Charity registrntion number.. 1177460
EVIE'S GIFr CIO
TRUSTEES. REPORT AND
UNAUDThED FINANCIAL sfATEMENTS
FOR THE YEAR ENDED 31 HARCH 2026

Evle's Glft CIO
Contents
Page
Trustees.
1-4
Independent Examlnees Rewt
Statement of Fillancial Athvities
statement of Financial F*>5ittDn
Notss to the Flnanclal Statements
8-11
The following pages do ¥¥)t fom part of the stotutory accounts:
Detsiled Statement of FinarKLal N£t6¥￿1
12

Evie's Gift CIO
Trustees, Report For The Year Ended 31 March 2026
The tn¢stees present their report and the financoal ststements for the year 31 March 2026.
ObJoCtlveB and Artl¥ltl
Alms and ObJ•rtlv•s
The Trnstees present thelr annual report and finarKial ststernents for the ￿r ended 31 March 2026.
The finandal statements have l*en prepored in ac£ordaKe with the accwnting policfjes set out in note L to the finaneial
statements and ¢ompfy with the tharity's governlrrfj dcrumenL the charJ￿ Act 2011 and "Act¢)untiw and Reporting by
Charltyes: Statement of Recommende¢l practi￿ applicable ts charÈtb&s preparing thelr accounts in aCcOrdafi￿ with the
Fifiancwl Keporting Stsndard applicable in the VK and Republt of I￿land {FRS 102)" (effECtwe l January 20191.
Th¢ obJeLllves of the eharlty are defined In fts Constli￿Tr and are as follows:
To promote the relief of sickness and the adVarth￿nt of health indud6ng In pat￿lar {brt wlthout IlmtsYon} by providing
support to the fami1*5 of chlhlren wth life-limrbng and Itftrth)rtening condltK¥n5 ond by t￿￿T￿"n9 research Into bt31n
canw.
Publlr Bgn•fit
The trustees confirm that they have referred to the Charity CommIsS￿n'S guidance on ptsbllc benefit when ￿vIewIng the
chaAty's alms and oblectlves. in ￿annIng fvDJre aetivlttes, and setting the gfdnt makin9 polity for the Feriod.
The tr￿teEs confim) that Ihey have c¢)mplled with the requ1rtr￿ftts of se¢b￿ 17 of the thaTltles Act 2011 to have due
regarrf to the Charfty Commlssion% guida[￿ on public ￿nefiL
Achlwements and Perforniance
Maln Athl•¥em•nts
Tris financial year has tumed ovt much as exFeCted wrth a steady stream L* applTrUon5 for asS￿lanCe but faced with
drfNc¢Jlt fundraisirwJ conditicffis. It Ls a tribute to the hard wot* of the Charity Manager that we ended the year in a better
positlon than experted. As always, global MacT(￿COM(￿￿ factors influenced our Inc(me as fewer w)ple felt able to
5UPPOrt us and bu5ine55e5 strUgg￿d with an ever-dirnini5hing LN)ttL￿ line.
We were eXtrerr￿ly pleased to be selected as tharity of the year by Tethw)int follo¥￿ng a 5toff vote, and that local sUCtt55
wa5 followed by Hall and W(KxJhou5e making a gront of £1.5￿. Elsewtr￿re we won the'small Charity of the Year, award ot
Bath ￿fe A¥Yards and Y4ere *lected as a final￿ for the Bath Ufe Award5. These suco$5e5 refiert the hNJh esteem wlth
whlth the Charity ￿ held. We have ah¥ays prfded oursefve5 that we delNer a service that 15 desperately needed aFwJ are one
of the few that can do it at a national level despite ovr sÈze.
The producuon of our nrst Impact report was a huge 5ucce5s and we launch￿ rt at the Gala Dlnner In Septern￿r 2025
where it was well received. The Gala Dlnner ttself. whlle ￿Ing a greèt deal of work. was another huge moment In this small
tharity'$ history and a5 chair I would like to thank Je55 Hi15don the Ch6rity mar￿ger and tnjstee Gotes for their tirele55
work to make sure that tlE eveHt went off without a hitch. The timing of the event. September 2025, chimed nlcely wlth
oyr 2,025th Family helped. The messages from families that we have hel￿d gave everyone a true understsnding of what
we are about and brought the total'profit, from the event to £6.OLK).
The tight tundralsing cond￿0￿5 ff￿nt that we malntained our pc6ition of offering a ffla¥imum of two nlghts.
accommodation to Ènsure that we coukl stretch the funds are fvr as kwible wIth￿t impacb.ng on the effectiveness of our
Servi￿ offe￿n9. We sull hope to Increase th15 shx¥ly as fund5 Fermit, bjt we will need a sustslned Impmvement before
retumlng to flnancial awards as well. Next year we will increase the Managers hours to ftill trme Sn an effort to create
stronger fundraising base golng fonvard.
With global economic and p)litkal urKertsinty Sbll a maior Fnffuence. we ex￿ the corning financial year to be o mirror
image of this year. but we wlll endeavour tt> break new fUndra￿ng ground and rebuikl our reserves. If we achleve our
goals. the alm Is first to In¢￿aSe the standord acccffjfflr*Joiion bookirrfj to 3 nights, then back to the orlginal 5 nlghrs. A
sustainÈblÈ financial wsition is our primary goal: however, so everything Is Ir￿orne dependenL We will not wt the Char
at undve dsk.
Page I

