Charfty reglstration number 1177460
EVIES GIFr cio
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025

EVIES GIFT CIO
LEGALAND ADMINISTRATNE INFORMATION
Tru¥tse¥
Mr B Clover
L Gates
D J8d(son
K Corilon
N Patel
S Fk)pkins
S Jordan
K Vickers
(Appointed 17 July 2024}
Charlty numb•r
1177460
Prin¢ipal addrev4
2 Famihouse CoLtrt
Melksham
Wiltshire
SN12 6FG
Independent examiner
C(yJntrA(xx>unlancy Lnnited
12 The Coutyard
Buntsford Drtve
Bromsgro
B60 3DJ

EVIES GIFT CIO
CONTENTS
Page
Trustees rèpwt
Independent examine¢s report
Stat8m8nt of financAal acbvitias
Balance sheet
Notes to ihe financial stslements
6-10

EVIES GIFT CIO
TRUSTEES REPORT
FOR THE YEAR ENDED 31 MARCH 2025
The Trustsas prasent their annual rerx)rt aNJ finan(¥al stst8m￿ts for the year ended 31 March 2025.
The finanaal statem8nts have be#n prepared in a￿￿anCe wth the ac£ounb"ro pJiioe5 set oul in note 1 to the
financial statements and u)mply with the chariVs IgovemirKJ doLyJmenfj, the Charilies Act 2011 and 'Accounting
and Reporting by Charities". Statemènt of R•commended Practice applicable to chartbes preparing th￿r accounts in
accordance the Finanoal R8wrling Sland8rd appl￿1￿9 in tho UK 8n(J R8publK of Irdand IFRS 1021"
18ffed1￿ 1 January 20191-
ObJe¢tlvg8 and actl¥ltles
The objeth.ves of the charty are defined in ts I￿sb1ubon and are as ￿￿k)Ws.
To promote the relief of sickrL&SS and the thn(*mont of health 1ndl￿lIng in particular {but without limitation) by
prowdSrwJ support to the famlliès of ¢hikJfyn wrth liNlmth"wJ 8n(I lffe-sh(thnlrvJ ￿n￿￿.0￿S 8nd by promotlng
research into brain cancer.
The trust￿ conffmi that they h8ve referred to the Ch8rty Commission's guidance on public benefft when reviewing
the charity's aims and objectives. in planning fu￿re aL*wtigS. 8nd sètlirYJ the grnnt making policy for the p&riod.
Athievements and pgrfomionce
This financial year saw an inthal reversal in th
her role at the end of Juty. A strong resFon
addition, th8 Managef's fws on events a
making us less vulnerable to downtums elsewhere.
Applications for assist3ne8 warè st8ady throughout tho seo)nd half of 2￿24 but start￿1 to pick up markodly in 2025.
We leaml that one of the chartty hornes in Bri*ol had closed for refurbishment and in turn this had pushed mora
families in OUT direction. Expenditure on accommodation in the last few weeks of the year was more than double
that plann8d. This trend O)nbnl￿d in Aprd 2025 and so we ILX)k the dètsisi￿ tr) r8strict the maximum number of
n￿hts, accommodation to two niglrts for a short Ktn(xJ. Our work continues lo promde vrtal support for the parents of
cribc8lly-ill children across the c(yJntry and we expect the need lo grow during the nexi financial yeaT as cosl of
living pressures mean th8t mor8 parerts will struggle to cover their own u)sts. The Board hès insb"9ated plans to
ensure the long-tertn survN81 of the Chartty shwld income genernts'on be￿rne diffjcull On￿ again.
Going foTh¥ard, wa expect the next 2 or possible 3 years to be onès of {￿s011dati0n rather than growth. The Board
believe5 that lrying to grow wtthout suffiuent fijnds in pkce is not wse and so wè will makè certain Ihat a measured
approach is adopted throughout. In eady 2025-26 w8 wll also launch ryjr first impact rewrt 8iming to demonstrate
to the wider public the tnje nature of our work and the Ittfferen¢x it makes.
Tha Board vAshas to oxpr06s its sincere thanks to Je55 Hi￿￿. tho Charity Manager for her hard ￿rk and
dètèmiination to meet the g¥owng need.
Ile dedln$ ol wr inojne vthen the new charity manager took up
aFvJ foundab.ons lo rebuild rès8rM Onc￿ again. In
ding fairs and feles has hdFeJ fo broaden our ￿COMe strgams
ft)mi
Flnanclal rnvlew
The dttficull economic conditions havé impacied athrsely on the Ch8riVs anticipated income from donalions and
fijndraising events. Although fundrai￿￿9 inwme was down on ￿3t yeaT the related evenl and merch8lldise costs
were st￿nI3￿Y red￿ed and grant applicabons to trusts and ft￿r￿JaI￿ns wgre abo reducod ￿1h in￿rne of £20,500
compared 10 £47,500 last year.
Parent support grants amounted to £21.567 12024 £37.4611 relI￿r￿ ￿ th￿Ons made to r&Juce financial
suprK>rt available to parents.
At the year eDd the charlty had reseryes of £26.865 {2024 rJ2.$67) am ofwhich are unrestricted.
Majorrisks
The Truslees have assessed tho maffx risks to whth the is eN4x)wJ. and we 8ats"sfied that sysièms ar8 in
pla￿ to mittgate exposure tr) the major risks.

