REGFSTERED CHARITY NUMBER: 1175874
REPORT OF THE TRUSTEES AND
UNAUDrrED FINANCIAL STATEMEIYTS FOR THE YEAR ENDED 30 NOVEMBER 2023
FOR
SMILE FOR JOEL
DTL Auditors Limiied
5th FloorNorth Side
7-10 Chandos Strcet
Cavendtsh Squorc
London
WIG9DQ

SMILE FOR JOEL
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 NOVEMBER 2023
Page
Rtport of ib¢ T￿￿¢*1
I to 2
Independent ExAmlner'8 Report
sthtememt of Fln*ntlAI Actfvltlej
BAl•ne¢ SIL¢¢t
to the FINan¢lxl St*tementi
D￿￿tI¢d St•t¢m¢nt of Fln*nelil A¢tlvltlt
10

SMILE FOR JOEL
REPORT OF THE TRUSTEES
FOR THE YEAR EI¥DED 30 NOVEMBER 2023
The trustccs prc5cnt their rel￿ with the flnancial statements of the ch8fiiy for the year ¢nd¢d 30 NoveTnber 2023. Th¢
tnistees h￿C odopted the provisions of AccoLmtin8 and Rcportin8 by Charities.. Stotement of ReLommended Pr￿tiCe
applicabl¢ to thANties prcparin8 their aceowits in accordancc with the Finan¢ial R¢pDrlin8 Standard applicable in the
UK and Republic of Ireland {FRS 102) leffectivc l January 2019).
OBJEcfivES AND AcfiviTILS
Obj¢ctive5 aims
The Aim5 of the charity ar¢:
to help families of the victims ofmurder in the UK
working wtih th¢ UK ￿urISM industy to raise Mwareness of thc SCCUTity and 8Dfety risks at holiday
dcstinalions
Slgnlllr*nt 4ctivltle5
In order to furthcr the Charity's purposcB fur th¢ publi¢ be￿rIt, charity caTrics out fundraising evenls thTOU8hout the
yeur and has worked Closely wlth Viclim Suppon lu pN)vidc as5iStan¢e to lh¢ famili¢$ of ihc viLlims of murder in ih¢
UK.
Ilavin8 bccn reLU8lliBcd with m MBE in Lhc Kin8'8 Birthday Honours list I￿t year uw founder Suthme l.;v&tts a(tcnd¢d
BuLkin8ham Pwlace in March of2024 to recei￿ thc award from The PrIttC￿ Royal.
Publlc brnellt
The Iru5tccs hwe had w84rd ip the 8uldanL¢ isJu¢d by ihe Ch#rity CurnmiBsion on puhlic ben¢lit.
ACHIEVEMENT AND PERFORMANCE
ChArltible actlvltl¢
Thc charity is proud io have hclpcd bere4ved fwnilieA Across the IJK who have losi lovcd ones throu8h murder.
The ¢hariry is alw committed ￿ raising awArtness within thc tOYTism indysty and with thc publiL of th¢ 3￿UrIty risks of
destinations und huw Ihuc ar¢ osscsscd.
Fundr•lslni Aetlvltle8
Run for Ju¢1 2022 wus postponcd uniil Junc 2023. movin8 the ¢venr to a morc si8nlficEnt dttte for thc charity. And thc
rTrurth annual charily b811 in November 2023 great Au¢c¢ss in it's second Ye￿ ai Ed8b￿lOn Cricket Ground.
In addili(Jn kn thue 8nnual Cv￿13, a number ofvthcr fundrai5in8 ¢vents took pl￿ durlng the ycar, with the MOBL ddrlng
of th¥8c sc¢inB a group ofbrov¢ fvndraisers. lcd by ()LW SuzAnn¢ EvNn3, climb io th¢ lop of th¢ 02 Ar¢na In
Lottdon in May 2023.
In 2024 s¥vcrnl ts)()k part in xi Lharity dragon racc on behalf of Smil¢ for Joel and plans Brc und¢twy for
h#ir rMisitt8 wng walk in 2025 io mark thr tenih anniversary of thc loss ofJocl, his uncle and his 8rundfath¢r.