Evle's Glft CIO
Trustees, Report {contlnued)
For The Year Ended 31 March 2026
Fln*nclal Revlv
Anafid*l Posltlon
Emnomlc conditiorss have ￿naIned chalknging blrt knccrfne has irrnsed due to thè hard work of the trustees and the
chadty's manag&.
Donatio￿ inereased to £39,070 (2025 £15.891}, whltst retsonal d￿le￿ Increa￿ to £13.412 (2025 £8,008).
Grant applications to trust5 and foundatlor6 were gtccethl incThne of £27,0(M) cornparal to £20.500 last year.
Parent sypport grants amounted to £28.40512025 £21.5671 which is a reffeCti￿ of improv&1 income ￿rf0m1an￿.
At the year end the chjrrty had reserves of £32,966 (2025 £26.865) am of whth are unrestrirted.
Major rbsks
The Trustees have assessed the major to whth the tharity Is exposed, and are satisfied that systerns are In pl1￿ tr)
Mi￿gate exposure to the major risks.
st￿ctUre. Governan￿ and Manag￿*
Gov•mlThg Document
Constltutlon
Evle'$ Gft Cto 1$ a thartiable ivcorporated ¢)rganisabon establ￿hell on 7 March 2018. It is governed by ts ts)nstiturton and
was estsblished in merrnry of EV￿ Mdlssa Gra￿ CkJ¥er who dled on 11 January 2018.
(trgJnI$￿oTr ol the ¢h)*ity
The charw's trustees manage the affair5 of the tharity and moy for that purpose exercise all the powers of the thatlty.
Appolntmtht ot trustees
Ln selecting Indlvldua15 for appjlnlment as atwlnted charlty trustees. the charlty Instees must have ￿ard ts) the skllL*,
knowledge and eXpe￿en￿ needed for the effettive administration of the chaTSty.
Apart tr￿￿ the lirst charty trustees, every trustee must be ￿p￿Illted for a ternb of three years by 3 resolution passed at a
property conveThed [T￿eti￿ of the chanty trustees. The number of trustees must be a minimum of 3 and a maximym of 10.
Membetshlp
The members of the charfty shall be Irs charity tr￿le¢S for the time being. The only perscrfs ellglNe to be member5 of the
charfty are its charity trustees. Membershlp of the charlty cannot be traTrsfer￿ to anyone eLse. Any member and ¢harfty
trustee who ceases to t* a trustee automatically ￿Se$ to be a member of the chartty.
R•f4rnnt• and Admlnlstratlve Detslls
D Crane
L Gates
D Jackson
K Cordon
N Patel (resigned 2410712025)
S Hopkir
S Jordan
B Clover
K Vlckers
Ch4rfty Numb•r
1177460
Page 2

Evle's Glft CIO
Trustees. Report {contlnued)
For The Year Ended 31 March 2026
Prlnclpal Address
10 Menhyr aose
St Buryan
Cornwall
TR19 6FF
Independent Examlner
ark Wamian FCCA. FCA Lndepend•)t examiner
Cognitor Accountsry ￿m￿e￿
Chartered Certifled
12 The Courtyard
Buntsford Drfve
Bromsyrove
Wortestershire
B60 3DJ
Page 3

Evi•'s Gift CIO
Trustees. Report {contlnued)
For The Year Ended 31 March 2026
The trustees, report was aps*oved by the board of trustees and signed on its behalf by:
Cknver
Trustee
Date IL 2