EVIES GIFr cio
TRUSTEES REPORT (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
Structure, governance and managemont
The Twslees who seived durirvJ the year aFKf up lo the date of signatts￿ of the finanaal staterrw)ts were..
Mr B Clover
D Crane
L Gate8
D Jackson
K Cordon
N Patèl
S Hopknn$
S Jordan
K VKJ(ers
(Appointed 17 Juty 20241
Const5tutlon
Evie's Gift CIO is 8 charrtable incorporated organisation estsblished on 7 March 2018. It is governed by its
consti1ul￿n and was èstsblished in memory of Ewe Melissa Gra￿ ClovervkKI died on 11 January 2018.
Organlsatlon of the charity
The tharty's tNstees manage th8 affairs of the chartty and may for thal wrpose exercise all the powers of the
charÉty.
Appolntment of truste•$
In selecting individuals for appointment as appointed charity trustees, the thartty tsl￿teeS must have rogard to the
skills, knowl￿98 ancl experien￿ needed for ￿ eff8c*ive 8dministr81K)n of the thanty.
Apart from the first charity trustees. every Inth must be apwnled for a temi of three ygars by a resOlut￿n
passed at a property 1x)nver￿￿ rneeling of the charrty trustees. The numtw of tnjstees musl be a minimum of 3
and a maximLwn of 10.
M•M￿rshIp
Tha mèmbers of the charity shall b8 its charity trust88s for thè tim& being. The onty persons eligible to be mambars
of the chartty are ils L*arty trustets. Membership o*the ¢harity cannot be transferred to anyone Èlse. Any member
and chanty tnjstee who ceases to be a ¢*aTity trustee automab'cally ceases to be a membeT of the charity.
The Trustees reF*Nt was aFvrovd by the Boanj of Trustees.
Mr B Clover
Trustso
Dale..

EVIES GIFT CIO
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF EVIES GIFT CIO
I rgport to the Trustees on my examirraticffl of th8 finanaal statements of Ewe5 Gift CIO lthe tharity) for thè yè8r
ended 31 March 2025.
ResponsIbill￿oS and basls of rgport
As the Trustees of the charrty you are re$F￿￿ble for the pteparation of the fknandal stslements in 8cc¢¥Oance with
the requirements of the CharÉttesAct 2011 (the 2011 Adl.
I report in respect of my examinabon of the Chari￿s finanoal statements 12ffied out under section 145 of the 2011
ALt. In G4rrying out my exafflination I have folbwed all the ap￿1¢able Th"rgth"ons gNon by the Charity Commission
under section 145{5llbl of the 2011 Ac
Independent examlnefs statoment
I have o)mpleted my examinabon. I confinn that no malters have come to my attenlKJn in c>Jnnection wllh the
examinats'on givTng me cause tr) bdieve that in any malerial respecL
accxyjnting re(XJfds were not kept in respect of the thar¢ty as Tequir&J by sect•)n 130 of the 2011 ACL or
the finanaal statements do not aco)rd wth those records,.
the financial statements do rKJl comply the applicable fequiramonts (#y)t%ming tho fom and content of
accounts sèt out in the Chartb'es IAGcounts arxt Repc¥ts} Regulations 2C(J8 other than any reqUi￿rnent that the
acctsjnts give 8 true and lairmew which is not a Matter￿nSIdered as pgrt of an iNIorH￿ent ex8mirotion.
I have no r4)ncern5 arKI have ￿rne across m other matters in connèdiDn wilh tho &xamination to which attention
should be drawn in Ihis rep)rt in order to enable a proper ur*Jerytanding of the financaal statements to be re8¢hed.
Mark Wammn FCCA, FCA
Indep8n¢Jent Examin8r
cognrtorAc￿Vnta￿tty LÈmrl¢d
12 The Courtyaril
Buntsford Drivè
Bromsgrove
B60 3DJ

EVIES GIFr cio
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 MARCH 2025
Unrestrict•d Unrèstricted
funds
nds
2025
2024
Ineom• from:
Donations and lega(x8S
charitab￿ activthes
Investmènts
39263
67.204
8,967
31
72
Total incomè
47.979
76,202
Expenditur• on:
ising funds
Charitsble activftles
2.220
51,461
987
72,2
Total gxpendlture
53.681
73,283
Not Incomèll•X￿ndItUr*} and movomonl In funds
15.7021
2.919
Reconciliation of funds:
Ftjnd balan(w at 1 April 2024
32.567
29,648
Fund balance5 at 31 March 2025
26,865
32,567
The ststsment of finanaal actNities indLKles all gairts and losses re(x)gnised in the year. AJI income and expenditure
d8rive from (x)ntinuiro aCtiV￿"eS.

