PACKS 4 PARENTS
Registered Charity No. 1177528
Financial Ststements
for the year ended
31st December 2022

PACKS 4 PAREKrs
31sL December 2022
Trustees
Elizabeth Rubin
Debbie Eello
Francine Epstein
Simon Raperport
Vivien Rose
Principal Address
45 Arden Road
London N3 3AD
Bankers
Santander
9 Nelson Street
Bradford BDI SAN

PACKS 4 PAREKrs
Trustees. Report
for the year ended 31st December 2022
This organisation was fournled by Elizabeth Rubin in 2016 and became a register￿ charity in March 2020.
The trustees present their report and financial ststements for the year ended 31st. Dec￿nber 2022.
The financial stat￿ents have b￿n drawn up in accordance with the Ststement of Recommended Prattice (SORP
2015) - "Accounting and Reporting ty Charities"
Governing document
Packs 4 Parents is a charitsble incorporated organisatK)n (CIO) which Op￿ateS under a foundation documert dated
13th. March 2020, and is Registered Charity no. 1177528
Objects objectives and activities
The provision of fr￿ emergetKy supply packs of toiletries and similar iteJns to parents whose children are rushed
irto hospital before they have had time to ￿epare for admission. Packs are supplied to hospitsls who decide how
they are distributed. but the main focus is Dralominantly on those in paediatric intensive ca￿.
Future prospeds
The future of the CIO de￿ndS on its success in fundraising.
Public benefit
The trust￿ have referred to the guidance in the Charity CommissK)n's general guidan￿ on public benef5t when
reviewing the CIO'S aims and objectives and in planning its fvture activities. In particular, the trustee5 consider
how planned activities will contribute to the aims and obj'ectives they have set. The tnstees are satisfied that the
benefts provided are direcdy related to the CIO'S aims, and they confirm that the OPFN)rtunity to benefit is
restricted solely by the availabilty of funds. They further confirm that people in p)verty are not excluded, that
benefits provided outweigh any detrimenL and that the ao's beneficiaries are entirely appropriate to its aims.
Fina51yJ whilst the trustees are unaware of any private benefft gained, they confinn tha¢ were such to occur, it
would be ourely incidentsl.
Appointment of new trustees
New trustees are appointed following aC￿ptrn￿ of an invitstion from the existing trustees to be appointed. A list
of trustees atting during the year appears in the infornation page of these stst￿ents.
Activities and financial review
The trustees are responsible for the governan￿ of the charilable and fvndra6ing artiviti￿ of the CIO. This year
saw a small surplus. and ￿[VeS carried fO￿ard to 2023 have q￿wn as a result.
Reserves policy
The trustees, reserrfes policy is to hold in reserve SUff￿lent to meet at least six months of a yeals estimated
expenses.
Trustees remuneration
The Committ￿ m￿ts regulady to disc￿ and ￿le￿ CIO'S attivibes. No member of the committee received
any remuneration during the year.
Committee responsibilities
The trustees a￿ ￿spOnsible for preparing the annual ￿port and the financial ststements in accordan￿ with
applicable law and regulations.

PACKS 4 PARErirs
Trustees. report
for the year ended 31st December 2022 (continued)
Charity law requires the trustees to prepare financial statements for each financial year in accordance with United
Kingdom Generally Accepted Accounting Practice (United Kingdom Accounting Stsndards and applicable law). The
financial ststements are required by law to give a true and fair view of the state of affrdirs of the charity and of the
income and expenditure of the charity for that period. In preparing these financial ststements, the trustees are
requi￿ to:
. selett suitsble accountirKJ ￿lIcIeS and apply then consistently,
. make judgments and estimates that a￿ reasonable and pruden¢
' state whether applicable UK Accounting Stsndards have I￿en followed, subject to any material
departures disclosed and explained in the financial statements;
' p￿pare the financial statements on the going con￿rn basis, unkn it is inappropriate to presume that the charty
will continue in operation.
The trustees are responsible for k￿pIng proper accounting records that disclose with reasonable accuracy at any
time the financial ￿)sItIon of the charity and enable to ensure that the financial ststements compty with the
Chariti&s Att 2011. They are also resrM)nsible for safeguarding the assets of the charity a￿1 hen￿ for tsking
reasonable steps for the prevention and detection of fraud arKI other irregulaiities.
Signed on behalf of the trust￿ on ..............
Simon Ra￿r[K)rt
Trustee

PACKS 4 PARErirs
srATEMEKf OF FINANCIAL AcrIvrrIES
for the year ended 31sL December 2022
Unrestricted
Funds
2022
Unrestricted
Funds
2021
Incoming Resources
Incoming resourc•S generated funds
DDnatK)rs
550
Tot31 Incoming Resources
1.040
550
Resources Expended
Oiartsble activil7es
Pack Material Costs
(723)
(480)
Govemance costs
Administrative Costs
Totsl Resources Expended
723
Net Movement In Funds
317
70
Balan￿ at 1st January 2021
Balance at 31st D￿ember 2022
£3,050
£2,733

PACKS 4 PAREpirs
BALANCE SHEEr
31st December 2022
2022
2021
CURREKf ASSETS
Cash at bank
£3,050
£2,733
Representing:
Reserves
At 1st. January 2022
Surplus/(Defictt) for the year
2.733
317
2,663
70
£3,050
£2,733
The trustees appK)ved
nanctal ststements. and authorsed their
distribution on
Simon Raper￿rt
Trustee