Evie's Glft CIO
Independent Examlner's Report to the Trustees of evle'$ Gift CIO
For The Year Ended 31 March 2026
I rekX)rt to the trustees on my exarninab.on of the accounts rf Evle's G6ft ao (tr* Tr￿t} for the yeor ended 31 March 2026.
R•sponslbllltl•s •nd Bas18 of Report
As the charity trustees of the Trnst you are re5[￿Ible for the prep3rotion rA the acwjnts In ac£oTh1ar￿ w6th the
rwuirernents of the Charlttes Att 2011 fthe W.
I report Fn respect of my examinati¢)n of the Trusvs atttAJnts carried u¥thr seciion 145 of the 2011 Art and In carrylng
out my examination, I have fiAlowed the applKabie Dire(lions given by the Charfty Comm￿on uThJer srftion 145{5llb) of
the ACL
IndopeThdant Examlnerf5 Statameftt
I have completed my examination. I confirrn that ￿ matsrial m3tters have come to my attentlon In connectlon wlth the
examlnatlon glvlng me cause to belleve that In any matetr1al resw:
l. accounting records were not kept In res￿ of the Tn￿t as wuir*J by seclion 130 of the Art: or
2. the accounts do Thrt accord those records,. or
3. the accounts do Thot cthmply with the applicab￿ reguir*n&)ts coKerniThJ the fomi and (tyntents at¢ourtts s*t out in
the Charities (Accounts and Re[>￿ts) Reguktions 2008 other than any wuiyement that the accfjunts give a 'true an<1
tslr vlew, whlch Is not a matter considered as part ￿ an independent examivatK)n.
I have no concerns and have come across ￿ other matters in connection wlth the examination to *hKh attention should be
drawn in this re￿rt In order to enable a prwr understandiThJ of the accounts to be ￿a¢he￿.
Mark Waman FCCA, FCA Independent examiner
Date
12 The Couttyard
8untsforL1 Drive
Bromsgrove
WOr￿sterShIre
B60 3DJ
Page 5

Evie's Gift CIO
statement of Flnanclal Activities
For The Year ErKled 31 March 2026
2025
furbds
INCOME AND EMDOWIIEKfs FROM:
Donations and legacies
Other tradlng actfvities
Investsnents
81,678
2,196
47.271
636
72
83,922
47,979
EXPENDMIRE ON:
Ralslng fvnds
CharttaNe athvities:
Supportlng famil*s of chlklren wth 16fe-l1m￿r¥j Cond￿
{13.0701
{2,220)
{64,7511
151,4611
{77,8211
153.6811
NET INCOMEI{EXPENDTWRE)
6,101
15,7021
NET MOVEMENT IN FUNDS
RECONCILIATION OF FUNDS:
Total funds brought f(#ward
6,101
15.7021
26.865
32,567
TOTAL FU14DS CARRIED FORWARD
13
32.966
26.865
The notes on pages 8 to 11 for¥n part of these financial statements.
Page 6

Evle's Glft CIO
statement of Financlal Ilosition
As At 31 March 2026
2026
202S
ilnrestrlcted Totsl
fund$
funds
CURRENT ASSErs
Debtors
Cash at bank and in hand
li
231
231
33,717
35,594
33,948
35,825
Crndltors: Amounts Falllng Due Wlthln On• Y•ar
12
1982)
18,9601
NEf CURREwf ASSETS {LWILrnES)
32,966
26,865
TOTAL ASSETS LESS CURRENT LIABILrriES
32,966
26,865
NEf ASSErs
32,966
26,865
FUNDS OF The CHARrrY
Vnre5tricted Funds
32,966
26,865
TOTAL FUNDS
13
32,966
26,865
On behalf OF the board
8 Clover
Date
The note5 on pages 8 to 11 form part of ihase finandal ststemenls.
Paoe 7