SMtLK FOR JOEL
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 30 NOVEMBER 2023
FINANCIAL REVIEW
Re8erve5 polley
Th¢ ch8rity'8 policy for holding reserves is to hold approximatcly six mo￿hS cxpenditurc as & minimum regervc forward.
with this level bein8 subject to review if thc 8UPPOrt SOU8ht and the charity$ operntions incre&se.
This Icvcl of rescrves is bAs¢d on anticipAted fvnding lev¢lB for support for families th¢ need to fU￿j ihe tharity's
Costs.
Costs in ihc year were below this level du¢ to th¢ r¢striL*ions in place for Covid 19 but would oiherwise have bc¢n J￿11
iihin this Icvcl.
Re4trves held
Rc5crvc5 h¢ld havc dccre48ed during the ycar by £44,415 to £54.998.
srRUCTURE, GOVERNANCE AI¥D MANACEMENT
Governlng doeyment
The eharity is conLrLilled by its gov¢rninM docthncnt. a deed of trust, and ts const1lu￿d a5 a Ch8rit4blc Incoryor&*d
Organisation.
Recnhltrnenl *Dd *ppolN¢m¢n¢ of new tru8te•J
Any ncw (TU51ccs must bc 8ppointcd by thc current truslees. who MUAI hwe regard ￿ the wl¢vanl skills, knowledge ond
experience of thc potential trustee.
RbTrLRb:NCE AND ADMINISTIL4TIVE DETAILS
Registered Charlty number
1175874
Prlnclpxl
Wcdne5bury
W¢sL Mid14uJds
WSIO
Truslees
O G Richards
S Saul Irc%tgned 17.11.23)
Mr8 K A 'l'utner
J Khunkun {8ppoin¢ed 21.1.231
V C Rowles {appoint¢d 2l.1.23)
Jndepeodent Exgmluer
D'fi. Audit()r5 Limileil
5th Fluur North Sid¢
7-10 Chnndos Street
Cayendish Squgre
London
WIG 9DQ
Approved by order of thc board of tn￿eeS on....
signed un its bchwllby:
MTS K A Tum¢r- Trustcc

INDEPENDEiYf EL4MINER'S REPORT TO THE TRUSTEES OF
SMILE FOR JOEL
Indtptnd¢llt eumlner's report to the trustee5 of Smile for Joel
l T¢POrt to the charity trnste¢s on my examinition of ih¢ accounts of Smile for Joel (the Trust) for th¢ year ¢nded
30 November 2023.
Rewn51bllltles And b&sis of ￿p01t
As th¢ eharily In￿le￿ of Ibe Tru%( you ar¢ ￿pOnsible for thc prcpar8lion of the #ccouttts in accordanc¢ with thc
rwuircJTKnls ofthe Charities Ad 20111'th¢ Acr).
I rwrt in r¢spcci of my cxaminAtion of thc TnL51'5 accounts wried out under Se¢lion 145 ofthe Aci in c4rrying out
my cxaminalion I have lollowed all applicabl¢ J)ire¥lions 8ivcn by the Charily Conknnission under SeLLion 145(5Xb) of
thc Act.
Independent exAmSller'i Jtstemetht
I havc compl¢ted my examinatiun. I conlimi no material mattcrs have comc to rny Attcntiun in connectiott with ihc
¢x4minalion giving me causc to belie￿ thal in any maLerial resp￿1..
accounting records wcrc not kept in respeci of the Trus1 &5 required by Section 130 ol'the A¢4. or
the 4ccounts dv not ￿Cord with thi)se recordj. or
the ￿EX)unIS do not comply wilh ihe applicable rcquiremcnis concernin8 thc fomi und eontcnt uf acCo￿t8 set oul
in the CharitiC5 {A¥ioun¢&' RcporL81 Rc8ulalions 2008 oiher than any rcquiremenl that the accounts give
tryc and lair view which 15 nol u ￿￿ter L(?nsidcred 4L8 Part of on indepcrtdent exllminalii)n.
I havc no ¢onccms arml comc ucross no othv mJtlers in c¢)nnection with th¢ examination to which ut¢¢ntion shuuld
be ¢Jrawn In this report in ordcr ￿ ethablc a proper underbl&ndin8 01.the o¢counts t¢) be reached.
John Tillman I,'CA
DTL Auditors Limited
5th FloorNorth Sidc
7-10 Lhandvs S¢r¢¢t
Cavendish Squar¢
Ixjndun
WIG 9DQ
261912024
Dale.. .....

SMtLE FOR JOEL
STATEME￿ OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 30 NOVEMBER 2023
3￿11.13
Unrestrleted
rund
30.11.22
Total
fund$
Note
INCOME AND ENDOWMENTS FROM
Donations and le8acies
59,815
77.123
EXPENDITURE ON
Raising fi￿d&
21,481
26.6(K)
ChArlt•ble actlvltles
Pxyments lo Vielim Support
Scrvicc (klivery
72.000
6.532
75,01)0
5.441
4,217
4.571
104,230
NET IIYCOMEI(EXPEIYDITURE
(44,415)
134.4891
RECONCIUATION OF FUNDS
Tothl futth brou8ht f¢mvArd
99.413
133,9n2
TOTAL FUNDS CARIUED FORWARD
54.998
99.413
The notrs form partof these financial statcments