EVIES GIFr cio
BALANCE SHEET
ASAT31 MARCH 2025
2025
2024
Not•s
Curr•nt ass8ts
Debtors
Cash al bank and in hand
12
231
35.&34
399
32.895
35.825
33.294
Creditors: amounts falling due within
one year
13
(8.￿)
(7271
Net currènt assets
26.865
32,567
Net assots exdudlng penslon Ilablllty
26,865
32,567
The funds of the charity
Unrestricted funds
26.865
32.567
26.865
32.567
The financi81 st8t8rn9nts were apprDved by the TFUStees on.. ....
Mr B Clover
Tru¥tse

EVIES GIFT CIO
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Ac¢ountlng pollcles
Charfty inforniatlon
Th8 charity is a charitabl8 inu)rwdtgd oryJanisation wthich was ￿ks1or8d in Engknd and Wa* on 7 March
2018. address (rfthe offKe is 2 Farn)k￿ C(th. Mglksham. SN12 6FG.
1.1 Accounting conventlon
The financial stsiements have been prepa￿ in 8ccordan¢e vrilh Ihe tharivs tgovemlng docJJmentl, Ihe
Charities Act 2011, FRS 102 Ihe Fin8nryal Reporting Standard applicable the UK and Republic ol Ireland.
I'FRS 102.1 arKI the Charities SORP 'Accounting atKI RgkKJrting by Chartties.. Ststement of Recotnmended
Practice applicable to charitiès prep8ring their accounts in accordance with the Financial Reporting Standard
applicable in the UK and Republic of Ireland {FRS 1021" {effg¢live 1 January 2019). The charity is a Public
Benefit Enkn"ty as defined by FRS 102.
The charity has takèn advantsge of the Frnistons in the SORP for th8nties not to prepare a Slatam8nt of
Cash Flows.
Th8 finanoal stat8m8nts 8re prepared in sterfing, whth is the funcl*)nal cU￿ncY of the charity. Monetary
arrK)unts in these financAal statemonts aw rwnded lo the nearest £.
The finan¢ial staternents have been prerored Und￿ th8 hfjsknic￿ ts)st o)nvenlion, Imodified to include the
revaluatson of freehold Fwopèrties and lo tndltde investment properties and certain financial instruments at fair
valuel. The prinapal a¢(y)unb"ng pdiues adcyted a￿ set out beknw.
12 Going concern
Al the time of approwng Ihe firAncial statements. th8 TnJsl8es have 8 reagonable expectation that the ¢harfty
has adequale resources to continue in opetsb.onal existence for the foreseea￿2 futurè. Thus the Trustees
ntinue to adopt the going corKem b￿S ol aLwunb"rKJ in prepanNJ the fin8n(ial statements.
1.3 CharTrlable funds
Unrèstricted funds are avali abk fcf usa at the discrabon of thè Trustgos in fvrtherancfj of thelr charftaNe
objec*ves.
1.4 Incomo
Inu)m8 is recognised when the tharity i% legalty entilled tr) tt after any k)thm8nce condibons have been met.
the amounts can be Measu￿ ￿lthty, and rt is ￿￿Obable that incC￿e WIN be re￿ved.
Cash donations ar8 r￿nised on receipL Other donations a￿ rwnlsèd on(* the charity has been notthed
of the donation. unless perf0mlan￿ cond[t￿S rèouire dèferrdl of the amounL Income tax rè¢ov8r8ble in
181ion lo donations received uThJer GfftAM1 or deeds of Covenant is rBQX)Jnised al the time of the donation.
1.5 Expenditu
ExpènditLJTe Trs recognised theTe is a 16gal or constrnctiv8 d)IKJalion to transfer economic b8nefft to a
third party, it is probable that a tran4er of ec¥xK)mic Èenefits will be requirgd in salll9menl, and the amount of
Ihe oblioation can bg measured reliably.
Ex￿ndItUre 18 dassffied by activty. The (x>sts of a¢bvity are Made up of the total of direct oysts and
shared costs. induding suprM)rt costs involvetl in urKlertaknng each activty. Direct (x)sts attributsble to a sirwJle
activity are allocated directty to that actwity. sha￿ o)sts whth contribute to rnore than one activty and
SUPPDrt costs which are not attributable to a single activity are apporhoned between those actrmties on 8 b881$
consistent wth thè use of resour￿. Centra staff costs arè ak)cat6d on thè b*s of sp8nt