Evie's Gift CIO
Notes to the Flnanclal Ststements
For The Year Ended 31 March 2026
l. General Inforniatl•n
Evie's Gift ao ￿ a charltable intorF4Jrnted organfisavon regLstered with the Charlty CommLsslon. Feglstered charfty number
1177460. The principal a(Idress ￿ 10 Menhyr Close. St 8uryon, Comwall. TR19 6FF.
2. Accountlng Pollcie#
2.1. B•** of PT•par*lon of Anandal St•tw•
The financlal ststsments have been prepared in accordance with the Owriiies SORP IFRS 1021 "Accounting and
Rep(*ting by Charities.. State￿￿nt of Recommend￿1 Practfj￿ applicable to Chart￿eS preparlng thelr accounts In
accordance w6th the Hnanclal RetK)rtiTrJ Standard applicable in the UK and Republic of I￿land IFRS 1021 (effective I
January 2019).. Flnancial ReportFng Stsndafd 102 Tr Fina￿la1 RerKJfr￿ng strndard applicable in the UK and Republlc
of Ireland. and the Chariues ALt 2011.
The charlty Is a publ￿ 8enefft Entrty as definèj ty FPS 102.
The charfty has tsken advantage of thé pro￿510r¢S In the SORP for charltles not to p￿pare a Ststement of Cash Fk)ws.
The financial stat￿ents are wepared in sterling. whlch Is the ￿n¢t￿￿4 al￿r￿ of the Cha￿ty. Monetsry amosjnts in
these financlal 5tstemert5 are round&Y to the nearest £.
The finandal statements have iEen prepared under the hlstor5cal cost con¥￿n. The prrnclpal accountin9 pollcles
adopted are set (Kjt below.
2.2. Golng Con¢wn Di5d05U
At the time C￿ 8pproving the finarKial stat¥nents. the Trustee5 have a reasonable expectat￿￿ that the charfty ha5
adequate resour￿ to con¥nue In operatKxwl exister*e for the foreseeable fuiure. Thus the Trustees Contin￿ to adopt
the golng concern basls of accounbn9 in prepartng the finaTrcial 51atements.
2.3. Fund Acc*untlng
Uvrt5trKted ftJrK15 are available for at the discretion of the Trusiees in fvrtherarKe of thwr charitatAe ¢)bieLtlve5.
2.4. Incomin9 Resourr
Income is recognised when the charity is kgalty entived to it after any PerfO￿￿e o)ndlUorts have been rt, the
amounts can be measured relkibty. and it 15 prtrbab￿ that inti)me will be ￿eNed.
Cash donations are recognlsed on r*ipt. Other donations arE fEcognised On￿ ihe charity has been noufied of the
donation. ¢Jnless perf0m￿nCe torxlttions require deferral of the amount. Inccme tax r￿leRble Sn relatlon to
donatsons received under Gift Aid or deed5 of covenont j5 reCLvJn￿d at the time of the donation.
2.5. Resources Expended
Expendibjre is recogn￿￿ orKe there is a legal or constrth ON1gati￿ to transfer ecor￿MiC berrfit to a third party,
fc Is probable that a transfer of ￿)noMiC benefits v•iU be requi￿ in and the amount of the obllgatlon can
ke measured rellably.
Expendlture Is dassif*d by ￿VIty. The of eath ocbvity are rnade up of the total of dire£t costs and shared
Costs, including support invofved in Undertaki￿ each aLtivity. Direct costs attributable to a s&ngle attlvity a
all(Kated directly to that artivèty. Shared costs which contribute to MO￿ than one attivtty and support Costs which are
not attributable to a Single athvity are ap￿rtion￿ trtheen those activltb¢s on a basls consistent wlth the use of
re50urce5. CentTal 5tsff costs are all￿ated on the basis of ty.me spent
Page 8

Evle's Glft CIO
Notes to the Flnancial SL*ements (Continued)
For The Year Ended 31 March 2026
3. Ineom• from Donations and Legaci
2026
2025
Unrestrlrtad Unr¢strl¢ted
fund•
Donations and gffts
Other
68,266
13,412
39,263
8,008
81,678
47,271
2026
2025
Unre5trlcted Vnrestrltted
funds
tunds
Ebay
Merchandising
Stars and Eggshelts
1.771
401
246
372
24
18
2.196
636
2026
2025
Unrertricted Unrnstrirtfjd
funds
funds
Bank Interest r￿1Vable
72
6. Analy*ls of Exp•ndltyJrn
2026
Artivities
undertaken
dlr¢ctty
Support
(see note 7)
Trtal
Paising funds
Suppotfjng famllles of chlldren wfth Ilwlm￿fj9 c(x)d411or
13.070
30,153
13,070
64,751
34,598
43.223
34.598
77,821
2025
undertaken
dlr•¢tly
(See note 7)
Total
Palslng hjnds
Supwjrbng families of children with Iitrlim￿￿9 condttior
2,220
21.567
2.220
51,461
29,894
23,787
29,894
53,681
Page 9