SMILE FOR JOEL
BALANCE SHEET
30 NOVEMBER 2023
30.11.13
Unr¢Jtrl¢ted
fund
30.11.22
Total
nds
Notcs
CURRENT ASSETS
DebLors
Cath at bank
41
55.375
l(Kl,153
55,416
IIM).153
CREDITORS
Amounts fallin8 thie within one year
(4181
1740)
NET CURRENT ASSETS
54,998
99,413
TOTAL ASSETS LESS CURRENr
LIABILITIES
54.998
99,413
IYET ASSETS
54,998
99,413
FUIYDS
Ilnrc5tricicd fuTrJ8
54,998
99.413
TOTAL FUNDS
54.998
99,413
Th¢ finan¢ial 8tht¢ments MrTC wrnved lry thc Board of Tn￿le¢S and auihori3¢d for
..IS/.q.l..a.Q).A.F... 4nd w¢r¢ yigned on it¥ ￿half by..
on
K A Turner- Tr￿￿e¢
The notci fonn of thcsc fLn8ncial statements

SMILE FOR JOEL
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 NOVEMBFR 2023
ACCOUNTING POLICIFS
BA5i5 of prep*rlog the t1￿*￿e1a1 stAteJnents
l-he fjnancial 5tBLemcnts of the charity, vthieh is a public bcncfit cntity undcr FRS 102, have bccn prepor¢d in
a¢¢ordaThce with the charities SORP (FRS 1021 'Ac￿UntIng and Reporting by Chwilies.. Stai¢ment ut.
Recommended Practice appliGable lo ¢harities prcparln￿ their accounL4 in I￿OrdaI￿ With the Find￿1￿1
Rcporting Standard applicable in the IJK and Republic of Trel￿d (FRS 1021 leffcctivc l January 2011)),.
Fin&ncia] Reportlll8 Stsndard 102 'The Finanrial Reportin8 Standard applicable in the UK and Rcpubli¢ of
Ireland, and the Chariiies Ad 2011. I'hc finart¢ial staLements have bcen prepartd undcr the hi5turical cosl
wnvenlion.
Intome
All income is rerugnis¢d in the Statcmcnl ufFittAIJ¢IAI ActivilieB once the ch￿lty entitlement to ihc funds. it
is p￿babIe that the income will be rc¢¢iv¢d and the amouttl ¢an b¢ me&8ured rcliably.
EypenditurE
I,iabiliiies src rec(?BniStd as ¢xp¢ndityre soon ￿ thcrc is 8 1¢881 or con5tnKliv¢ obligation committing the
charity (o that expcnditure. li is probable that a Irunsftt ofe¢on¢)mi¢ bcncflts will bc Tcquired in seltlemcnt and
thc amouni of ihe obli8ation can be me&8vred r¢li8bly. ET(pcndiLuTC is ￿0￿nied lor on acLruals b&¥is and hws
bo¢￿ clussifjcd under hcgdin&s that a88￿¥&1¢ Mll ¢o¥i related to thc ¢*trgory. Wh¢r¢ ¢i)5ts canrH)t be directty
altributcd to p￿1¢￿Iar headin88 ihcy have heen 8Sloca*d Lo activities a bwis consi5tcnt wilh thc of
resources.
Toxatlon
Th¢ charity ex¢mpt frL)m lax on ILY Lhllrithblr acllVIti¢s.
Fu•d •¢countln%
UnTe51rictcd fund$ Can he used in ￿cord￿£¢ with the chDrit&blc ubjcctiv¢8 at the disu¢iion ofthe uuyi¢¢s.
ReBtrid¢d fijttdi Con only bc us¢d fiTrr particular restricted purposcs within thc objects of the charity. Rc5tyiftioM
isc wh¢n Jpe¢ified by the d(Jnor or when funds aTC raisrd for portiiulpr W5tri¢Led purpose
ruflher cxplthnllion of ihe nalurc and purpLk¥C ofexh fund is included in the noles to the firtanci￿ 6laiemeThts.
TRUSTEES, REMUNE114TION AND BENEFITS
Thcrc were no lrn&tees' rcmuncration or oih¢r b¢nefits lur thc ycar cnded 30 NovembcT 2023 nor for ihe YCHT
ermicd 30 NDvcmb¢r 2022.
Trustees. txpenj
There WCTC tto tswstees. expenscs paid for Ihe year ended 30 Novcmbcr 2023 nor lor thc year ended
30 Novembcr 2022.