EVIES GIFr cio
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
crftlcal accountlng estlmatès and Judgèments
In the applicalh)n of tha thanty's acrA)unting tha Trust￿ ara wuir811 tt) makè judgements,
estimates 8nd as%umptiorts the (2rrying amount of assets antl liabilities th8t S￿ not readily #ppar8nl
from other sources. The estimates and assoaated assumptions are based on historical experience and other
factors that are ￿nS￿dered to t* thanL Aclual resulis nw dtffer from these estsmates.
Th8 estimates and undertw'ng assumpl*)ns are reviewed on an onwng b8Si5. Revisions to accounting
estimates are recognised in the in whith the estimate is revised where the revision affects only that
period, ￿ in the ￿riort of the rovisv)n and future pori(KJs ￿er8 Ihe rBw&on aff8¢ts ￿th currgnl aThJ future
periods.
Inc¢mo from donations and 18gacl95
Unre¥trld¢d UTrr¢$trl¢t¢d
funds
funds
2025
2024
Don8tson$
39263
67,204
Donatlons
Donations
Oonab'ons from trusts and foundallons
Donabons from bLtsiensses and partnerships
1S,891
20,5CX)
2,872
17.254
47,500
2,450
39.263
67,204
Incomg from eharltablo athiti•s
Unrestrlcted
fvnds
2025
Unrestrtctsd
funds
2024
Jurassic 13
Merchandise sales
Personal challenges
5,937
2.880
150
636
8.008
8,967
Incorne from inve¥trneTht8
UnrÈ*trictsd Unrèstriet•d
funds
ftlnds
2025
2024
Bank interest ￿e1Vab
72
31

EVIES GIFT CIO
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
Expendliur¢ ¢)n ra￿Ing lunds
Unrestrictsd Unrestrl¢t¢d
funds
funds
2025
2024
Fundralslng
Merchandise and other avent LJ)sts
2,220
987
Exp8ndltur• on charltable actmtles
2025
2024
Par•nt support grants
Accommodation
Food ar)d clothing
Travel and parkirrfJ
21,367
10.562
13,500
13.400
21,567
37,462
Shar• of support and govgrnanc• costs ($00 nots 8}
Support
Govemanc8
29.294
34.234
fjoo
51,461
72,296
Analysls by fund
Unrestricted funds
51,461
72.296
Support ¢08ts allocated to aetlvltl•s
2025
2024
21.669
1,539
731
4,080
352
923
26.265
168
2.874
3.666
338
923
Marketing
Conputer and IT costs
Website and IT wuipment
Insurance
Other administrative ￿sts
29.294
34,234
Trust•es
None of the Trustees {or any Per￿￿￿ ￿￿￿8(*ed wilh Ihem) rec￿ed any r8muneration or benefits from the
charity during th8 year.

EVIES GIFr cio
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
10 Employ
The averaga nMNith]y numberof employees during the year was..
2025
Numbor
2024
Number
Employment costs
2025
2024
Wages and salari8S
Other pension costs
21288
381
25.667
598
21,669
26,265
There were no employees vhbxe annual remuneralK)n wa8 moro than £60,LYXI.
11 Taxation
Thè charity is exampt from t8xation on rfs athbos becaLtse all ils incilme is appli•J for tharitablg purpos93.
12 Dèbtors
2024
Amounts falllng wlthln one year.
Pr9paym8nts and accxuad i￿￿7e
231
399
13 Crèditors: amounts falllNJ du• Twlthln ono year
202S
2024
other taxation and sooal 5gotyity
Olh8r erÈditors
Accruab aThJ deferred IrKome
360
8.000
727
8.960
727
14 R¢tlr•mont ￿n￿lI ￿1￿M•S
2025
2024
Defined ¢ontrfbLrtloh schemes
Charge to profft ￿1053 resFeCt of defin&l ccrtributwn sth8m8s
381
598
The charity operates a definwj contribuiion pension SCI￿18 for atl qualtyng employees. The assets of the
scheme are held separately from those of the charity in an indet*Thl8nlly administerèd fund.

EVIES GIFT CIO
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
15 Unrestrlcted fund¥
The unrestricted funds of th8 clmrity (x)mprise the unexFended balan￿S of donations and grants which are
not subject to speofic condthons by donors and grantors as to IMJW they may be used. Thése incliJd8
designat6d fvnds whth have tsen set asth out of un￿striCted fvrKls by th8 trustees for Speufic purposes.
At 1 April
2024
Incomlny
Resour￿8 At 31 March
2025
General lund
32.567
47.979
IS3.681)
26,86S
Prwious ygar.
At 1 April
2023
Ineoming
resources
Resoure•s At 31 March
expended
2024
Géneral funds
29.648
76,202
(73283)
32,567
16 Related party transactions
The chantys trustees have donated £2.08812024 £1.5411 to Evie's Grfi.
10-