
Other creditors
TOTAL
2023
2022
2,259
2,617
0
3,856
2,259
6,473

5. Funds

Fund movement by type

Fund Name
General
Reserve
TOTAL
Opening
Balance
Income
Expenditure
Fund Transfers
Closing
Balance
1,045
36,696
23,252
0
14,489
0
0
0
0
0
1,045
36,696
23,252
0
14,489

Page 15

TOP KIDS

YEAR ENDED 31 DECEMBER 2023

Analysis of income and expenditure

Actual Income
Donations
Gift Aid Reclaim
Other Income
TOTAL
Expenditure
Charitable Activities
Grants & Support
Building Repairs & Maintenance
Dream House Supplies
Equipment & Purchases
In-country Meetings
Med. Insurance & Residence Fees
Office Supplies
Personnel
Phone & Internet
Projects
Utilities
Vehicle costs
Support Costs
Bank Charges
Expenses - Meetings
General
Insurance
Software costs
Total Expenditure
Net movement in funds
2023
34,232
2,368
95
36,696
1,970
1,264
10,356
1,338
0
294
0
3,583
390
18
1,369
927
21,510
1,043
11
4
258
426
1,742
23,252
13,444
2022
30,123
1,356
45
31,524
2,833
30,938
9,344
5,275
0
31
122
1,528
271
2,307
2,179
1,459
56,288
2,386
65
329
258
360
3,398
59,686
-28,162

Page 16