SMILE FOR JOEL
NOTES TO THE FINANCIAL STATEMEIYTS - eondnu¢d
FOR THE YEAR ENDED 30 NOVEMBER 2023
STAFF COSTS
The avcra8¢ monthly numbgr of employe&% durih8 thc year was as follow5:
3￿11.23
30.11.22
Adminis¢ralion and fimdraisin8
No employ¢e5 rcceivcd cmulumen¢J ITr cxc&w of£60.000.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestrltltd
fund
INCOMF AND ENDOWMENfs FROM
Don&tivns and le&￿1¢$
77,123
XPENDITURE ON
Raisin8 funds
26,600
ChArltAblt gctlvitl¢$
Paymcnts ts) Viclim Support
Scrviee delivcry
75.000
5.441
her
4.571
NET INCOMEI(EXPENDITURE)
134,489)
RECONCILIATION OF FUNDS
Total funds brought forward
133,902
TOTAL VUNDS CARRIED FORWARD
99,413
DEBTOKS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
311.11.23
30.11.22
Othcr debtors
41

SMIl￿ FOR JOEL
NOTES TO THE FINANCIAL STATEMENfs - continued
FOR THE YEAR ENDED 30 IYOVEMBER 2023
CREDITORS.. AMOUIYTS FALLING DUE wrrHIN ONE YEAR
30.11.23
30.11.22
Trade creditor
Taxation and social security
Other CTcdhtors
80
625
35
418
418
740
MOVEMENT IN FUNDS
Net
mDvem¢fjt
Ill funth
At
1.1222
Al
30.11.23
Unrestrltted funds
GeD¢r81 lund
99,413
(44,415)
54.Y9a
TOTAL FUIYDS
99,413
144,4151
54,998
Nd tnov¢m¢nl in iIILluded it) th¢ above ￿¢ #s fthllows..
llleomlng
resouretS
Movement
lth fundi
txptnded
Unr¢•lrkted
CJen¢raJ fund
59,815
(104.230)
144,415)
TOTAL FUNDS
59.815
1104.2301
(44,415)
C•mpAr#tlvts for movement
Iyet
At
1.12.21
vtmen¢
In fundi
At
JO.1 1.22
UDmtrlcted
Gcn¢r41 liind
133.902
(34,489)
99.413
TOTAL FUNDS
133,902
(34,489)
99,413

SMILE FOR JOEL
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 30 NOVEMBER 2023
MOVEMENT IN FUIYDS- continued
Comparative riet rnovcmenl in futwts. included in th¢ ¥bove Hrr ￿ follo￿.
IncomlA8
Re50urcti
expen41td
MTrvemeNt
Unrttrieted
Gcner#l fvT
77,123
134.489)
TOTAL FUNDS
77.123
(34,489)
A current year 12 months and priur ycllr 12 rnL)nth$ ￿mbIrted Position 18 as follo￿..
Net
mov¢mene
In fund
At
1.12.21
At
30.11.23
Unreitrleted funda
General lund
133,902
(78,904)
S4,Y98
TOTAL FUNDS
133.902
178,904)
54,998
A current year 12 monthy And prhur ycar 12 mon¢hs combincd nei mov¢mcnl in fund8. I￿l￿ded In thc above arc
as follows..
Intomlng
resourc
Resoureu
expended
MovtrneDt
UDrutrleted fund•
C￿eT￿l lund
136,938
1215,842)
(7B,904)
TOTAL FUNDS
136,938
1215.842)
178,¢AHI
RELATED PARTY DISCLOSURES
There were no r¢latcd party tran8i¢tioM for th¢ year ended 30 November 2023.

SMILE FOR JOEL
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 30 NOVEMBER 2023
3￿1123
30.11.22
INCOME AND ENDOWMENTS
Don&tloD$ And legAtIt8
Donulion5
Gifl aid
8A1¢ i)f merchandis£
Fundraising events
24.381
534
1.193
33,707
77.123
59.815
77,123
TolAI Incomlnt resour¢es
59.815
77.123
EXPENDITURE
R•l$lng don•¢lons And le8i¢le•
Wages
Advertising mw4(ctin8
20.118
921
20,017
436
21.039
20,453
Other tr8dlnE aetlvltki
Costs vrrundr4Li¥tn
6.147
Charltabk actlvltlej
Scryi¢c delivcry
Mcrchandiae c0513
74.375
4.023
75,000
5,336
78.400
80.336
Support colts
M8uAgement
Telcphonc
Postpgc and s￿l0￿Cry
Sundries
Trwel
1,789
836
1.447
145
884
1,423
1272
(8)
4,217
4,571
FlnRn¢e
Bank charg
132
IQ5
Totsl resourcc5 expend¢d
104.230
111,612
Net expenditu
144,4151
(34.489)
This pagc doeA not fonn p&1 of Ihe Sthttltory flnancial statements
-i(