Evle's Gift CIO
Notes to the Flnanclal Statements (contlnued)
For The Year Ended 31 March 2026
7. Support Cost•
2026
Supportlng
mllles ol
chlldren
with life-
Ilmiting
condltlons
Employee o)srs
General adminlstration
29,032
5,566
34.598
2025
Supportlng
f•mtlle$ Of
hildren
with Irf
Ilmltlng
condltS0
Employee costs
General admlnlstration
21,669
8,225
29,894
8. Inde￿Thdent Ex•mlWs Remunerniion
2026
2025
Independent exam1na￿On of the flnanclal statefnents
9. Staff C0515
Stsff c05t5 were as folk)ws.'
2026
2025
Wages and salarfes
29,032
21,669
No employees recelved employee benefits {excludlng emr*Jyer pen￿0Th costs) for the ￿pol￿n9 ￿rIOd crf morè than £60,000.
10. Av•rage Number of Employees
Average number of employees durir¥J the year was: I 12025.. 1)
li. Debtors
2026
2025
Due within on• y••r
Other detknrs
231
231
Page 10

Evie'$ Gift CIO
Notes to the Financial Ststements (contlnued)
For The Year Ended 31 March 2026
12. Cr•dltorn: Amounts F•lllno Duè Wrthin On• Year
2026
2025
Other creditors
Taxation and sodal securlty
Accrua15 and deferred income
8,000
360
600
382
982
8.960
13. Movement In Funds
As •t i Aprfi
2025
Asat31
1rtom• Expenditure March 2026
U•r•strlct•d fu4MIs
General..
General unrestrieted fund
26,865
83.922
{77.821}
32,966
Totsl fvnd•
26,865
83.922
(77,821)
32,966
As•tiA￿l
2024
A*#t31
EX￿ditUre March 2025
Uar¢strf¢t¢d funds
Genernl..
Generdl unresmcted fund
32,567
47,979
(53,681)
26,865
Totsl fund¥
32.567
47,979
153.6811
26.865
The unrestrfcted funds of the charlty comprise the unexpended tsalar￿S of donatlons aThl grants which a￿ not subject to
specific condltlons by donors and granttsrs as ttk hovi t￿¥ may be used. These i¥￿￿de de5%gnated fun(ts ¥rfhKh have been Set
aside out of unrestrtted funds by the tnjsw for stedfic pwwjses.
14. Trar¥sathns wlth Trustees
None of the trustees received any remuneration or arry other beneffts fr￿n an with the charity ￿ a related entity
during the ojrrent or previous year.
No trustee expense9 have been intvrred.
15. R•lat•d Party Dl#dowr
The charity's trustees have donated £2AII {2025 £2.088) to Evie's GifL
Page 11

Evie's Gift CIO
Detalled Ststement of FInanc￿l Actlvlties
For The Year Ended 31 March 2026
2026
2025
Total
funds
Trtal
funds
INC014E AND ENDOWMEMTS FROM:
D￿*t1•￿ l•gades
Donatknns
Donatlons from trusts and foundations
DonatK)ns from businesses and partnerships
IrKome from personal thallen
39,070
27.000
2.196
13,412
15,891
20.500
2,872
8,008
81.678
47.271
Ebay
Merthandising
Stars and Eggshd15
1,771
401
246
372
24
IB
2,196
636
Bartk Interest receival)le
72
72
83,922
47,979
EXPENDrnJRE 014:
Raisin9 fvnds
Merchandlse and other event costs
113.070}
12,220)
113.070}
12.2201
Charltable ActIvItl￿.
Supporting f•rnili•s of ¢hildren Ilftrllmttlng condltlo
Merchandlse and other event costs
Accommodatio
{1,748)
(28,230)
1175)
(29,032)
12.558)
1403)
1354)
1257)
1600)
11.394)
121,3671
(2001
121,6691
{7311
14,0801
{3521
(1,5391
16001
{9231
Travel and parklng
Wa9￿ and salaries
C(Knputer and LT costs
Website and IT equiwnert
Insurance
Marketing
Independent exami¥*Vs fees
other admlnbtrtlve cost5
{64,751)
151,4611
{77.821)
153.681}
INCOIIIEI{EXPE14DfwRE)
6.101
(5,702)
Page 12